International Bonds EUR Acc

Bonds

Key Information

  • ISIN

    DK0060647014

  • Inception

    21.09.2015

  • Return Profile

    Accumulated

  • Dividend

  • Risk Class

    4

  • Share Class Assets (m)

    4 EUR

  • ÅOP (Costs)

    1,17 %

  • Indirect Trade Cost

    0.01 %

  •  
  • KIID

  • Fund Facts

  • Prospectus

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Profile

Investment profile
The fund invests globally in bonds. The fund is actively managed and aims to utilise movements in the bond prices and exchange rates of the various countries to increase fund return. The fund pursues an active currency policy and will to a great extent be affected by exchange rate developments in the countries in which the fund invests.


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.

Benchmark
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

Returns

Date 14/12/18 12:05

Today's Return: +0.44%

Return Nov.: +0.04%

Return YtD: +2.06%

NAV per. 14/12/18 12:05

Today's Returns 0.44 %
Return year to date, % 2.06 %
Redemption 15.81
Subscription 15.81
NAV 15.81
Total Assets (m) 4 EUR

Returns - Last Update 01/12/18

Return year to date, % 1.86 %
1 Year 1.10%
3 Years -10.13%
5 Years 6.34%
7 Years 14.63%
10 Years 46.37%

NAV development

Export graph-data

Include:

Return & Dividend

YearReturnsDividendIncome on equityCapital incomeTaxfreeNAV per unit (End Year)
2017-6.92%-0.000.000.0015.49
2016-1.72%-0.000.000.0016.65
20153.74%-0.000.000.0016.94
201410.40%-0.000.000.0016.33
2013-4.25%-0.000.000.0014.79
20128.97%-0.000.000.0015.45
20112.56%-0.000.000.0014.17
201013.83%-0.000.000.0013.82
200916.12%-0.000.000.0012.14
2008-4.29%-0.000.000.0010.46
20070.75%-0.000.000.0010.92
2006-2.66%-0.000.000.0010.84
20056.91%-0.000.000.000.00
20046.11%-0.000.000.000.00
2003-3.44%-0.000.000.000.00
20025.40%-0.000.000.000.00
20017.25%-0.000.000.000.00
20009.87%-0.000.000.000.00
19997.37%-0.000.000.000.00
19983.64%-0.000.000.000.00
199713.07%-0.000.000.000.00
199612.27%-0.000.000.000.00
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Latest trends

International Bonds EUR AccReturn NovemberReturn YtD
Latest trend0.04%1.86%
Return benchmark0.22%2.77%

Development in NAV

Expectations of return

Fund's Holdings

Fund Holdings

Top 10 HoldingsCouponCountryBase currencyProportion
United States Treasury Note/Bond 15.07.20201.50USAUSD12.51%
United States Treasury Note/Bond 30.11.20201.63USAUSD12.42%
Japan Bond 20.03.20200.10JapanJPY9.73%
Japan Bond 20.12.20190.10JapanJPY9.72%
United States Treasury Note/Bond 15.08.20193.63USAUSD8.61%
United Kingdom Gilt 22.07.20202.00Great BritainGBP5.55%
Italy Del Tesoro 01.05.20213.75ItalyEUR5.08%
Mexico 10.06.20216.50MexicoMXN4.80%
France Government Bond OAT 25.05.20200.00FranceEUR4.35%
Spain Government Bond 31.01.20210.05SpainEUR4.33%
Fund Holdings: 12
Show all Holdings

Distribution by country

Distribution by country

CountryProportionChanges in percentage points
USA37.65%8.90%
Japan19.45%-2.89%
Great Britain5.55%1.60%
Italy5.08%5.08%
Mexico4.80%-1.91%
France4.35%-6.91%
Spain4.33%4.33%
Germany0.00%-2.09%
Canada0.00%-5.12%
Other18.79%-17.31%

Distrubution by currency

Base currencyProportion
US dollar (USD)37.92%
JPY24.61%
Euro (EUR)22.65%
British pound (GBP)5.60%
Mexican peso (MXN)4.84%
Swedish krona (SEK)3.36%
Danish krona (DKK)0.99%
Canadian dollar (CAD)0.01%
New Zealand dollar (NZD)0.01%
Australian dollar (AUD)0.00%
Other0.00%

Risk

Lower risk

Higher risk

  • 1
  • 2
  • 3
  • 4
  • 5
  • 6
  • 7

Potentially lower rewards

Potentially higher rewards

Risk Scale

Placement of the fund on the scale is determined by the fluctuations of the funds NAV over the past five years.

Historical return fluctuations p.a.

Distribution by issuer

Distribution by issuerProportion
Mortgage bonds0.00%
Government bonds81.21%
QUASI-soverreign0.00%
Company0.00%
Cash18.79%

Fees and Expenses

Fees and Expenses

Fees and ExpensesTotal Management FeeÅOP (Costs)Indirect Trade Cost SubscriptionRedemption
International Bonds EUR Acc0.77 %1.17 %0.01 %0.00 %0.00 %

Key Information

ISINDK0060647014
Yield to Maturity1,50 %
Average Duration1,36
Deviation + (1 year)-
Deviation + (3 years)-
Danish VP Code6064701
Sharpe Ratio (3 Years)-
NAV ultimo 201715.49 EUR
Year to Date1,86 %
Inception of Share Class21.09.2015
Tax Rate-
BenchmarkBarclays Global.Agg. 1-3 Years DKK
ListedNo
AccumulatedYes
Share Class Assets (m) 4 EUR
Denomination10
Base currencyEUR
AGM (annual general meeting)04.04.2019
Dividend (2017)-
TER (incl. depositary and adm.exp)0,77 %
ÅOP (Costs)1,17 %
Indirect Trade Cost 0.01 %
Expected min. return, 1 year-4,50 %
Expected max return, 1 year7,00 %
Fund Holdings12
Rec. investment horizonMin. 3 years
Portfolio ManagerNiels Mellemgaard Sørensen
NAV ultimo November 201815.78