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Documento sintetico descrittivo delle caratteristiche e delle performance dell'oicr, a cura di Fida
Dati al 31/01/2026.
The fund invests in interest-bearing securities, convertible and warrant-linked bonds, participation and dividend-right certificates, equities and equity warrants. At least 2/3 of the fund's assets are invested in bonds, convertible bonds and other fixed-rate securities or floating-rate bonds denominated in euro. The duration of the overall portfolio shall be approximately 5 years. To manage duration, the fund may employ derivative instruments, in particular interest rate swaps. No more than 25% of the net assets may be invested in convertible bonds and convertible debentures and warrant-linked bonds; no more than 10% may be invested in participation and dividend-right certificates (Genussscheine), equities and equity warrants. Derivative financial instruments may be used for both investment and hedging purposes. The fund may invest more than 35% of the fund's assets in government bonds issued by the Federal Republic of Germany, the French Republic and the Italian Republic.