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Mercer Absolute Return Fixed Income Fund A1-h-0.0200-jpy (0P0001I6WV)

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9,858.910 -17.320    -0.18%
19/12 - Closed. Currency in JPY
  • Morningstar Rating:
  • Total Assets: 1.17B
Type:  Fund
Market:  Ireland
Issuer:  Mercer Global Investments Management Ltd
ISIN:  IE00BKBDRN92 
Asset Class:  Other
Mercer Absolute Return Fixed Income Fund A1-H-0.02 9,858.910 -17.320 -0.18%

0P0001I6WV Holdings

 
Comprehensive information about top holdings and Key Holding Information for the Mercer Absolute Return Fixed Income Fund A1-H-0.02 (0P0001I6WV) fund. Our Mercer Absolute Return Fixed Income Fund A1-H-0.02 portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

Asset Allocation

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Name  Net %  Long %  Short %
Cash 404.950 983.290 578.340
Convertible 0.310 0.310 0.000
Preferred 0.180 0.180 0.000

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio - 13.844
Price to Book - 1.944
Price to Sales - 2.410
Price to Cash Flow - 237.020
Dividend Yield - 7.889
5 Years Earnings Growth - 14.137

Sector Allocation

Name  Net % Category Average
Cash 637.992 26.689
Government -358.063 47.937
Securitized 28.049 21.802
Corporate 25.008 57.518
Derivative -234.454 37.663

Region Allocation

  • North America
  • Europe Developed
  • Developed Markets

Top Holdings

Number of long holdings: 1,422

Number of short holdings: 893

Name ISIN Weight % Last Change %
Future on 2 Year Treasury Note - 14.16 - -
Future on US Treasury Bond - 6.85 - -
Euro OAT Future Dec 24 DE000F0Q7BZ5 6.15 - -
Future on Ultra 10 Year US Treasury Note - 4.32 - -
United Kingdom of Great Britain and Northern Ireland 4.75% GB00BPJJKP77 4.15 - -
Federal National Mortgage Association 6% - 3.94 - -
Federal National Mortgage Association 5% - 3.24 - -
Federal National Mortgage Association 5.5% - 2.66 - -
Federal National Mortgage Association 5% - 2.33 - -
New South Wales Treasury Corporation 3% AU3SG0001696 2.31 - -

Top Other Funds by Mercer Global Investments Management Ltd

  Name Rating Total Assets YTD% 3Y% 10Y%
  IE00BPBG4870 1.91B 5.86 0.82 -
  IE00BPBG4987 1.91B 5.68 0.52 -
  IE00BYWLML31 1.17B 0.00 -2.25 -
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