Jupiter Flexible Macro D GBP Acc HSC

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This fund can be held in
Trading AccountISAJISASIPP

Fund Info

  • Yield History-
  • 3 Year sharpe-
  • 3 Year alpha-
  • Distribution Typeaccumulation
  • BenchmarkEuribor 1M
  • Legal StructureSICAV
  • Fund Size (month end)SICAV
  • OCF1.16%
  • IA Sector-
  • Manager GroupJupiter
  • DomicileLuxembourg
  • ISINLU2054469742

Investment Strategy

To provide a total return in excess of 1M Euribor over a three year rolling period through a combination of capital growth and income. The Fund will invest at least 70% of its Net Asset Value in a portfolio of fixed interest securities (including investment grade and high yield corporate bonds, sovereign debt and agency debt), equities and/or equity related securities, and REITS, in each case which may be issued by issuers located in any country, including emerging markets, and financial derivative instruments. The Fund's portfolio may be concentrated (i.e. more than 50% of its Net Asset Value may be held) in any one or a combination of such types of assets.

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