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The Fund aims to increase the value of the portfolio, in the medium and long term, through speculative (high yield) bonds from corporate issuers, rated between BB+ and B- (Standard & Poor’s or equivalent as assessed by the Management Company or according to its own internal rating), and is therefore exposed to a risk of capital loss. The investment objective varies depending on the unit class subscribed: - for CR-EUR and DR-EUR units: to achieve a net annualised performance above 2.55% from 9 September 2019, to 31 December 2026; - for CI-EUR and DI-EUR units: to achieve a net annualised performance above 3.15% from 9 September 2019, to 31 December 2026; - for CN-EUR and DN-EUR units: to achieve a net annualised performance above 3.10% from 9 September 2019, to 31 December 2026.
Name | Title | Since | Until |
---|---|---|---|
Daniel Hagemann | - | 2022 | Now |
Alexis Renault | Portfolio Manager | 2021 | Now |
Biography | Since 1999 with WestLB Mellon Asset Management as asset manager for European high yield bonds. 1995-1999: WestLB Paris as finance credit analyst. DESS in Finance from University Paris II. Graduated from ESLSCA. | ||
Janis Heck | - | 2021 | 2022 |
Frauke Wolkewitz | - | 2021 | 2022 |
Oliver Becker | - | 2019 | 2021 |
Antoine Augier De Lajallet | - | 2019 | 2021 |
Victoire Dubrujeaud | - | 2019 | 2021 |
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