- SEI UN CONSULENTE FINANZIARIO AUTONOMO?
- Scopri i vantaggi del nostro servizio
AZ Fd1 AZ Bd - Hybrids B Inc - LU2056384741
Obiettivo di investimento dichiarato
The Sub-fund's investment objective is to achieve regular returns and short and mediumterm capital growth. The Sub-fund aims to achieve its investment objective by actively managing a diversified portfolio of debt securities issued by companies worldwide. The Sub-fund seeks to maintain an overall ESG (Environmental, Social and Governance) rating of at least BBB at portfolio level, calculated based on the ESG ratings awarded to each of the securities in its portfolio by MSCI ESG Research.
Anagrafica e indicatori
ISIN: LU2056384741 | Benchmark dichiarato: 100% No benchmark |
Prezzo/Nav al 21/11/2024: 5,09 EUR | Benchmark Morningstar: Markit iBoxx EUR Corp Subordinated TR |
Investimento minimo: 1.500,00 EUR | Società di Gestione: Azimut |
Categoria Morningstar: Obbligazionari Subordinati EUR | Valuta: EUR |
Commissioni
Commissioni | Da prospetto |
---|---|
Commissione di ingresso massima | 0,00% |
Commissione di uscita massima | ND |
Commissione di gestione | 1,20% |
Commissione di performance | SI |
Rating e rischio
ESG
Il prodotto tiene conto dei fattori di sostenibilità? ND |
Rendimenti
Rendimenti | Fondo | Categoria |
---|---|---|
Rendimento YTD % | 7,41% | 9,00% |
Rendimento 1 anno % | 13,17% | 13,35% |
Rendimento 3 anni % | 1,57% | 0,79% |
Rendimento 5 anni % | ND | 1,78% |
Rendimento 10 anni % | ND | 2,87% |
Visualizzazione documentazione offerta
Fondi acquistabili
Il fondo AZ Fd1 AZ Bd - Hybrids B Inc al momento non è acquistabile su FondiOnline.it. Puoi sottoscrivere in alternativa i seguenti fondi per la categoria Obbligazionari Subordinati EUR.
- Algebris Financial Credit R CHF Acc - IE00B8ZQ4Z18
- Algebris Financial Credit R EUR Acc - IE00B8J38129
- Algebris Financial Credit R GBP Acc - IE00BMMVVZ61
- Algebris Financial Credit R USD Acc - IE00BK017F69
- Algebris Financial Credit RD CHF Inc - IE00B7RCR403
- Algebris Financial Credit Rd EUR Inc - IE00B8XCT900
- Algebris Financial Credit RD GBP Inc - IE00BMMVW089
- Algebris Financial Credit RD USD Inc - IE00BK017D46
- Algebris IG Financial Credit R CHF Acc - IE00BK1KHQ38
- Algebris IG Financial Credit R EUR Acc - IE00BK1KHL82
- Algebris IG Financial Credit R GBP Acc - IE00BK1KHN07
- Algebris IG Financial Credit R USDH Acc - IE00BK1KHS51
- Algebris IG Financial Credit RD EUR Inc - IE00BK1KHM99
- Algebris IG Financial Credit RD USDH Inc - IE00BK1KHT68
- Amundi Fds Eurp Sub Bd ESG G EUR C - LU1328849515
- Amundi Fds Glb Subrdntd Bd E2 EUR C - LU1883334358
- Amundi Fds Glb Subrdntd Bd E2 EUR QTD D - LU1883334432
- Amundi Fds Glb Subrdntd Bd G EUR C - LU2085676752
- Amundi Fds Glb Subrdntd Bd G EUR QTD D - LU2085676836
- BlueBay Financial Cptl Bd R EUR - LU1163203471
- BlueBay Financial Cptl Bd R EUR (AIDiv) - LU1163203638
- Multilabel Hybrid Bonds EUR B - LU0693173246
- Multilabel Hybrid Bonds USD B - LU0693174723
- DWS Invest Corporate Hyb Bds LC - LU1245923484
- DWS Invest Corporate Hyb Bds LD - LU1245923641
- EdR SICAV - Corp Hybrid Bonds B USD H - FR001400DLX2
- EdR SICAV Corporate Hybrid Bonds A EUR - FR00140059A7
- EdR SICAV Corporate Hybrid Bonds B EUR - FR0014005989
- EdR SICAV Financial Bonds A EUR - FR0011034495
- EdR SICAV Financial Bonds B EUR - FR0011289966
- EdR SICAV Financial Bonds R EUR - FR0013287596
- GAM Star Credit Opps (EUR) A EUR Acc - IE00B53VBZ63
- GAM Star Credit Opps (EUR) AQ EUR Inc - IE00BDH36712
- GAM Star Credit Opps (EUR) C EUR Acc - IE00B52VP557
- GAM Star Credit Opps (EUR) Ord EUR Acc - IE00B567SW70
- iMGP Eurp Subordinated Bds N EUR - LU1594473834
- iMGP Eurp Subordinated Bds N EUR D - LU1594473917
- JSS Twelve Sust Ins Bd P CHF Acc Hdg - LU1111708431
- JSS Twelve Sust Ins Bd P EUR Acc - LU1111708357
- JSS Twelve Sust Ins Bd P USD Dis Hdg - LU1244595242
- Kairos Intl SICAV Fin Income D - LU1559732265
- Kairos Intl SICAV Fin Income P - LU1559732349
- Kairos Intl SICAV Fin Income P-USD - LU1615669006
- Lemanik SICAV Selected Bd Dis Retl EUR A - LU0099064445
- Lemanik SICAV Selected Bond Cap Retl EUR - LU0840526478
- Neuberger Berman Corp Hyb Bd EUR A Acc - IE00BYV1RN13
- Neuberger Berman Corp Hyb Bd EUR A MD - IE00BDHBH727
- Neuberger Berman Corp Hyb Bd EUR M Acc - IE00BD9WHQ23
- Neuberger Berman Corp Hyb Bd EUR M Inc - IE00BZ0BMF67
- Neuberger Berman Corp Hyb Bd USD A Acc - IE00BD0PCH68
- Neuberger Berman Corp Hyb Bd USD A Inc H - IE00BMT63Q97
- Neuberger Berman Corp Hyb Bd USD A MD - IE00BDHBH610
- Neuberger Berman Corp Hyb Bd USD M Acc - IE00BDFBLB65
- Neuberger Berman Corp Hyb Bd USD M Inc - IE00BDFBJ784
- Nordea 1 - European Fincl Dbt AP EUR - LU0772943097
- Nordea 1 - European Fincl Dbt BP EUR - LU0772944145
- Nordea 1 - European Fincl Dbt E EUR - LU0772944731
- Nordea 1 - European Fincl Dbt MP EUR - LU2637427613
- Robeco Corporate Hybrid Bonds M2H € - LU1874123828
- Robeco Financial Institutions Bds B € - LU0622663093
- Robeco Financial Institutions Bds D € - LU0622663176
- Robeco Financial Institutions Bds M2 € - LU1648455837
- Robeco Financial Institutions Bds M3 € - LU1648455910
- R-co Conviction Subfin C EUR - FR00140060Y5
- SWC (LU) BF Resp. Crp Hybrid AA - LU2511502226
- Symphonia Obbligazionario Rendimento - IT0004822646
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.