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ASHMORE SICAV EMERGING MARKETS TOTAL RETURN FUND - Z2 (INC) USD  WPKNR: A12HEL 
 Aktuell:
up 69,21 
 ISIN:

LU1078677835

   Währung:

USD 

 Fondsname:

Ashmore SICAV Emerging Markets Total Return Fund - Z2 (INC) USD

   Ertragstyp:

Ausschüttend 

 Ursprungsland:

Luxemburg 

   Fondstyp:

Rentenfonds 

 Fondsmanager:

Ashmore Investment Management Limited

   Region:

Emerging Markets 

 Fondsvolumen:

247,98 Mio. USD

   Land:

 Auflagedatum:

12.05.2015

   Unterkategorie:

Anleihen gemischt 

 Geschäftsjahr:

01.01.

   Vertriebszulassung:

Österreich, Deutschland, Schweiz, Luxemburg 

 Konditionen
ausgabeaufschlag verwaltungsgebühr  mindestanlage einmalig sparplan 

0,00%

0,90%

200.000.000,00 USD

 Kennzahlen per 09.10.2025
  ytd 1 jahr 3 jahre 5 jahre

 Performance

12,29%

9,36%

33,94%

 Volatilität

4,88%

5,00%

6,77%

 Sharpe Ratio

2,90

1,47

1,21

 Bester Monat

2,98%

2,98%

8,57%

8,57% 

 Schlechtester Monat

-1,55%

-2,50%

-4,04%

-9,33% 

 Fondsstrategie

The Sub-Fund's objective is to seek capital appreciation by investing in a range of diversified transferable securities and/or other liquid financial assets. The Sub-Fund aims to be mainly invested in bonds and other instruments issued by Emerging Market sovereigns, quasi-sovereigns and corporate entities. The Sub-Fund will seek to achieve its objectives through securities denominated in Emerging Market local currencies as well as US dollars and other major currencies. The Sub-Fund may not invest more than 25% of its net assets in investments denominated in a single currency other than the US dollar (unless over such amount, such investments are hedged into US dollars). The Sub-Fund may not invest more than 35% (in aggregate) of its net assets into entities that are not sovereigns or quasi-sovereigns. The Sub-Fund may, on an ancillary basis, hold cash and invest in Money Market Instruments including in money market UCITS or UCIs denominated in US$ or other currencies. Investments made in UCITS and/or UCI may not in aggregate exceed 10% of the net assets of the Sub-Fund. The Sub-Fund may also be invested in financial instruments whose value derives from the value and characteristics of one or more underlying assets (derivatives) and engage in certain techniques for hedging purposes and efficient management of assets including total return swaps, repurchase and reverse repurchase agreements, subject to the limits in the Prospectus. The Sub-Fund primarily uses an active, macro top-down approach to investment management. Considering the recommended holding period of 5 years being compatible with a medium to long-term investment horizon, the performance of the Sub-Fund depends on the medium to long-term performance of the aforementioned investments.

 Größte Positionen per -

PETROLEOS D VEN.16/20REGS

 

6,84%

USA 25/25 ZO

 

5,67%

BRAZIL 24/30 ZO

 

2,38%

BRAZIL 25/29 ZO

 

1,97%

MEXICO 2034 M

 

1,25%

MALAYSIA 22/29

 

1,06%

BRAZIL 25/32 ZO

 

1,02%

CHINA 25/35

 

 

MEXICO 2029

 

 

MALAYSIA 23/28

 

 

Sonstiges

 

79,81 %

     
 Fondsgesellschaft
KAG: Ashmore IM (IE)
address: 61 Aldwych
WC2B 4AE London
Internet: www.ashmoregroup.com
 
  Fonds-Suche nach Name, WKN, ISIN:        
 
 Österreich-Börsen
 ATX4.666,71 -65,12 -1,38% 
 ATX Prime2.331,20 -33,32 -1,41% 
 Immobilien-ATX353,22 0,84 0,24% 
 Indizes
 DAX24.241,46 -369,79 -1,50% 
 TecDax3.658,28 -89,19 -2,38% 
 MDAX30.250,03 -671,03 -2,17% 
 Dow Jones (EOD)45.479,60 -878,82 -1,90% 
 Nasdaq 10024.221,75 -876,43 -3,49% 
 S & P 500 (EOD)6.552,51 -182,60 -2,71% 
 SMI12.481,41 -127,74 -1,01% 


 Zinsen / Währungen
 Wichtige Währungen
 EUR/US$1,1620 0,01 0,48% 
 EUR/Yen175,8417 -1,17 -0,66% 
 EUR/CHF0,9296 -0,00 -0,30% 
 EUR/Brit. Pfund0,8702 0,00 0,10% 
 Yen/US$0,0066 0,00 1,22% 
 CHF/US$1,2513 0,01 0,89% 
 Zinsen
 ESTR (EUR)1,92700,00 0,16% 
 SAR® ON (CHF)-0,0384-0,00 -0,58% 
 TONA (JPY)0,47700,00 0,00 
 Rohstoffe
 baha Brent Indication64,36-1,60 -2,42% 
 Gold3.980,36-37,66 -0,94% 
 Silber50,320,65 1,31% 
 Platin1.644,77-34,65 -2,06% 
 

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