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SUMUS Crossover Bonds All CHF - LU1498486064
Obiettivo di investimento dichiarato
The target is to reach, over the long term, and for performance measurement only, a return of US Generic Government 1 month yield + 250 bps. The main source of the return will result from security selection and asset allocation decisions on different sectors and countries in the fixed income markets. The global approach of the Sub-Fund is to be flexible and benchmark-agnostic, i.e. the Investment Manager will actively manage the Sub-Fund without reference to a benchmark and will principally allocate assets on the basis of the risk-return profile of each potential investment and on the correlation with the other investments in the portfolio.
Anagrafica e indicatori
ISIN: LU1498486064 | Benchmark dichiarato: 100% US Generic Government 1m+250 bps |
Prezzo/Nav al 21/11/2024: 967,60 CHF | Benchmark Morningstar: ND |
Investimento minimo: 0,00 CHF | Società di Gestione: Sumus Capital |
Categoria Morningstar: Obbligazionari High Yield USD | Valuta: CHF |
Commissioni
Commissioni | Da prospetto |
---|---|
Commissione di ingresso massima | 0,00% |
Commissione di uscita massima | ND |
Commissione di gestione | 1,00% |
Commissione di performance | SI |
Rating e rischio
ESG
Il prodotto tiene conto dei fattori di sostenibilità? ND |
Rendimenti
Rendimenti | Fondo | Categoria |
---|---|---|
Rendimento YTD % | 1,24% | 13,55% |
Rendimento 1 anno % | 8,97% | 16,62% |
Rendimento 3 anni % | 1,14% | 5,02% |
Rendimento 5 anni % | 1,96% | 4,79% |
Rendimento 10 anni % | ND | 5,47% |
Visualizzazione documentazione offerta
Fondi acquistabili
Il fondo SUMUS Crossover Bonds All CHF 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
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- 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
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- 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
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- 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
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- Neuberger Berman ShrtDurHYSDGEggm €ADisH - IE00B51MHK83
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- Nordea 1 - Low Dur US Hi Yld Bd E EUR - LU0602536251
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- 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
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