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Sycoyield 2032

SFDR
Art.
8
Profilo SRI
2
VPN al 21.10.2025
101,22
Sycoyield 2032

Sycoyield 2032 is a fixed-term fund seeking yield opportunities in the bond markets. It invests primarily in a rigorous selection of bonds (including convertible and subordinated bonds known as hybrids(1) issued in euros, with maturities mainly in 2032, which are intended to be held until maturity.

The carry strategy aims to achieve an annualised performance net of fees, in line with the markets for bonds issued mainly by private issuers, of any rating, with an average maturity of 2032 over an investment horizon of 7 years and 6 months. This objective is based on Sycomore AM's market assumptions(2) and does not constitute a promise of return or performance for the fund, which presents a risk of capital loss.”

Classe di attivi
Obbligazioni
Area geografica
Europa / Eurozona
Capitalizzazione
All caps
Assegnazione del label ISR
No
Cod. ISIN
FR0014010IG3
Data di creazione
10 luglio 2025
Orizzonte di colloc.
7 anni
Rischio di perdita del capitale

(1) Up to 30% of net assets may be invested in hybrids and other debt or money market securities issued by private or public issuers and similar entities, to which the net assets will be permanently exposed between 60% and 100%, including a maximum of 30% for public and similar issuers, and with a maturity of no more than one year after 31 December 2032.


(2) These assumptions include the risk of default or downgrade of one or more issuers in the portfolio. If these assumptions materialise to a greater extent than expected, the management objective may not be achieved and the investor may suffer a capital loss. Opinions, estimates or forecasts regarding bond market trends or changes in the risk profile of issuers are based on current market conditions and are subject to change without notice. Sycomore AM makes no commitment as to their realisation.

Caratteristiche

Classificazione

Capitalisation
Capitalisation
Devise
Euro
UCITS IV
Oui
Eligibilité PEA
Non

Sottoscrizioni e rimborsi

Ordres
quotidiens
Périodicité VL
quotidienne
Centralisateur
BNPP Securities Services
Date de règlement
J+2

Spese di gestione

Frais de gestion & admin
1.16%
Commission de surperformance
néant
Droits d'entrée
3%
Droits de sortie
néant
Commission de mouvement
néant

Indicatore di rischio

1
2
3
4
5
6
7
Rischio inferiore
Rischio superiore
L'indicatore sintetico di rischio consente di valutare il livello di rischio di questo prodotto rispetto ad altri. Esso indica la probabilità che questo prodotto subisca delle perdite in caso di movimenti di mercato o di incapacità da parte nostra di pagarvi.

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