PCI - Diversified Bond Strategy A header image

PCI - Diversified Bond Strategy A

Fund

ISIN AT0000A05758 / Valor 3051812

NAV (2026-09-15)
EUR 96.47-0.12%

PCI - Diversified Bond Strategy A
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The PCI - Diversified Bond Strategy fund seeks to grow assets by actively managing a wide-ranging portfolio of fixed-income investments. It allocates at least 51% of its assets to various bond funds and different types of bonds, including government bonds, investment-grade and high-yield corporate bonds, as well as emerging market bonds. Additionally, the fund can invest up to 100% in debt securities, allocate up to 49% to money market instruments or demand deposits, and include other funds in its portfolio. Derivatives are also used to support the investment strategy and manage risks.

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OTHER SHARE CLASSES OF THIS FUND

PCI - Diversified Bond Strategy T
PCI - Diversified Bond Strategy T PCI - Diversified Bond Strategy T Valor: 3051814
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Annual Return

-50%0%+50%

Risk level

110
-0.13%EUR 111.52