Nordea 1 - Flexible Fixed Income Fund BP DKK header image

Nordea 1 - Flexible Fixed Income Fund BP DKK

Fund

ISIN LU0915365109 / Valor 23846578

NAV (2025-04-17)
DKK 826.47+0.36%

Nordea 1 - Flexible Fixed Income Fund BP DKK
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General Objective

The fund aims to provide robust diversification across fixed income asset classes and regions, using active management to preserve capital and generate positive returns in excess of cash over an investment cycle. The objective is to build an unconstrained bond product designed to navigate changing environments in the fixed income space.

Fund Exposure

The fund is exposed to a variety of asset classes, including government bonds, credit default swaps, and FX forwards. It has a sector breakdown that includes government securities, financial instruments, and index securities. Geographically, the fund is focused on developed markets in North America, Europe, and Asia Pacific, with exposure to emerging markets as well.

Risks

Investors should be aware that past performance is not a reliable indicator of future results, and the value of their investment can fluctuate. The fund may incur other fees and expenses, so it is important to refer to the Prospectus and Key Information Document for a comprehensive understanding of the risks associated with investing in this fund.

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Source

https://www.nordea.lu/de/professional/fund/flexible-fixed-income-fund/

Tags:
bloomberg global aggregate index global bonds dynamic allocation

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