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The sub-fund invests for long term total return in a portfolio allocated across the full spectrum of Euro denominated bonds and other similar securities or instruments. The Total Return strategy aims to capture the majority of the upside in the Euro credit universe while limiting the downside risk. The Total Return strategy has a flexible allocation across the fixed income market. Returns are mainly generated through duration management, yield curve positioning, rating and sector breakdowns and the selection of individual securities within the investment universe. By seeking multiple sources of return, the Total Return strategy aims to provide over an investment cycle risk-adjusted returns above the investment universe of the sub-fund without reference to a benchmark. However the Total Return strategy does not imply there is any protection of capital or guarantee of a positive return over time.
Name | Title | Since | Until |
---|---|---|---|
Jean-Olivier Neyrat | Portfolio Manager | 2013 | Now |
Erwan Ollivier | Portfolio Manager | 2015 | 2019 |
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