Wellington Credit Income Fund EUR DL AccH
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General Objective
The Fund seeks long-term total returns, with a secondary focus on regular income by primarily investing in a broadly diversified portfolio of credit instruments issued globally.
Fund Exposure
The Fund will invest primarily in higher yielding sectors of the credit market, such as emerging market debt, high yield debt, but may also invest in other debt obligations deemed consistent with its investment objectives. The Investment Manager actively manages the Fund, excluding issuers within or reliant upon industries like fossil fuels, controversial and conventional weapons, tobacco, and cannabis.
Risks
The Fund is classified as a 4 on the risk scale, indicating that over the past 5 years, the average amount by which returns varied each year was equal to or above 5% and less than 10%. Material risks relevant to the Fund include exposure to below investment grade securities, capital loss triggered by economic, regulatory, market sentiment, and political risks, counterparty risk, credit risk, and currency risk.