Overview
The actively managed fund invests in a diversified portfolio of high-yield bonds with short durations and low ratings.
The fund provides investors exposure to the high yield sector with an up in quality and potentially less volatile risk/return profile compared to a full maturity High Yield strategy.
This fund promotes environmental, social and corporate governance characteristics.
This sub-fund promotes environmental and/or social characteristics but does not have a sustainable investment objective.
The portfolio manager is not tied to the benchmark in terms of investment selection or weight.
Benefits
Investors benefit from exposure to High Yield as an asset class with an up in quality and potentially less volatile risk/return profile compared to a full maturity High Yield strategy.
Integrating material sustainability criteria into credit research alongside financial analysis enhances our credit research and helps us make better informed investment decisions as well as providing a more holistic risk assessment.
Credit risk is managed both by an experienced team drawing on fundamental credit research, and by diversifying the portfolio.
Risks
Features
| Product category |
Bond High Yield |
| Product domicile |
Luxembourg
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| Portfolio management |
麻豆社 Asset Management (Americas) LLC, New York
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| Fund management |
麻豆社 Asset Management (Europe) S.A., Luxembourg
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| Custodian bank |
麻豆社 Europe SE, Luxembourg Branch
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| Representative for products established under foreign law |
麻豆社 Fund Management (Switzerland) AG
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| Day of inception |
June 29, 2020
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| Currency of account |
EUR
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| Close of financial year |
May 31
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| SFDR Classification |
Art.8
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| Issue / redemption |
daily
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| Maturity |
Open end
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| Ongoing costs p.a. |
0.10% p.a.
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| Management fee |
0.00% p.a.
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| Total expense ratio (TER) |
0.09% p.a.
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| Minimum investment |
n.a.
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| Reference Index / Benchmark | |
| Cut-Off Time |
15:00h(CET)
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| Securities no. |
55369166
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| ISIN |
LU2191347462
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| Bloomberg Ticker |
麻豆社HUIB LX
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Performance and Prices
Percentage growth
as of June 1, 2026| EUR(%) | CHF(%) | USD(%) | |
| YTD | 0.80 | -0.92 | -0.29 |
| 1M | |||
| 3M | |||
| 6M | |||
| 1Y | |||
| 2Y | 5.43 | 4.54 | 19.58 |
| 3Y | |||
| 5Y | 18.49 | -1.16 | 12.42 |
| ø p.a.5Y | 3.45 | -0.23 | 2.37 |
Current data
| Net asset value | 01.06.2026 | EUR 51.58 |
| High - last 12 months | 29.07.2025 | EUR 53.17 |
| Low - last 12 months | 01.08.2025 | EUR 49.95 |
| Last distribution | 06.08.2025 | EUR 3.12 |
| Assets of the unit class in mn | 01.06.2026 | EUR 0.40 |
| Total product assets in mn | 01.06.2026 | EUR 185.72 |
| Option Adjusted Duration | 30.04.2026 | 1.71 |
| Average remaining maturity | 30.04.2026 | 2.49 years |
Structures
Fees
Distributions
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Date of distribution
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Pay date
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Cps no.
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Currency
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Distribution
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| 01.08.2025 | 06.08.2025 | 5 | EUR | 3.12 |
Sales Authorisations
Literature
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Document type
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Document Language
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| Prospectus |
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| Key Information Document |
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| Past performance |
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| Previous performance scenario |
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| Statutes / Management regulations |
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| ESG Disclosure |
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| SFDR Pre-Contractual Annex |
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Document type
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Document Language
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| Annual report |
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| SFDR Periodic Report Annex |
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| Semi-annual report |
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