Barclays Sterling Corporate Bond Fund A Dis GBP
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General Objective
The fund aims to provide capital growth and income over the long term, with a minimum investment horizon of at least 5 years.
Fund Exposure
The fund invests at least 70% of its assets in fixed income securities denominated in Sterling, issued by companies and non-sovereign issuers domiciled in the UK or OECD countries. It may also allocate up to 30% of its assets in equity securities, non-Sterling denominated bonds, UK government bonds, money-market instruments, cash, and deposits across various countries, regions, currencies, and sectors.
Risks
Investors should be aware that the fund may invest up to 10% in sub-investment grade securities, which have a low credit rating or are unrated. Additionally, the fund's actively managed approach and use of derivatives for efficient portfolio management may result in performance that differs significantly from its reference index.