ING ARIA Corporate + R Acc
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Fund Manager: ING Solutions Investment Management S.A. Investment Objective: The objective of the Sub-Fund is to seek exposure principally to bonds and money market instruments directly or indirectly, through units of UCITS or UCIs either within or outside the ING Group. Investment Policy: The Sub-Fund seeks to obtain a regular income over the return on government bonds by investing the majority of issues in non-governmental (corporate bonds) denominated in EUR. Private and public issuers will mainly be located in OECD member countries and will qualify as "Investment Grade". ESG considerations: The Sub-Fund does not promote environmental or social characteristics and does not have sustainable investment as its objective as defined by SFDR. Trading and cut-off time: Investors may request redemptions of shares daily in line with the relevant section of the Fund's prospectus. Distribution Policy: Any income received by the Sub-Fund is reinvested (capitalisation share class). Benchmark: The Sub-Fund is actively managed and is not constrained by a benchmark index. Investor Profile: The Sub-Fund is designed for investors preferring the risks attached to bonds and money market instruments. The objective is to satisfy the needs of investors who prefer a regular income over the return on government bonds. Please read the prospectus carefully before making any investment. There is no guarantee that the investment objective will be achieved, within the recommended holding period or not, and capital invested is at risk. More information on the aforementioned topics and explanations of some of the terms used in this document can be found in the Fund's prospectus.
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corporate bondsinvestment grade
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OTHER SHARE CLASSES OF THIS FUND
ING ARIA Corporate + R Inc
ING ARIA Corporate + R Inc
ING ARIA Corporate + R Inc
Valor: 11476664
Annual Return
-50%0%+50%
Risk level
110
-0.01%EUR 498.25
ING ARIA Corporate + I Acc
ING ARIA Corporate + I Acc
ING ARIA Corporate + I Acc