H2O MULTIBONDS FCP
H2O MULTIBONDS FCP HSGD R
SGD - FR0013393337
The fund H2O MULTIBONDS FCP is managed by H2O AM EUROPE.
H2O MultiBonds FCP provides access to H2O’s fixed income and currency expertise with a high risk profile (PRIIPS SRI 6). Being an absolute return fund, the objective is to achieve capital appreciation in excess of its cash benchmark.
Fund Category
Unconstrained
Investment Universe
Sovereign, FX & Credit
Recommended Investment
Horizon
5 years
Risk Indicator
(PRIIPs SRI)
6 / 7
Overview
Share class name:
H2O MULTIBONDS FCP HSGD R
ISIN:
FR0013393337
Bloomberg Ticker:
H20MSRG FP Equity
Share Class Currency:
SGD
Share Class Inception Date:
05/10/2020
Reference index:
SIBOR SGD 1m
Ex-ante Management Fees:
1.6 %
Ex-ante Performance Fees:
25 %
Performance Fees Threshold:
(objective above benchmark)
2.1 %
NAV at 02/10/2024
131,00 SGD
Year To Date
+3,40%
Annualized since inception 02/10/2024
+17,22%
Total net assets as of 02/10/2024
2 088 651 334 SGD
131,00 SGD
+3,40%
+17,22%
2 088 651 334 SGD
Performances
Year | Fund's performance | Indice's performance |
---|---|---|
2023 | 25.0% | 6.2% |
2022 | 23.1% | 3.9% |
2021 | 2.0% | 2.4% |
2020 | -- | -- |
The performance figures displayed on this website refer to past performance. Please note that past performance is not a reliable indicator of future results. H2O products may carry a high level of risk and may not be suitable for all investors. Investors should consider the investment objectives, risks, charges and expenses of the funds before investing. As every investment, the funds managed by H2O Asset Management are subject to capital risk and the invested amount is not guaranteed. The costs of share classes that are not in the portfolio currency may vary with the fluctuation of FX rates.