The objective is to preserve capital and ensure a reasonable return by investing in emerging market bonds, either directly or indirectly through derivatives, as well as in other transferable securities and money market instruments, taking into account potential market ups and downs.
At least two-thirds of the managed assets (excluding cash) are invested in debt securities issued by government authorities and private borrowers whose registered offices are in emerging markets or who conduct the majority of their business activities in these markets.
For more information, visit the fund manager's website HERE.
Fund | Nordea 1 - Emerging Market Bond BI |
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Fund manager | - |
Launch date | 2012-05-31 |
Currency | EUR |
ISIN code | LU0772925276 |
Risk indicator | 3 |
Date | 2025-04-01 |
Cena | 146.47 |