Ofi Invest ESG European Convertible Bond ID
Investors should be aware and prepared to accept that, for those Funds which have a sustainable management process, this process is based on the use of a proprietary model to determine the ESG score. There is a risk that this model may not be efficient. The performance of these Funds may therefore be below the management objective.Article 8
Ofi Invest ESG European Convertible Bond is invested in European convertible bonds, with the objective to outperform the Thomson Reuters Europe Focus Hedged Convertible Bond index* over a three-year investment horizon.
The fund management team follows an entrepreneurial stock-picking approach. It favors the selection of European companies offering strong growth potential. Partnering and projects financing are part of this approach.
The fund managers aim to hold the convertible bond until conversion to gain full benefit from the unlocked created value.
The fund combines fundamental and extra-financial analysis in order to assess these issuers Environmental, Social and Governance (ESG) practices.
An active delta management (equity sensitivity ranging from zero to 100%) allows the fund to offer a mixed profile.
* For more information: www.thomsonreuters.com
- AMF classification
- Legal form
- Inception date
- Recommended investment horizon
SRRI is an indicator going from 1 to 7 and corresponding to increasing risk levels. Risk and performance category indicated in this document is subject to change. This category is determined by the application of a regulatory methodology. For more details about this methodology, please refer to the Key investor information document (KIID).
NET ASSET VALUE|69,25
Historical Net Asset Values
- ISIN CodeFR0011157973
- Unit currencyEUR
- Agreement date26/03/2023
- Inception date07/12/2011
- First NAV date07/12/2011
- Valuation frequencyDaily
- Regulatory authority
- AMF classification
- UCITS V classification
- Legal formSICAV
- Fund of funds Non
- Feeder Non
- Distribution policyDistribution
- ‘PEA’ eligible Non
- Maximum management fees1.10 %
- Maximum susbscription fees0.00 %
- Maximum redemption fees0.00 %
- Maximum subscription fees – non acquired4.00 %
- Maximum redemption fees– non acquired 1.00 %
- Outperformance fees
- CustodianSOCIETE GENERALE PARIS
- Administrative agentSOCIETE GENERALE PARIS
- Asset management companyOFI INVEST ASSET MANAGEMENT
- Delegated asset management companyOFI INVEST ASSET MANAGEMENT
- Subscription cut-off
- Subscription cut-off time12:00:00
- Redemption cut-off
- Redemption cut-off time12:00:00
- Settlement date
- Decimalisation4 decimals
- Terms of redemption
- Terms of subscription
- Minimum subscription amount0.00 EUR
- Minimum subscription units0.00
- Minimum initial subscription amount500 000.00 EUR
- Minimum initial subscription units0.00
|SCR Market||12.15 %||12.84 %||12.88 %||12.21 %||15.71 %||16.28 %||16.42 %||16.73 %||17.72 %||18.81 %||18.51 %||18.61 %||18.12 %||16.82 %||17.69 %||16.24 %||12.22 %||12.74 %|
|PnL interest Rate Down||1.83 %||1.67 %||1.63 %||1.69 %||1.66 %||1.62 %||1.78 %||1.87 %||1.75 %||1.78 %||1.73 %||1.71 %||1.54 %||1.55 %||1.83 %||1.66 %||1.91 %||1.80 %|
|PnL interest Rate Up||-0.03 %||-0.03 %||-0.03 %||-0.03 %||-0.03 %||-0.04 %||-0.04 %||-0.08 %||-0.11 %||-0.10 %||-0.09 %||-0.08 %||-0.04 %||-0.04 %||-0.07 %||-0.15 %||-0.48 %||-1.73 %|
|SCR Equity||7.04 %||8.31 %||8.50 %||7.50 %||11.37 %||11.98 %||11.70 %||11.72 %||13.05 %||13.88 %||13.64 %||13.88 %||13.56 %||12.26 %||12.36 %||13.91 %||9.76 %||10.23 %|
|SCR Currency||0.27 %||0.06 %||0.13 %||0.24 %||0.13 %||0.09 %||0.10 %||0.37 %||0.08 %||0.11 %||0.11 %||0.05 %||0.08 %||0.10 %||0.05 %||0.02 %||0.06 %||0.09 %|
|SCR Credit||5.69 %||5.23 %||5.05 %||5.32 %||5.12 %||5.11 %||5.56 %||5.79 %||5.57 %||5.87 %||5.81 %||5.66 %||5.47 %||5.43 %||6.30 %||2.83 %||2.86 %||2.94 %|
|SCR concentration||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %|
|SCR Real Estate||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %||0.00 %|
The KIID must be provided to investors prior to any investment being made. Practical information, risk and reward profile and charges related to the investment in a fund are described in the fund’s KIID.
The figures mentioned cover past years. Past performances are not a reliable indicator of future performances. The investments mentioned herein are one way to capture financial market returns in exchange for a certain amount of risk. Invested capital and performances are not guaranteed, and there exists a risk of loss of capital.
The website (the “Site”) is considered as a marketing communication provided by Ofi Invest Asset Management (“OFI INVEST AM”), whose registered office is at 22 rue Vernier F-75017 Paris, France and approved by the Autorité des Marchés Financiers (AMF) in France as a management company of UCITS under agreement number GP 92021 and its Luxembourgish subsidiary OFI LUX, UCITS management company, whose registered office is at 10-12 boulevard F.D. Roosevelt L-2450 Luxembourg and authorised by the Commission de Surveillance du Secteur Financier (CSSF) in accordance with Chapter 15 of the 2010 Law on undertakings for collective investment as amended.
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This website is not intended for « US person » for the purposes of Regulation S in application of the United States Securities Act 1993.
Investments involve risks. The value of an investment may go down as well as up and you may not get back the amount you originally invested. There is no assurance that Funds objectives will be achieved or that there will be a return on capital. Past performances are not a reliable indicator of future performance and may be misleading. You must read the Prospectus and the KIIDs before any investment decision.