Flossbach von Storch - Bond Opportunities - RT

Flossbach von Storch - Bond Opportunities is a globally diversified bond fund with an active investment approach that focuses on corporate bonds, government bonds and covered bonds. The Fund flexibly exploits the opportunities of the entire bond market. In addition to bonds with an investment-grade quality, the fund management can also invest in bonds without a rating or in those that do not have investment-grade quality. Foreign currency risks are currently only entered into to a manageable extent. Securities selection is based on a fundamental research and analysis process. The fund manager relies on research tools developed in-house. The investment strategy includes in-house valuation models, ESG integration, engagement and voting. In addition, exclusion criteria defined as part of the Sub-Fund's investment policy are taken into account. The Sub-Fund is actively managed and not benchmarked against an index. The portfolio is composed by the fund manager exclusively in accordance with the criteria defined in the investment policy, reviewed regularly and adjusted if necessary. The Sub-Fund is classified as an Article 8 product within the meaning of the Disclosure Regulation (EU) 2019/2088 (SFDR). For detailed information on the objectives and investment policy, please refer to the most recent sales prospectus and the Key Information Document (PRIIP-KID).


ISIN:LU1481583711
Authorised for distribution:AT, BE, CH, DE, ES, IT, LI, LU, PT
Fund type / legal structure:UCITS / FCP
Domicile:Luxemburg
SFDR Classification:Article 8
Fund currency:EUR
Launch date:17 October 2016
Financial year end:30 September
Income utilisation:Accumulating
Management company:Flossbach von Storch Invest S.A.
Custodian bank / Paying agent:DZ PRIVATBANK S.A.
Manager:Flossbach von Storch AG
Data from:29 March 2023
Shareclass assets:362,738,848.26 EUR
NIW:111.02 EUR
Redemption price:111.02 EUR
Issue price*:114.35 EUR
Redemption fee:0.00%
Ongoing charges:1.02%
which includes a management fee of:0.93%
Performance fee:
Issue surcharge:up to 3.00%
Exchange commission:up to 3.00% (based on the unit value of the units to be purchased for the benefit of the relevant distributor)

* incl. max. issue surcharge 3.00%

Source: Custodian bank / Paying agent

Annual performance (As at: 29.03.2023)

Gross fund performance (BVI method) takes into account all costs incurred at fund level (for example, management fees), net fund performance also takes into account the subscription fee. Further costs may be charged individually at customer level (e.g. custody fees, commissions and other charges). Example calculation (net method): An investor wishes to buy shares with capital of €1,000. Based on a maximum subscription fee of 5 %, € 50 will be deducted from their investment as a one-off initial charge. In addition, custody fees may also be applied, which will further reduce the investor’s return. The level of custody fees can be found in your bank’s schedule of fees and services.
Please refer to the cost details presented in this document to determine the maximum subscription fee for the share class of the sub-fund.
The reference index is merely informative. It does not constitute any obligation from the fund manager to track the index or achieve the same performance.
Past performance is not a reliable indicator of future performance.

Source: Custodian bank and SIX Financial Information

Performance(EUR, gross, in %, As at: 29.03.2023)

Gross fund performance (BVI method) takes into account all costs incurred at fund level (for example, management fees), net fund performance also takes into account the subscription fee. Further costs may be charged individually at customer level (e.g. custody fees, commissions and other charges). Example calculation (net method): An investor wishes to buy shares with capital of €1,000. Based on a maximum subscription fee of 5 %, € 50 will be deducted from their investment as a one-off initial charge. In addition, custody fees may also be applied, which will further reduce the investor’s return. The level of custody fees can be found in your bank’s schedule of fees and services.
Please refer to the cost details presented in this document to determine the maximum subscription fee for the share class of the sub-fund.
The reference index is merely informative. It does not constitute any obligation from the fund manager to track the index or achieve the same performance.
Past performance is not a reliable indicator of future performance.

Source: Custodian bank and SIX Financial Information

Accumulated Performance (gross, in %, As at: 29.03.2023)

YTD2.42%
1 year-1.70%
3 years3.99%
5 years8.58%
10 years36.30%
1 year p.a.-1.70%
3 years p.a.1.31%
5 years p.a.1.66%
10 years p.a.3.14%
since 04.06.200968.06%

Gross fund performance (BVI method) takes into account all costs incurred at fund level (for example, management fees), net fund performance also takes into account the subscription fee. Further costs may be charged individually at customer level (e.g. custody fees, commissions and other charges). Example calculation (net method): An investor wishes to buy shares with capital of €1,000. Based on a maximum subscription fee of 5 %, € 50 will be deducted from their investment as a one-off initial charge. In addition, custody fees may also be applied, which will further reduce the investor’s return. The level of custody fees can be found in your bank’s schedule of fees and services.
Please refer to the cost details presented in this document to determine the maximum subscription fee for the share class of the sub-fund.
The reference index is merely informative. It does not constitute any obligation from the fund manager to track the index or achieve the same performance.
Past performance is not a reliable indicator of future performance.

Source: Custodian bank and SIX Financial Information

Monthly performance (gross, in %, As at: 29.03.2023)

 20232022202120202019201820172016201520142013
Jan2.31%-1.55%-0.59%0.63%1.81%-0.31%0.46%-1.34%2.50%1.06%-0.56%
Feb-1.35%-2.61%-2.27%0.35%1.46%-0.63%1.65%1.90%1.31%1.44%0.78%
Mar1.48%-1.33%0.03%-6.06%1.58%-0.62%-0.21%3.08%0.57%0.37%0.75%
Apr-1.61%0.09%6.59%1.13%0.42%0.75%1.75%0.39%0.68%0.59%
May0.09%-0.23%1.62%-0.02%0.04%0.57%-0.02%-0.81%1.66%-0.01%
Jun-3.78%1.28%1.39%2.60%-0.55%-0.14%1.31%-2.57%0.59%-1.63%
Jul3.67%1.57%2.64%1.56%0.95%0.36%2.80%1.00%0.08%1.18%
Aug-1.48%-0.22%-0.47%1.43%0.03%0.25%1.12%-1.09%0.66%-0.07%
Sep-3.53%-1.15%-0.13%-0.40%-0.19%-0.05%-0.12%-1.63%-1.06%1.16%
Oct0.05%-1.00%0.66%-0.12%-0.91%0.82%-0.19%3.39%0.71%1.01%
Nov3.34%-0.15%1.88%-0.16%-1.00%-0.12%-1.35%0.02%0.54%0.34%
Dec-0.82%0.27%-0.06%0.34%-0.26%-0.14%0.84%-1.21%-0.13%-0.28%
YTD2.42%-9.43%-2.41%8.95%11.74%-3.00%4.27%10.10%1.72%6.78%3.25%

Gross fund performance (BVI method) takes into account all costs incurred at fund level (for example, management fees), net fund performance also takes into account the subscription fee. Further costs may be charged individually at customer level (e.g. custody fees, commissions and other charges). Example calculation (net method): An investor wishes to buy shares with capital of €1,000. Based on a maximum subscription fee of 5 %, € 50 will be deducted from their investment as a one-off initial charge. In addition, custody fees may also be applied, which will further reduce the investor’s return. The level of custody fees can be found in your bank’s schedule of fees and services.
Please refer to the cost details presented in this document to determine the maximum subscription fee for the share class of the sub-fund.
The reference index is merely informative. It does not constitute any obligation from the fund manager to track the index or achieve the same performance.
Past performance is not a reliable indicator of future performance.

Source: Custodian bank and SIX Financial Information

Strategy breakdown (As at: 28.02.2023)

Government bonds56.68 %
Corporate bonds27.87 %
Covered Bonds11.74 %
Cash3.34 %
Convertible bonds0.45 %
Other (incl. derivatives)-0.08 %

Source: Depositary and Flossbach von Storch

Top 10 guarantors (As at: 28.02.2023)

Republic of Germany19.39 %
United States of America13.76 %
Kreditanstalt für Wiederaufbau6.70 %
European Union4.42 %
BNG Bank N.V.2.94 %
ING Groep N.V.2.73 %
European Financial Stability F2.42 %
Commerzbank AG2.27 %
Vonovia SE1.86 %
Coöperatieve Rabobank U.A.1.81 %

 Source: Depositary and Flossbach von Storch

Top 10 sectors (As at: 28.02.2023)

Financials25.96 %
Real Estate18.32 %
Communication Services17.21 %
Consumer Discretionary14.61 %
Industrials9.42 %
Health Care3.84 %
Materials3.60 %
Energy2.72 %
Utilities2.35 %
Consumer Staples1.60 %

 Source: Depositary and Flossbach von Storch

Breakdown of ratings for bonds (As at: 28.02.2023)

AAA63.15 %
AA8.85 %
A7.84 %
BBB10.96 %
BB7.33 %
NR1.88 %

Source: Depositary and Flossbach von Storch

Other key figures (As at: 28.02.2023)

Sharpe Ratio a0,52
Value at Risk (VaR) b-3,49%
Volatility c5,26%
Maximum drawdown d-10,02%

a The Sharpe ratio is a measurement for the risk/return profile of an investment. In terms of sub-funds, it determines how much outperformance (that is return on the fund’s assets minus the return of a risk-free asset) the sub-fund achieved per unit of risk.

b The value at risk (VaR) is a means to measure risk and describes the loss that, with a pre-defined probability (in this case 99 per cent) and in a predetermined holding period (in this case 20 days), will not be exceeded. Here we are dealing with an ex post VaR which has been calculated according to sub-fund prices for a given time series.

c Volatility is measured through standard deviation and is used to determine the degree of fluctuation of sub-fund prices over a given time frame.

d The “maximum drawdown” shows the maximum loss an investor can suffer through an unfortunate choice of timing for buying or selling securities in a given time period (260 days).

Historic Prices

As atShare class currencyIssue priceRedemption priceNAV*
EUR100.00
EUR103.04100.04100.04
EUR103.19100.18100.17
EUR103.29100.28100.28
EUR103.38100.37100.37
EUR100.37
EUR100.37
EUR103.45100.44100.44
EUR103.50100.49100.48
EUR103.56100.54100.54
EUR103.40100.39100.39
EUR103.23100.22100.22
EUR100.22
EUR100.22
EUR103.13100.13100.13
EUR100.13
EUR102.9199.9199.91
EUR102.8799.8799.87
EUR102.8299.8399.83
EUR99.83
EUR99.83
EUR102.7399.7499.73
EUR102.8299.8399.83
EUR102.8599.8599.85
EUR102.5899.5999.58
EUR102.3699.3899.38
EUR99.38
EUR99.38
EUR102.1099.1399.13
EUR101.6098.6498.64
EUR101.7398.7798.76
EUR101.7498.7898.78
EUR101.6298.6698.65
EUR98.66
EUR98.66
EUR101.4398.4898.48
EUR101.3698.4198.40
EUR101.6698.7098.69
EUR101.5898.6298.62
EUR101.6298.6698.66
EUR98.66
EUR98.66
EUR101.6498.6898.67
EUR101.7098.7498.74
EUR101.7598.7998.78
EUR101.6098.6498.63
EUR101.4298.4798.47
EUR98.47
EUR98.47
EUR101.4698.5098.50
EUR101.4198.4698.45
EUR101.4698.5098.49
EUR101.6198.6598.65
EUR101.7998.8398.83
EUR98.83
EUR98.83
EUR101.9098.9398.92
EUR101.8398.8698.86
EUR101.9398.9698.96
EUR102.1099.1399.13
EUR101.9598.9898.97
EUR98.97
EUR98.97
EUR101.9698.9998.98
EUR102.1799.1999.18
EUR102.1599.1799.17
EUR102.2799.2999.29
EUR102.2499.2699.26
EUR99.26
EUR99.26
EUR99.26
EUR102.2899.3099.30
EUR102.3799.3999.39
EUR102.5799.5899.57
EUR102.6099.6199.61
EUR99.61
EUR99.61
EUR102.5999.6099.60
EUR102.5999.6099.60
EUR102.7299.7399.73
EUR102.7999.8099.80
EUR102.9499.9499.94
EUR102.8799.8799.87
EUR103.02100.02100.02
EUR103.01100.01100.01
EUR103.22100.21100.21
EUR103.18100.17100.17
EUR103.10100.10100.10
EUR103.16100.16100.16
EUR103.22100.21100.21
EUR103.16100.16100.16
EUR103.10100.10100.10
EUR102.9899.9899.98
EUR103.10100.10100.10
EUR103.06100.06100.06
EUR103.02100.02100.02
EUR103.04100.04100.04
EUR103.08100.08100.08
EUR103.07100.07100.07
EUR102.9499.9499.94
EUR102.9999.9999.99
EUR103.04100.04100.04
EUR103.27100.26100.26
EUR103.47100.46100.46
EUR103.58100.56100.56
EUR103.70100.68100.68
EUR103.66100.64100.64
EUR103.77100.75100.75
EUR103.83100.81100.81
EUR103.81100.79100.79
EUR103.82100.80100.80
EUR103.92100.89100.89
EUR104.11101.08101.08
EUR104.14101.11101.11
EUR104.25101.21101.21
EUR104.45101.41101.41
EUR104.60101.55101.55
EUR104.81101.76101.76
EUR104.77101.72101.72
EUR104.67101.62101.62
EUR104.62101.57101.57
EUR104.59101.54101.54
EUR104.51101.47101.47
EUR104.51101.47101.47
EUR104.46101.42101.42
EUR104.24101.20101.20
EUR103.91100.88100.88
EUR103.75100.73100.73
EUR103.65100.63100.63
EUR103.65100.63100.63
EUR104.01100.98100.98
EUR104.08101.05101.05
EUR104.11101.08101.08
EUR104.15101.12101.12
EUR104.19101.16101.16
EUR104.25101.21101.21
EUR104.22101.18101.18
EUR104.29101.25101.25
EUR104.24101.20101.20
EUR104.24101.20101.20
EUR104.52101.48101.48
EUR104.56101.51101.51
EUR104.62101.57101.57
EUR104.83101.78101.78
EUR104.78101.73101.73
EUR104.81101.76101.76
EUR104.86101.81101.81
EUR104.91101.85101.85
EUR104.98101.92101.92
EUR105.06102.00102.00
EUR105.13102.07102.07
EUR105.14102.08102.08
EUR105.25102.18102.18
EUR105.15102.09102.09
EUR105.08102.02102.02
EUR105.07102.01102.01
EUR105.04101.98101.98
EUR104.88101.83101.83
EUR105.10102.04102.04
EUR105.34102.27102.27
EUR105.30102.23102.23
EUR105.44102.37102.37
EUR105.46102.39102.39
EUR105.32102.25102.25
EUR105.30102.23102.23
EUR105.32102.25102.25
EUR105.38102.31102.31
EUR105.47102.40102.40
EUR105.48102.41102.41
EUR105.55102.48102.48
EUR105.51102.44102.44
EUR105.42102.35102.35
EUR105.59102.51102.51
EUR105.52102.45102.45
EUR105.52102.45102.45
EUR105.45102.38102.38
EUR105.46102.39102.39
EUR105.68102.60102.60
EUR105.75102.67102.67
EUR105.74102.66102.66
EUR105.94102.85102.85
EUR105.91102.83102.83
EUR105.91102.83102.83
EUR106.14103.05103.05
EUR106.27103.17103.17
EUR106.18103.09103.09
EUR106.16103.07103.07
EUR106.20103.11103.11
EUR106.20103.11103.11
EUR106.22103.13103.13
EUR106.42103.32103.32
EUR106.37103.27103.27
EUR106.38103.28103.28
EUR106.44103.34103.34
EUR106.53103.43103.43
EUR106.47103.37103.37
EUR106.48103.38103.38
EUR106.58103.48103.48
EUR106.18103.09103.09
EUR106.07102.98102.98
EUR105.79102.71102.71
EUR105.76102.68102.68
EUR105.76102.68102.68
EUR105.80102.72102.72
EUR105.86102.78102.78
EUR105.61102.53102.53
EUR105.48102.41102.41
EUR105.59102.51102.51
EUR105.59102.51102.51
EUR105.77102.69102.69
EUR105.86102.78102.78
EUR105.87102.79102.79
EUR106.02102.93102.93
EUR106.05102.96102.96
EUR106.24103.15103.15
EUR106.18103.09103.09
EUR106.22103.13103.13
EUR106.23103.14103.14
EUR106.08102.99102.99
EUR106.22103.13103.13
EUR106.30103.20103.20
EUR106.17103.08103.08
EUR106.16103.07103.07
EUR106.35103.25103.25
EUR106.33103.23103.23
EUR106.45103.35103.35
EUR106.56103.46103.46
EUR106.57103.47103.47
EUR106.59103.49103.49
EUR106.55103.45103.45
EUR106.48103.38103.38
EUR106.38103.28103.28
EUR106.36103.26103.26
EUR106.46103.36103.36
EUR106.49103.39103.39
EUR106.46103.36103.36
EUR106.39103.29103.29
EUR106.46103.36103.36
EUR106.50103.40103.40
EUR106.39103.29103.29
EUR106.41103.31103.31
EUR106.30103.20103.20
EUR106.39103.29103.29
EUR106.44103.34103.34
EUR106.47103.37103.37
EUR106.44103.34103.34
EUR106.42103.32103.32
EUR106.59103.49103.49
EUR106.52103.42103.42
EUR106.57103.47103.47
EUR106.54103.44103.44
EUR106.51103.41103.41
EUR106.45103.35103.35
EUR106.46103.36103.36
EUR106.47103.37103.37
EUR106.32103.22103.22
EUR106.36103.26103.26
EUR106.33103.23103.23
EUR106.37103.27103.27
EUR106.38103.28103.28
EUR106.39103.29103.29
EUR106.52103.42103.42
EUR106.58103.48103.48
EUR106.49103.39103.39
EUR106.39103.29103.29
EUR106.43103.33103.33
EUR106.54103.44103.44
EUR106.59103.49103.49
EUR106.62103.51103.51
EUR106.64103.53103.53
EUR106.56103.46103.46
EUR106.61103.50103.50
EUR106.65103.54103.54
EUR106.68103.57103.57
EUR106.77103.66103.66
EUR106.87103.76103.76
EUR107.02103.90103.90
EUR107.06103.94103.94
EUR107.05103.93103.93
EUR106.98103.86103.86
EUR106.96103.84103.84
EUR107.04103.92103.92
EUR106.92103.81103.81
EUR106.77103.66103.66
EUR106.90103.79103.79
EUR107.16104.04104.04
EUR107.26104.14104.14
EUR107.49104.36104.36
EUR107.46104.33104.33
EUR107.57104.44104.44
EUR107.69104.55104.55
EUR107.67104.53104.53
EUR107.51104.38104.38
EUR107.31104.18104.18
EUR107.13104.01104.01
EUR107.06103.94103.94
EUR106.87103.76103.76
EUR106.72103.61103.61
EUR106.84103.73103.73
EUR106.89103.78103.78
EUR106.86103.75103.75
EUR107.03103.91103.91
EUR107.13104.01104.01
EUR107.11103.99103.99
EUR107.09103.97103.97
EUR107.18104.06104.06
EUR107.18104.06104.06
EUR107.13104.01104.01
EUR107.01103.89103.89
EUR107.11103.99103.99
EUR107.11103.99103.99
EUR107.23104.11104.11
EUR107.27104.15104.15
EUR107.23104.11104.11
EUR107.27104.15104.15
EUR107.19104.07104.07
EUR107.28104.16104.16
EUR107.27104.15104.15
EUR107.30104.17104.17
EUR107.25104.13104.13
EUR107.17104.05104.05
EUR107.06103.94103.94
EUR106.94103.83103.83
EUR106.93103.82103.82
EUR106.92103.81103.81
EUR107.03103.91103.91
EUR106.98103.86103.86
EUR106.82103.71103.71
EUR106.88103.77103.77
EUR107.04103.92103.92
EUR107.13104.01104.01
EUR107.25104.13104.13
EUR107.33104.20104.20
EUR107.41104.28104.28
EUR107.09103.97103.97
EUR106.98103.86103.86
EUR106.91103.80103.80
EUR106.86103.75103.75
EUR106.97103.85103.85
EUR106.99103.87103.87
EUR106.94103.83103.83
EUR106.96103.84103.84
EUR106.99103.87103.87
EUR107.10103.98103.98
EUR107.03103.91103.91
EUR106.89103.78103.78
EUR106.89103.78103.78
EUR106.77103.66103.66
EUR106.65103.54103.54
EUR106.61103.50103.50
EUR106.56103.46103.46
EUR106.30103.20103.20
EUR106.29103.19103.19
EUR106.16103.07103.07
EUR106.33103.23103.23
EUR106.13103.04103.04
EUR105.80102.72102.72
EUR105.81102.73102.73
EUR105.52102.45102.45
EUR105.43102.36102.36
EUR105.59102.51102.51
EUR105.88102.80102.80
EUR105.86102.78102.78
EUR105.88102.80102.80
EUR105.90102.82102.82
EUR105.85102.77102.77
EUR105.83102.75102.75
EUR105.95102.86102.86
EUR105.98102.89102.89
EUR106.05102.96102.96
EUR106.00102.91102.91
EUR105.82102.74102.74
EUR105.73102.65102.65
EUR105.79102.71102.71
EUR105.79102.71102.71
EUR105.87102.79102.79
EUR105.90102.82102.82
EUR105.94102.85102.85
EUR105.90102.82102.82
EUR105.83102.75102.75
EUR105.82102.74102.74
EUR105.84102.76102.76
EUR105.68102.60102.60
EUR105.61102.53102.53
EUR105.58102.50102.50
EUR105.54102.47102.47
EUR105.35102.28102.28
EUR105.26102.19102.19
EUR105.41102.34102.34
EUR105.32102.25102.25
EUR105.46102.39102.39
EUR105.42102.35102.35
EUR105.39102.32102.32
EUR105.55102.48102.48
EUR105.68102.60102.60
EUR105.66102.58102.58
EUR105.71102.63102.63
EUR105.77102.69102.69
EUR105.87102.79102.79
EUR105.97102.88102.88
EUR105.94102.85102.85
EUR106.05102.96102.96
EUR105.93102.84102.84
EUR105.68102.60102.60
EUR105.69102.61102.61
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EUR112.24108.97108.97
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EUR111.35108.11108.11
EUR111.30108.06108.06
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EUR111.23107.99107.99
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EUR112.09108.83108.83
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EUR114.66111.32111.32
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EUR111.98108.72108.72
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EUR114.05110.73110.73
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EUR114.38111.05111.05
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EUR114.38111.05111.05
EUR114.19110.86110.86
EUR114.06110.74110.74
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EUR114.80111.46111.46
EUR114.87111.52111.52
EUR114.41111.08111.08
EUR114.35111.02111.02

Opportunities

  • Participate in global bond market growth.
  • Income can be generated from regular interest payments.
  • Active interest rate, currency and risk management (e.g. from the use of derivatives).

Risks

  • Country, credit and issuer liquidity risk. Also potential exchange rate risks. If securities are illiquid (i.e. thinly traded), there is a risk that it may either not be possible to sell the assets at all or only by accepting a significant discount on the sale price. ESG criteria can restrict the selection of target investments in terms of category and number, sometimes considerably.
  • Investing in bonds may entail price risks, especially in case of rising interest rates on the capital markets.
  • Where used, derivatives can have a greater negative impact on the fund value than would be the case if the assets were acquired directly. This can affect the fund's risk profile and volatility (tendency for the price to fluctuate).

*Performance in the years 2009 to 2016 was simulated using the performance of share class R (LU0399027613) of sub-fund Flossbach von Storch - Bond Opportunities. The simulation took account of any differences in remuneration structure. Share class R and share class RT have the same investment policy. Thus, there may be deviations between the redemption price and the NAV up to and including the calendar year of the issue.

Morningstar Rating™ overall: © (2023) Morningstar Inc. All rights reserved. The information contained herein: (1) is protected by copyright for Morningstar and / or its content providers; (2) may not be copied or distributed, and (3) is not guaranteed with regard to its accuracy, completeness, or timeliness. Neither Morningstar nor its content providers are liable for any damages or losses that may result from the use of this information. Ratings refer to the previous month.

For more information on Morningstar’s ratings, please visit: https://www.morningstar.co.uk/uk/help/Methodology.aspx.

Date: 31.01.2023

The Morningstar Rating shown here is based on a so-called “Track Record Extension”. This extension of the performance history implies that a back-calculation has taken place. The performance which is given dates back to before the launch of these sub-funds. The simulated performance corresponds to the methodology which is set out in the relevant Morningstar Extended Performance Methodology Paper. For more information please go to: https://www.morningstar.co.uk/uk/glossary/126106/track-record-extension.aspx.