FISCH Convex Multi Credit Fund AC2
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General Objective
The fund aims to achieve an excess return versus money markets over a market cycle, while providing stable and consistent risk-adjusted returns. It is broadly diversified across various asset classes, mainly investing in global fixed income assets and convertible bonds.
Fund Exposure
The fund is exposed to global fixed income assets and convertible bonds, with a focus on achieving stable and consistent risk-adjusted returns. It is broadly diversified across various asset classes to capitalize on the core competencies of Fisch Asset Management.
Risks
Some of the risks associated with this fund include changes in share prices, interest rates, credit quality, and other factors that can lead to greater volatility in unusual market conditions. Additionally, the use of derivatives can increase counterparty risk and the fund's volatility. An increase in interest rates and the widening of credit spreads can also lead to a decline in bond prices.
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Source
https://www.fisch.li/
Tags:
global bondsdefensive strategy
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OTHER SHARE CLASSES OF THIS FUND
FISCH Convex Multi Credit Fund AE2
FISCH Convex Multi Credit Fund AE2
FISCH Convex Multi Credit Fund AE2
Valor: 30289420
Annual Return
-50%0%+50%
Risk level
110
0.01%EUR 96.77
FISCH Convex Multi Credit Fund BC2
FISCH Convex Multi Credit Fund BC2
FISCH Convex Multi Credit Fund BC2
Valor: 30289417
Annual Return
-50%0%+50%
Risk level
110
0.00%CHF 108.89
FISCH Convex Multi Credit Fund MC
FISCH Convex Multi Credit Fund MC
FISCH Convex Multi Credit Fund MC
Valor: 30289418