DNCA Invest Alpha Bonds HI GBP Acc
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DNCA Invest Alpha Bonds aims to deliver, over a recommended holding period of more than three years, a return higher than the SIBCSORA index plus 1.40% per year, while targeting lower annual volatility than 5% in normal market conditions. In plain English, the fund seeks to grow capital with a controlled level of risk by actively managing a bond portfolio rather than simply mirroring a benchmark. The strategy is based on discretionary management, meaning the manager selects and adjusts positions according to market opportunities, risk considerations and valuation, while also integrating environmental, social and governance criteria into the process. The portfolio is built around bonds and other fixed-income exposures, with a focus on balancing return potential against volatility. By using an active approach, the fund can increase or reduce exposures as market conditions change, aiming to capture attractive opportunities in the global bond market while keeping risk within its stated objective.
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esg€strabsolute return
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4.00
1 votes
Performance:
5.00
Innovation:
3.00
Society:
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Nature:
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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 B EUR
DNCA Invest Alpha Bonds B EUR
DNCA Invest Alpha Bonds B EUR
Valor: 39524532