EURO "MAS" R +38.64% Performance Nov. 2008-Nov. 2018 USD "MAS" R +22.03% Performance Nov. 2008-Nov. 2018 BPDG SA
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DMC FUND - WORLD HY CORPORATE BONDS UNITS I (CHF, HEDGED) 

DMC FUND - WORLD HY CORPORATE BONDS UNITS I (CHF, HEDGED) provides access to the international high-yield corporate bond markets denominated in USD, EUR, GBP and CAD. The management of the fund is based on an optimized sampling approach aimed at aligning the risk profile of the portfolio with that of the index with the most efficient bonds. The global risk management of the portfolio is carried out according to a quantitative process centered on the maximization of the spread under different constraints derived from the risk profile of the index. The approach is based on the consideration of the entire universe, a low turnover and a very large diversification. "I" units are intended for institutional investors.

Performance

DMC FUND - WORLD HY CORPORATE BONDS UNITS I (CHF, HEDGED)
 


Performance data shown in the graph does not take account of fees and commissions and costs charged on the issue and redemption of units. Historical performance results should not be construed as being indicative of current or future performance. Moreover, the value of units can go down as well as up, depending on the financial markets, and this value can never be guaranteed. No information contained in the graph constitutes a solicitation or offer to buy or sell any investment products. No information found in this document takes account of or has any relevance to the specific investment objectives, financial situation or particular needs of any recipient of such information. You should always obtain relevant, personal ans specific professional advice before making any investment decision based on the information contained in this document. While DAMC takes all reasonable care and precaution to update the financial information on a regular basis, neither DAMC nor its contractual partners make any representations, guarantees or warranties of any kinf as to the accuracy, reliability, completeness or timeliness of the information presented.

Net Asset Values (NAV)

NAV* at 2020/01/14 1053.69
High NAV/Low NAV ** 1053.69 /953.54

* NAV is calculated each Wednesday, in Luxembourg. If the relevant day is not a bank business day in Luxembourg, the NAV will be calculated on the next business day.

** Changes in the implied floor of the "Units R CHF hedged" can differ from the implied floor of the "Units R USD", depending on the discount or premium of the forward exchange contracts used.

*** previous twelve months

Taxation

TIS (Taxable Income per Share) 0.00
Interim Profit 0.00

Key data

Legal status Mutual Fund, UCITS V
Asset class Bonds
Investment Manager Banque Profil de Gestion SA, Genève
Base currency USD
Total assets of the compartment* as of 2020/01/14 36'969'697 USD
Minimum investment EUR 1'000'000 or equivalent
Benchmark BofA Merrill Lynch Global High Yield Index
Distribution policy Capitalization
"Cut off time" Weekly, 2.00pm Friday** (CET)
Settlement Cut off time + 3 business days
NAV valuation Weekly (calculated on Wednesday on the basis of the closing price on the previous day)
Countries of registration Luxemburg, Switzerland
Custodian Bank and Administrative Agent Banque et Caisse d'Epargne de l'Etat, Luxembourg
Swiss Paying Agent Banque Cantonale Vaudoise, Lausanne
Management and Administration fee 0.45% p.a.
Subscription fee Max. 5.10%, 0.10% of which is credited to the subfund
Redemption fee 0.10% credited to the subfund
Tax status (EUSD *) Subfund in scope
Bloomberg DMWHICH LX
ISIN LU1610896059
NAV publication SwissFundData, Fundsquare
Dilution Levy According to market conditions

* Weekly update
** previous day, if Friday is a bank holiday in Luxembourg
*** European Union Savings Directive


DMC FUND - WORLD HY CORPORATE BONDS UNITS I (CHF, HEDGED) documents

Key investor information document (KIID)



WORLD HY CORPORATE BONDS Family documents

Legal Information

Prospectus

Financial Information

Semi-annual report

Audited annual report

Voting rights strategy (More details...)

Press

© Copyright 2019 DYNAMIC ASSET MANAGEMENT COMPANY - all rights reserved
All information provided on this website
is subject to change at any time without notice. (LU)

 
DMC FUND is an investment fund registered in Luxembourg. Its legal representative in Switzerland is Banque Profil de Gestion. The paying agent is La Banque Cantonale Vaudoise, in Lausanne.
The legal and financial documentation can be obtained free of charge with Banque Profil de Gestion, Geneva, or checked on this website.