Indosuez Funds - Chronos 2029 USD - MX Income
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General Objective
The fund aims to seek long-term yield and/or capital appreciation by managing a portfolio consisting mainly of fixed- or variable-income debt securities denominated in US dollars maturing no later than 12/31/2029. There are no geographical, currency, or sector restrictions, and no restrictions on maturity or issuer quality.
Fund Exposure
The fund is exposed to a variety of asset classes, sectors, and geographies, with a focus on fixed- and floating-rate bonds and debt securities denominated in US dollars. The fund has exposure to sectors such as materials, communications, health care, energy, consumer staples, and industrials, with a breakdown by rating as a percentage of the fund's net assets.
Risks
The fund is classified on a scale of 1 to 7 in terms of risk, with 1 representing the lowest level of risk and 7 the highest level of risk. Potential risks associated with the fund include market fluctuations, interest rate changes, credit risk, and geopolitical events that may impact the performance of the portfolio.