Mirabaud - Global Climate Bond Fund A EUR Acc
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General Objective
The fund is a global fixed income strategy that invests in a combination of green bonds and issuers engaged in the energy transition. The primary focus is on climate impact and sustainability, aiming to generate an attractive longer-term total return with low volatility.
Fund Exposure
The fund invests across all regions, sectors, and components of the fixed income universe. It seeks a weighted average portfolio temperature of sub -2 degrees celsius and net zero by 2050, targeting issuers with strong commitments to emissions reduction and carbon neutrality. The strategy allocates just under half of the portfolio to transition bonds, working with issuers to reduce carbon emissions.
Risks
The fund is exposed to risks associated with fixed income investments, including interest rate risk, credit risk, and market risk. Additionally, there may be risks related to climate change and sustainability factors impacting the performance of the fund. Investors should carefully consider these risks before investing.