jan.deconinck@dom-finance.fr
+ 33 1 45 08 77 53
The objective of Alcis Alpha Bonds Credit is to achieve a performance above the EuroMTS 3-5 year comparison index through active credit and sensitivity management. The manager is particularly involved in the investment grade, high yield and debt markets of OECD countries.
126,01 €
NAV at 20/09/2023
5,36 %
YTD Performance
3/7
Risk level (SRRI)
3 years
Horizon investment
Performance chart
Calendar performance
Cumulative performance
Annualized performance
Performance chart
Calendar performance
Fonds | Indice de référence | |
---|---|---|
2021 | 1,67 % | -1,32 % |
2020 | 7,21 % | 1,27 % |
2019 | 6,60 % | 1,34 % |
2018 | -5,69 % | -0,23 % |
2017 | 7,38 % | 0,15 % |
2016 | 3,45 % | 1,43 % |
Cumulative performance
Fonds | Indice de référence | |
---|---|---|
Performances cumulées 3 mois | 1,08 % | 0,22 % |
Performances cumulées 1 an | 4,26 % | -0,92 % |
Performances cumulées 3 ans | -2,38 % | -10,08 % |
Performances cumulées 5 ans | 3,47 % | -7,35 % |
Performances cumulées 10 ans | 10,30 % | 1,49 % |
Performances cumulées création | 26,01 % | 33,24 % |
Annualized performance
Fonds | Indice de référence | |
---|---|---|
Performances annualisees 1 an | 4,26 % | -0,92 % |
Performances annualisees 3 ans | -0,80 % | -3,48 % |
Performances annualisees 5 ans | 0,68 % | -1,51 % |
Performances annualisees 10 ans | 0,98 % | 0,15 % |
Performances annualisees création | 1,36 % | 1,69 % |
Management direction
Alcis Alpha Bonds Credit is a CPF invested in Euro bonds of which at least 50% are investment grade rating. Alcis Alpha Credit Bonds selects securities issued by companies, specific securities such as mortgages and securitized debt.
The aim is to offer a performance above a EuroMTS 3-5 year comparison index through active credit risk and sensitivity management.
General information
- Inception date fund: 01/08/2007
- Inception date share: 01/08/2007
- Original NAV: 100€
- NAV Frequency: Weekly
- Dealing time: 12:00 p.m. each Friday
- Regulation : D+2
- Entry charge: 3% max
- Minimum initial subscription / subsequent: 1 unit (1)
- Exit charge: 3% max
- Management fees: 0.99% TTC
- Benchmark: Euro MTS 3-5 years
- Performance fees: No
- SRRI : 3
- Custodian: SGSS
- Fund Administration: SGSS
- Management company: Dom Finance
- Last AMF KIID: 2020
Legal information
- ISIN code: FR0010313742
- Bloomberg Ticker: ALALOBC FP
- Fund structure : FCP
- Classification : Bonds and other debt securities in Euros
- Type of share : Accumulation
- Minimum recommended investment period: 3 years
- Fund Manager: Jan de Coninck