| Asset Class: |
Investment Grade Credit |
| Morningstar Category:1 |
EAA Fund Other Bond |
| SFDR Classification:♰♰ |
Article 8 |
| Fund Launch Date: |
06-Jul-2018
|
| Fund Base Currency: |
EUR |
Fund Assets (MM): as of
17-Dec-2025
|
366.08 EUR |
|
Net Asset Value: as of
17-Dec-2025
|
26.39 EUR |
| Share Class Launch Date: |
06-Jul-2018
|
Share Class Assets (MM): as of
17-Dec-2025
|
13.45 EUR |
| CUSIP: |
L6526M183 |
| ISIN: |
LU1832969577 |
| Bloomberg: |
MSIECAX LX |
| Sedol: |
BF538S2 |
| Valoren: |
42074166 |
| Lipper: |
68493275 |
| WKN: |
A2PE47 |
| Max Entry Charge: |
4.00 % |
| Ongoing Charges: |
1.04 % |
| Management Fee: |
0.80 % |
| Minimum Initial Investment: |
0 USD |
| Minimum Subsequent Investment: |
0 USD |
|
|
| Asset Class: |
Investment Grade Credit |
| Morningstar Category:1 |
EAA Fund Other Bond |
| SFDR Classification:♰♰ |
Article 8 |
| Fund Launch Date: |
06-Jul-2018
|
| Fund Base Currency: |
EUR |
Fund Assets (MM): as of
17-Dec-2025
|
366.08 EUR |
|
Net Asset Value: as of
17-Dec-2025
|
26.39 EUR |
| Share Class Launch Date: |
06-Jul-2018
|
Share Class Assets (MM): as of
17-Dec-2025
|
13.45 EUR |
| CUSIP: |
L6526M183 |
| ISIN: |
LU1832969577 |
| Bloomberg: |
MSIECAX LX |
| Sedol: |
BF538S2 |
| Valoren: |
42074166 |
| Lipper: |
68493275 |
| WKN: |
A2PE47 |
| Max Entry Charge: |
4.00 % |
| Ongoing Charges: |
1.04 % |
| Management Fee: |
0.80 % |
| Minimum Initial Investment: |
0 USD |
| Minimum Subsequent Investment: |
0 USD |
To provide an attractive rate of relative return, while seeking to reduce the Fund's exposure to market interest rate movements.
Seeks to provide an attractive rate of return, measured in Euro, while seeking to reduce the Fund’s exposure to market interest rate movements.
|
The value of the investments and the income from them will vary and there can be no assurance that the Fund will achieve its investment objectives.
|
Government Related
|
7.69
|
|
Corporates
|
89.14
|
|
Industrial
|
30.23
|
|
Utility
|
9.33
|
|
Financial Institutions
|
49.58
|
|
Interest Rate Swaps
|
--
|
|
Cash & Equivalents
|
3.17
|
|
AAA
|
0.09
|
|
AA
|
10.00
|
|
A
|
36.27
|
|
BBB
|
47.54
|
|
BB
|
0.91
|
|
B
|
0.11
|
|
Not Rated
|
0.54
|
|
Cash
|
4.53
|
May not sum to 100% due to the exclusion of other assets and liabilities.
|
U.S.
|
15.53
|
|
France
|
11.79
|
|
Germany
|
8.77
|
|
United Kingdom
|
7.69
|
|
Netherlands
|
6.24
|
|
Italy
|
5.53
|
|
Spain
|
4.99
|
|
Australia
|
4.39
|
|
Belgium
|
3.60
|
|
Other
|
26.91
|
|
Cash
|
4.53
|
May not sum to 100% due to the exclusion of other assets and liabilities.
|
Wells Fargo & Co., 2.766000%, 2029-07-23
|
0.99
|
|
Dnb Bank Asa, 2.498000%, 2029-08-08
|
0.80
|
|
Toronto-Dominion Bank/the, 4.030000%, 2036-01-23
|
0.61
|
|
Ga Global Funding Trust, 4.133000%, 2035-09-16
|
0.59
|
|
Royal Bank of Canada, 3.125000%, 2031-09-27
|
0.57
|
|
Canadian Imperial Bank of Commer, 3.250000%, 2031-07-16
|
0.57
|
|
Bank of Montreal, 3.250000%, 2032-01-09
|
0.56
|
|
Pernod Ricard S.A., 3.250000%, 2032-03-03
|
0.55
|
|
Bayer AG, 5.500000%, 2054-09-13
|
0.49
|
|
Elm Bv For Julius Baer, 3.375000%, 2030-06-19
|
0.48
|
|
Total
|
6.21
|
These securities and percentage allocations are only for illustrative purposes and do not constitute, and should not be construed as, investment advice or recommendations with respect to the securities or investments mentioned.
|
Duration (years)
|
0.00 |
|
Average yield to maturity (%)
|
3.20 |
|
Number of holdings
|
535 |
|