Jupiter Global Fixed Income Fund L (USD) Income
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General Objective
The objective of this fund is to seek to maximize total return consistent with the preservation of capital and prudent investment management. The fund aims to deliver a return greater than that of the Bloomberg Barclays Global Aggregate Index (USD Hedged) over rolling 3-year periods.
Fund Exposure
The fund is exposed to various risks including investment risk, credit risk, interest rate risk, liquidity risk, currency risk, derivative risk, and capital erosion risk. The fund may hold investments with loss-absorbing features, including contingent convertible bonds (CoCos), and may be subject to regulatory intervention or trigger events.
Risks
The risks associated with this fund include the potential for capital loss, credit risk from bond issuers, interest rate risk affecting bond values, liquidity risk impacting the ability to sell investments, currency risk from exposure to different currencies, derivative risk from using derivatives, and capital erosion risk from charges taken from the fund's capital. Investors should be aware of these risks and refer to the prospectus for more detailed information.