Sydinvest International Bonds EUR Acc
The fund invests in bonds denominated in foreign currency.
The typical investor
The typical investor has an investment horizon of at least 3 years and is looking for a high return of which the main part is distributed annually as dividends. The typical investor is expected to know that international interest rate and exchange rate fluctuations may at times lead to significant fluctuations in the fund’s assets.
The objective is through international diversification to obtain a return that equals or outperforms the return of the benchmark of the unit class over a three-year period. International A DKK uses the benchmark JP Morgan Global Government in DKK. International Bonds B EUR d uses the benchmark JP Morgan Global Government in EUR
Chief Portfolio Manager
Phone: +45 7437 3314
- Yield to Maturity
- 1,63 %
- Average Duration
- Standard deviation (1 years)
- Standard deviation (3 years)
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|Documents and publications|
|Monthly Report (PDF)||Monthly report|
|Monthly Report||Monthly Report|
Placement of the fund on the scale is determined by the fluctuations of the funds NAV over the past five years.
- Lower risk
Potentially lower rewards
- Higher risk
Potentially higher rewards