H2O Multibonds I (C) USD - FR0010930735

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Overview

  • Asset management company: H2O AM LLP
  • Asset manager: H2O AM LLP
  • Asset class: Fixed Income
  • Asset subclass: Multistrategies
  • Specificity: ---
  • Investment universe: Global
  • Legal form: Mutual fund (French FCP)
  • AMF (French Market Authority) classification: International fixed income and debt securities
  • Inception date: 23/08/2010
  • Accounting currency: EUR
  • Minimum recommended investment period: > 3 years
  • Benchmark (1) : JPM GBI BROAD TR €
  • Allocation of income: Accumulated
  • Maximum management fees, all taxes included (basis): 0.7% (Net asset)
  • Maximum subscription fee not paid to the fund: 1%
  • Maximum subscription fee paid to the fund: None
  • Maximum redemption fee not paid to the fund: None
  • Maximum redemption fee paid to the fund: None
  • Performance fee including taxes: 25%
  • Fraction: Yes (4)
  • Cutoff time for centralising orders: 12:30
  • Centralising agent: CACEIS BANK
  • Valuation frequency: Daily
  • Master (2) : Yes
  • Feeder (2) : No

  • (1) : DNR/NDR = Net reinvested dividend.
  • (2) : A feeder fund is an investment fund which does at least 85% of its investments into another fund called a master fund. Performance of feeder funds will be lower than performance of their master funds because of its own management fees.

Reporting*

Performance net of fees from 23/11/2016 as of 22/11/2017 (base 100) - I(C) USD



Performance snapshot :

from : to :








Net rolling performance as of 22/11/2017 (%) - I(C) USD



Net annual performance (%) - I(C) USD



* These performance refer to previous years. Past performance is not a reliable indicator of future performance.
Source: Natixis Asset Management.

Risk indicators

Rolling monthly figures as of 22/11/2017 - I(C) USD
 1 year3 years
VolatilityInformation9.6613.67
Tracking error (ex post)Information------
Information ratioInformation------
Sharpe ratioInformation3.161.27
BetaInformation------

Morningstar ratingInformation: ★★★★★

NAV: 144,572.03 USD as of 22/11/2017

Total net assets: 1,484,885,699.46 EUR as of 22/11/2017

Inception NAV: 50,000 USD

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Highlight

The fund is exposed to bond and credit markets. It is therefore sensitive to the risk of a fall in bond values as a result of interest rate fluctuations, or credit risk resulting from a downgrading of the issuer's rating (company or government, etc.).
All the risks related to investment in this fund are described in the prospectus, that should be given to you before subscribing.

Legal information

Taxation will depend on each client's individual status and may be changed in the future. Not every fund is appropriate for all investors. The  risk relating to an investment in a fund is described in each specific fund prospectus and may be downloaded from this website. Natixis Asset Management urges the investors to read this document.
As part of the FATCA process, the registrar, when opening an account or the client's account holder, when subscribing, must exchange information with the tax authorities, in the framework of the investigations carried out on the research of US person.