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PGIM Broad Market US HY Bd EUR P H Acc - IE00BG36TN27
Obiettivo di investimento dichiarato
The investment objective of the Fund is to achieve a return through a combination of current income and capital appreciation while preserving invested capital through investment. The benchmark of the Fund is the Bloomberg US High-Yield 1% Issuer Capped Index (the “Benchmark”). The Benchmark is an issuer-constrained version of the Bloomberg US High-Yield Index, which tracks the performance of the USD-denominated, non-investment-grade, fixed-rate, taxable corporate bond market. The Benchmark limits issuer exposures to a maximum 1% and redistributes the excess market value index-wide on a pro-rata basis. Securities must be rated below investment-grade (Ba1/BB+/BB+ or below) using the middle rating of Moody’s, S&P, and Fitch, and have at least 1 year until final maturity, to be included in the Benchmark.
Anagrafica e indicatori
ISIN: IE00BG36TN27 | Benchmark dichiarato: 100% Bloomberg US HY 1% Issuer Cap TR USD |
Prezzo/Nav al 22/11/2024: 110,74 EUR | Benchmark Morningstar: ND |
Investimento minimo: ND | Società di Gestione: PGIM |
Categoria Morningstar: Obbligazionari High Yield USD | Valuta: EUR |
Commissioni
Commissioni | Da prospetto |
---|---|
Commissione di ingresso massima | ND |
Commissione di uscita massima | ND |
Commissione di gestione | 0,65% |
Commissione di performance | ND |
Rating e rischio
ESG
Il prodotto tiene conto dei fattori di sostenibilità? ND |
Rendimenti
Rendimenti | Fondo | Categoria |
---|---|---|
Rendimento YTD % | 6,29% | 13,55% |
Rendimento 1 anno % | 10,85% | 16,62% |
Rendimento 3 anni % | 0,34% | 5,02% |
Rendimento 5 anni % | ND | 4,79% |
Rendimento 10 anni % | ND | 5,47% |
Visualizzazione documentazione offerta
Fondi acquistabili
Il fondo PGIM Broad Market US HY Bd EUR P H Acc al momento non è acquistabile su FondiOnline.it. Puoi sottoscrivere in alternativa i seguenti fondi per la categoria Obbligazionari High Yield USD.
- AB US High Yield A2 USD - LU0759706095
- Allianz US High Yield AM H2 EUR - LU0676280711
- Allianz US High Yield AM USD - LU0516397667
- Allianz US High Yield AT H2 EUR - LU0795385821
- Allianz US High Yield AT USD - LU0674994412
- Allianz US Short Dur Hi Inc Bd AM H2 EUR - LU1328247892
- Allianz US Short Dur Hi Inc Bd AM USD - LU1322973634
- Allianz US Short Dur Hi Inc Bd AT H2 EUR - LU1363153823
- Allianz US Short Dur Hi Inc Bd AT USD - LU1363153740
- Allianz US Short Dur Hi Inc Bd CT H2 EUR - LU1459823750
- Amundi Fds US HY Bond E2 EUR C - LU1883863265
- Amundi Fds US HY Bond E2 EUR H C - LU1883863349
- Amundi Fds US HY Bond F EUR C - LU1883863422
- AXAIMFIIS US Short Dur HY E Cap EUR H - LU0523282928
- AXAIMFIIS US Short Dur HY E Cap USD - LU0546067702
- AXAIMFIIS US Short Dur HY F Cap EUR H - LU0292585626
- AXAIMFIIS US Short Dur HY F Cap USD - LU0292585030
- AXAIMFIIS US Short Dur HY F Dis EUR H - LU0292586350
- AXAWF ACT US HY Bds LwCarb A Cap EUR H - LU2257473855
- AXAWF US Dynamic HY Bds A Cap EUR H - LU1105450024
- AXAWF US Dynamic HY Bds A Cap USD - LU1105449950
- AXAWF US Dynamic HY Bds F Cap EUR H - LU1105450966
- AXAWF US Dynamic HY Bds F Cap USD - LU1105450883
- AXAWF US Enhanced HY Bds A Cap USD - LU1881734203
- AXAWF US Enhanced HY Bds A Cap € H - LU1910839114
- AXAWF US High Yield Bonds A Cap EUR H - LU0276013082
- AXAWF US High Yield Bonds A Cap USD - LU0276014999
- AXAWF US High Yield Bonds A Dis EUR H - LU0645147413
- AXAWF US High Yield Bonds A Dis USD - LU0964941495
- AXAWF US High Yield Bonds E Cap EUR H - LU0276013249
- AXAWF US High Yield Bonds F Cap EUR H - LU0276013322
- AXAWF US High Yield Bonds F Cap USD - LU0276015533
- AXAWF US Short Dur HY Bds A Cap EUR Hdg - LU1319655087
- AXAWF US Short Dur HY Bds A Cap USD - LU1319654866
- AXAWF US Short Dur HY Bds E Cap EUR Hdg - LU1319656051
- AXAWF US Short Dur HY Bds E Cap USD - LU1319656218
- AXAWF US Short Dur HY Bds E QD EUR Hdg - LU1319656481
- AXAWF US Short Dur HY Bds F Cap EUR Hdg - LU1319657299
- AXAWF US Short Dur HY Bds F Cap USD - LU1319657885
- BGF US Dollar High Yield Bd E2 - LU0147389919
- BGF US Dollar High Yield Bd E2 EUR H - LU2331123724
- BNP Paribas US High Yield Bond Cl D - LU0925120700
- BNP Paribas US High Yield Bond Cl H € R - LU0194437363
- BNP Paribas US High Yield Bond Cl MD D - LU0111549308
- BNP Paribas US High Yield Bond Cl R - LU0111549480
- BNP Paribas US High Yield Bond Cl € Cap - LU2200551831
- BNP Paribas US High Yield Bond N D - LU0111550652
- BNY Mellon Efficient US HY Bt $ A Inc - IE00BDZ7SF78
- BNY Mellon Efficient US HY Bt € A Inc - IE00BDZ7SH92
- BNY Mellon Efficient US HY Bt € H AccH - IE00BDZ7SN52
- BNY Mellon Effnt US Fln Ang Bt USD A Acc - IE00BM94ZD48
- Capital Group US High Yld (LUX) B - LU1671579040
- Capital Group US High Yld (LUX) N - LU1675399809
- Capital Group US High Yld (LUX) Z - LU1671579123
- Capital Group US High Yld (LUX) Zd - LU1675401555
- Capital Group US High Yld (LUX) Zgd - LU1675409533
- Capital Group US High Yld (LUX) Zgdh-GBP - LU1830905342
- Capital Group US High Yld (LUX) Zh-CHF - LU2637237327
- CT (Lux) US Hi Yld Bd ZU - LU0957784613
- PrivilEdge Clm US Sh Dr HY I USD UH Acc - LU1515321286
- PrivilEdge Clm US Sh Dr HY IEURH Inc - LU1515322508
- PrivilEdge Clm US Sh Dr HY N USD UH Acc - LU1515321799
- PrivilEdge Clm US Sh Dr HY N USD UH Inc - LU1515321872
- PrivilEdge Clm US Sh Dr HY P USD UH Acc - LU1515321955
- PrivilEdge Clm US Sh Dr HY PEUR SysH Acc - LU1515323068
- Fidelity US High Yield A-Acc-EUR - LU0261953904
- Fidelity US High Yield A-Acc-EUR H - LU0337581549
- Fidelity US High Yield A-Acc-USD - LU0605520377
- Fidelity US High Yield A-Dis-EUR - LU0132385880
- Fidelity US High Yield A-Dis-USD - LU0132282301
- Fidelity US High Yield A-MD-USD - LU0168057262
- Fidelity US High Yield E-MD-EUR H - LU0766124555
- Franklin High Yield A(acc) EUR - LU1691812256
- Franklin High Yield A(acc)USD - LU0131126228
- Franklin High Yield A(Mdis)USD - LU0065014192
- Franklin High Yield N(acc) EUR - LU1691812330
- Franklin High Yield N(acc)USD - LU0109402817
- Franklin High Yield N(Mdis)USD - LU0889566138
- FTGF WA US High Yield A EUR H Dis (M) - IE00B512Q679
- FTGF WA US High Yield A USD Acc - IE00B19Z4V13
- FTGF WA US High Yield A USD Dis (M) - IE00B23Z9G43
- FTGF WA US High Yield E EUR H Acc - IE00BPYD8W78
- FTGF WA US High Yield E USD Acc - IE00B57L6W44
- HSBC GIF US High Yield Bond AC USD - LU1890106211
- iMGP US High Yield C EUR HP - LU0688633683
- iMGP US High Yield C USD - LU0688633410
- iMGP US High Yield C USD D - LU0747345022
- Invesco US High Yield Bond A EURH AD - LU0794787928
- Invesco US High Yield Bond A USD Acc - LU0794787761
- Invesco US High Yield Bond A USD Fxd MD - LU0794788066
- Invesco US High Yield Bond E EUR Acc - LU0794788496
- Invesco US High Yield Bond R USD Acc - LU0794788579
- JSS Bond - USD High Yield P CHF Hdg acc - LU1184840293
- JSS Bond - USD High Yield P CHF Hdg Dis - LU1184840459
- JSS Bond - USD High Yield P EUR Hdg acc - LU1184840533
- JSS Bond - USD High Yield P EUR Hdg Dis - LU1184840707
- JSS Bond - USD High Yield P USD acc - LU1184840020
- JSS Bond - USD High Yield P USD dist - LU1210449945
- Janus Henderson High Yield A2 HEUR - IE0009530639
- Janus Henderson High Yield A2 USD - IE0004446971
- Janus Henderson High Yield A3m HEUR - IE00BMDXR423
- Janus Henderson High Yield A3m USD - IE0004446757
- Janus Henderson High Yield E2 HEUR - IE00B67PWQ95
- Janus Henderson High Yield E2 USD - IE00B6QCZK62
- Janus Henderson High Yield E3m HEUR - IE00B3LF0X75
- JPM Global High Yield Bond A (acc) EURH - LU0108415935
- JPM Global High Yield Bond A (acc) USD - LU0344579056
- JPM Global High Yield Bond A (dist) EURH - LU0247993289
- JPM Global High Yield Bond D (acc) EURH - LU0115103029
- JPM Global High Yield Bond D (div) EURH - LU0848952700
- JPM Global High Yield Bond D (inc) EUR H - LU1555763678
- JPM US High Yield Plus Bond A (acc) EURH - LU0749326814
- JPM US High Yield Plus Bond A (acc) USD - LU0749326731
- JPM US High Yield Plus Bond A (div) EURH - LU0749327978
- MS INVF US Dollar Short Dur HY Bd AH EUR - LU1610904176
- MS INVF US Dollar Short Dur HY Bd BH EUR - LU1610904093
- MS INVF US Dollar Short Dur HY Bd CH EUR - LU1610903954
- MS INVF US High Yield Bond A - LU2536247872
- MS INVF US High Yield Bond AH EUR - LU2536247799
- MS INVF US High Yield Bond C - LU2536248094
- MS INVF US High Yield Mdl Mkt Bd AH EUR - LU1610903871
- MS INVF US High Yield Mdl Mkt Bd BH EUR - LU1610903798
- MS INVF US High Yield Mdl Mkt Bd CH EUR - LU1610903525
- Muzinich Americayield HEUR Acc P - IE00BYT3QM17
- Muzinich Americayield HEUR Acc R - IE0032860565
- Muzinich Americayield HUSD Acc R - IE0033033972
- Muzinich ShortDurationHY HEUR Acc P - IE00BYT3QX22
- Muzinich ShortDurationHY HEUR Acc R - IE00B3MB7B14
- Muzinich ShortDurationHY HEUR Inc R - IE00B40R8D71
- Muzinich ShortDurationHY HGBP Inc R - IE00B40JHW54
- Muzinich ShortDurationHY HUSD Acc R - IE00B4PTJ249
- Loomis Sayles High Income R/D USD - IE00B5LW8F04
- Neuberger Berman HY Bd EUR A Acc H - IE00B12VWB25
- Neuberger Berman HY Bd EUR A Dis H - IE00B718SL89
- Neuberger Berman HY Bd EUR A Mn Dis H - IE00B4024J04
- Neuberger Berman HY Bd USD A Acc - IE00B12VW672
- Neuberger Berman HY Bd USD A Dis - IE00B1G9WM36
- Neuberger Berman HY Bd USD A Mn Dis - IE00B4KRFX62
- Neuberger Berman HY Bd USD A Wkly Dis - IE00B88XV589
- Neuberger Berman HY Bd USD M Acc - IE00BD9WHR30
- Neuberger Berman HY Bd USD M Dis - IE00BDFBKN13
- Neuberger Berman Shrt DurHYSDGEggm€MAccH - IE00BWB93P58
- Neuberger Berman Shrt DurHYSDGEggm€MDisH - IE00BWB93Q65
- Neuberger Berman ShrtDurHYSDGEggm $ A MD - IE00B7FN5305
- Neuberger Berman ShrtDurHYSDGEggm $ AAcc - IE00B7FN4D31
- Neuberger Berman ShrtDurHYSDGEggm $ ADis - IE00B7FN5073
- Neuberger Berman ShrtDurHYSDGEggm $ MAcc - IE00BDFBKT74
- Neuberger Berman ShrtDurHYSDGEggm $ MDis - IE00BDFBKV96
- Neuberger Berman ShrtDurHYSDGEggm €AAccH - IE00B7FN4G61
- Neuberger Berman ShrtDurHYSDGEggm €ADisH - IE00B51MHK83
- Nordea 1 - Low Dur US Hi Yld Bd AP EUR - LU0705264330
- Nordea 1 - Low Dur US Hi Yld Bd BP EUR - LU0602537226
- Nordea 1 - Low Dur US Hi Yld Bd BP USD - LU0602537069
- Nordea 1 - Low Dur US Hi Yld Bd E EUR - LU0602536251
- Nordea 1 - Low Dur US Hi Yld Bd E USD - LU0602536178
- Nordea 1 - Low Dur US Hi Yld Bd HB EUR - LU0602537499
- Nordea 1 - North Amer Hi Yld Bd BP EUR - LU0826398702
- Nordea 1 - North Amer Hi Yld Bd BP USD - LU0826399429
- Nordea 1 - North Amer Hi Yld Bd E EUR - LU0826399692
- Nordea 1 - North Amer Hi Yld Bd E USD - LU0826399932
- Nordea 1 - North Amer Hi Yld Bd HB EUR - LU0826400615
- Nordea 1 - US High Yield Bond BP EUR - LU0278531701
- Nordea 1 - US High Yield Bond BP USD - LU0278531610
- Nordea 1 - US High Yield Bond E EUR - LU0278533152
- Nordea 1 - US High Yield Bond E USD - LU0278532857
- Nordea 1 - US High Yield Bond HB EUR - LU0410959117
- Nordea 1 North Am Hi Yld Strs Bd BP USD - LU1937720214
- PIMCO GIS US Hi Yld Bd E Acc - IE00B11XZ871
- PIMCO GIS US Hi Yld Bd E EURH Acc - IE00B11XZ764
- PIMCO GIS US Hi Yld Bd E Inc - IE00B193MN38
- T. Rowe Price US High Yld Bd A USD - LU1697876628
- T. Rowe Price US High Yld Bd Ax USD - LU1706112411
- T. Rowe Price US High Yld Bd Q USD - LU1697876974
- UBS (Lux) BS USD High Yield $ P acc - LU0070848972
- UBS (Lux) BS USD High Yield $ P CHF Hdg - LU0566797311
- UBS (Lux) BS USD High Yield $ P dist - LU0459103858
- UBS(Lux) BS Sht Dur HY Sust$N EURH Dist - LU0843236083
- UBS(Lux) BS Sht Dur HY Sust$P Acc - LU0577855355
- UBS(Lux) BS Sht Dur HY Sust$P CHFH Acc - LU0577855785
- UBS(Lux) BS Sht Dur HY Sust$P EURH Acc - LU0577855942
- UBS(Lux) BS Sht Dur HY Sust$P EURH qDist - LU1669357847
Le informazioni su Fondi Comuni di Investimento, Sicav e Fondi Pensione Aperti messe a disposizione sul Sito sono di esclusiva proprietà di Morningstar Italy S.r.l. (http://www.morningstar.it/it/). Innofin non è pertanto in alcun modo responsabile della veridicità, completezza e aggiornamento delle Informazioni.