DNCA Invest Alpha Bonds H-ID GBP
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DNCA Invest Alpha Bonds aims to deliver, over a recommended holding period of more than three years, a return above the SIBCSORA index plus 1.20% while seeking to keep annual volatility below 5% in normal market conditions. In plain English, it is designed to add value from bond market opportunities without taking on excessive risk. The portfolio is managed actively and discretionarily, with the managers selecting positions across international bond markets rather than simply following an index, and integrating ESG criteria into the process. Based on the fund’s bond-focused profile, the portfolio primarily invests in bonds and related fixed-income instruments, with allocations adjusted through active management to balance return potential, duration, yield and credit quality. The process appears to rely on identifying relative-value opportunities in markets where the team sees attractive risk-adjusted prospects, while maintaining an emphasis on downside control and portfolio stability.
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esg€strabsolute return
Ratings & reviews
4.00
1 votes
Performance:
5.00
Innovation:
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Society:
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Z D
Switzerland, 27 Mar 2026
Good performance, but rather high ESG risk
OTHER SHARE CLASSES OF THIS FUND
DNCA Invest Alpha Bonds N EUR
DNCA Invest Alpha Bonds N EUR
DNCA Invest Alpha Bonds N EUR
Valor: 39524507
Annual Return
-50%0%+50%
Risk level
110
-0.18%EUR 135.28
DNCA Invest Alpha Bonds B EUR
DNCA Invest Alpha Bonds B EUR
DNCA Invest Alpha Bonds B EUR
Valor: 39524532