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U Access - USD Credit 2029 AD USD Inc

Fund

ISIN LU2833330512 / Valor null

NAV (2026-07-06)
USD 102.59+0.09%

U Access - USD Credit 2029 AD USD Inc
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The Fund seeks to grow your capital and generate income by investing primarily in a wide range of fixed income instruments (both Investment grade and High yield). The Fund has a maturity date of 17 December 2029 unless the terms are changed before said date. Due to the maturity date, the portfolio turnover will be relatively low. The Fund invests in products/issuers with a minimum rating of B- (S&P or Fitch), B3 (Moody's) or an equivalent rating by another rating agency. If the rating is downgraded below B-/B3 or equivalent, the security may be kept or sold, at the Investment Manager’s discretion and in the best interest of the shareholders. The Fund is allowed to invest solely in instruments denominated in its base currency USD. The Fund is not managed with reference to a benchmark. The Fund may invest its net assets up to: - 100% in High yield - 60% in Emerging countries - 20% in Contingent Convertible bonds (CoCos). The Fund may be exposed to High yield credit via the use of CDS (Credit Default Swap) and may use derivatives instruments such as but not limited to CDS, FX forward and interest rate futures. High yield bonds are issued by entities whose activity is more sensitive to the economic cycle and pay higher interest. The return on such securities, in the same way as their level of risk, is therefore higher than traditional bond products. Exposure to high yield bonds is implemented via cleared and diversified high yield CDS indices. CDS indices offer a liquid exposure to high yield and bear minimal interest rate risk. The Fund’s base currency is USD. The share currency risk in relation to the Fund’s base currency is mainly hedged. Any income received by the Fund is reinvested (capitalisation share class). Investors in the Fund can subscribe and redeem units on any business day in Luxembourg except days where the decisive markets are closed: United States (US). Details of the closing days are available here: https://www.ubp.com/en/ouroffices/ ubp-asset-management-europe-sa. The recommended holding period is minimum 5 years.

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OTHER SHARE CLASSES OF THIS FUND

U Access - USD Credit 2029 UC USD Acc
U Access - USD Credit 2029 UC USD Acc U Access - USD Credit 2029 UC USD Acc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.09%USD 108.47
U Access - USD Credit 2029 UHC EUR Acc
U Access - USD Credit 2029 UHC EUR Acc U Access - USD Credit 2029 UHC EUR Acc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.06%EUR 105.47
U Access - USD Credit 2029 AC USD Acc
U Access - USD Credit 2029 AC USD Acc U Access - USD Credit 2029 AC USD Acc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.08%USD 108.11
U Access - USD Credit 2029 UHC GBP Acc
U Access - USD Credit 2029 UHC GBP Acc U Access - USD Credit 2029 UHC GBP Acc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.08%GBP 108.79
U Access - USD Credit 2029 AHC CHF Acc
U Access - USD Credit 2029 AHC CHF Acc U Access - USD Credit 2029 AHC CHF Acc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.00%CHF 102.40
U Access - USD Credit 2029 ADQ USD Inc
U Access - USD Credit 2029 ADQ USD Inc U Access - USD Credit 2029 ADQ USD Inc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-1.15%USD 99.97
U Access - USD Credit 2029 UDQ USD Inc
U Access - USD Credit 2029 UDQ USD Inc U Access - USD Credit 2029 UDQ USD Inc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
-1.19%USD 99.37
U Access - USD Credit 2029 UHD GBP Inc
U Access - USD Credit 2029 UHD GBP Inc U Access - USD Credit 2029 UHD GBP Inc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.09%GBP 102.53
U Access - USD Credit 2029 UD USD Inc
U Access - USD Credit 2029 UD USD Inc U Access - USD Credit 2029 UD USD Inc
starstarstarstarstar

Annual Return

-50%0%+50%

Risk level

110
0.09%USD 102.68