Invesco Pan European High Income Fund A annual distribution - EUR/  LU0794790716  /

Fonds
NAV31/05/2024 Chg.+0.0200 Type de rendement Focus sur l'investissement Société de fonds
13.2700EUR +0.15% paying dividend Mixed Fund Europe Invesco Management 

Stratégie d'investissement

The objective of the Fund is to achieve a high level of income together with long-term capital growth. The Fund intends to invest primarily in debt instruments (including contingent convertibles) and shares of companies in Europe. The Fund may invest in debt instruments which are in financial distress (distressed securities). The Fund may use securities lending for efficient portfolio management purposes. The Fund may make significant use of derivatives (complex instruments) in order to (i) reduce the risk and/or generate additional capital or income and/or (ii) meet the Fund"s investment objectives by generating varying amounts of leverage (i.e. where the Fund gains market exposure in excess of the net asset value of the Fund). The Fund is an actively managed mixed asset fund with flexible exposure to both shares of companies and debt instruments, where the benchmark, the 45% ICE BofA Euro High Yield Index (Total Return), 35% Bloomberg Pan European Aggregate Corp EUR Hedged Index (Total Return)& 20% MSCI Europe ex UK Index (Net Total Return), is used for comparison purposes. As the benchmark is a suitable proxy for the investment strategy, it is likely that some of the holdings/issuers of the Fund are also represented in the benchmark.
 

Objectif d'investissement

The objective of the Fund is to achieve a high level of income together with long-term capital growth. The Fund intends to invest primarily in debt instruments (including contingent convertibles) and shares of companies in Europe. The Fund may invest in debt instruments which are in financial distress (distressed securities). The Fund may use securities lending for efficient portfolio management purposes. The Fund may make significant use of derivatives (complex instruments) in order to (i) reduce the risk and/or generate additional capital or income and/or (ii) meet the Fund"s investment objectives by generating varying amounts of leverage (i.e. where the Fund gains market exposure in excess of the net asset value of the Fund).
 

Opérations

Type de rendement: paying dividend
Fonds Catégorie: Mixed Fund
Région de placement: Europe
Branche: Mixed fund/flexible
Benchmark: 45%ICE BofA € HY Index (TR), 35%Bloomberg Pan European Aggr. Corp € H Index (TR), 20%MSCI Europe ex UK Index (Net TR)
Début de l'exercice: 29/02
Dernière distribution: 01/03/2024
Banque dépositaire: The Bank of New York Mellon SA/NV
Domicile: Luxembourg
Permission de distribution: Austria, Germany, Switzerland, Luxembourg
Gestionnaire du fonds: Thomas Moore, Alexandra Ivanova, Oliver Collin
Actif net: 6.31 Mrd.  EUR
Date de lancement: 27/06/2012
Focus de l'investissement: -

Conditions

Surtaxe d'émission: 5.00%
Frais d'administration max.: 1.25%
Investissement minimum: 1,000.00 EUR
Deposit fees: 0.01%
Frais de rachat: 0.00%
Prospectus simplifié: Télécharger (Version imprimée)
 

Société de fonds

Société de fonds: Invesco Management
Adresse: An der Welle 5, 60322, Frankfurt am Main
Pays: Germany
Internet: www.de.invesco.com
 

Actifs

Bonds
 
72.61%
Stocks
 
19.52%
Cash
 
5.59%
Mutual Funds
 
2.28%

Pays

United Kingdom
 
18.76%
France
 
13.46%
United States of America
 
13.04%
Netherlands
 
9.78%
Germany
 
8.89%
Italy
 
8.78%
Spain
 
6.04%
Cash
 
5.59%
Luxembourg
 
2.85%
Switzerland
 
2.40%
Ireland
 
1.33%
Sweden
 
0.94%
Finland
 
0.88%
Norway
 
0.84%
Denmark
 
0.77%
Autres
 
5.65%

Monnaies

Euro
 
88.43%
US Dollar
 
3.60%
Danish Krone
 
0.26%
Autres
 
7.71%