Valori SICAV Global Flexible Bond Fund
Class A
ISIN LU2481106198

Details

Net Asset Value
113.25
Asset Under Management
46.475.544,55
Launch Date
01-06-2023
SFDR Type
Article 8

Fees

Management fee
0,84%
Performance fee
12,00%
Minimum initial investment*
1.000
* Subsequent investments are not subject to a minimum value

Investment objectives

Global Flexible Bond Fund aims to achieve capital appreciation while maintaining an appropriate level of diversification across bond segments for each interest rate level. The fund has global exposure and can invest in almost any bond sub-asset class (Govies, Corporate IG, HY, Sub Debt, Convertible and Futures). Currencies are usually hedged or actively managed. The prospectus allows flexibility in management, as the fund has no benchmark, but with certain constraints: maximum 20% High Yield and unrated issuers, maximum 15% CoCo Bond or Convertible (contributes to HY limit), maximum 10% in UCITS or UCI funds, also with ABS or MBS exposure, 0% in defaulted or distressed securities.

Morningstar Sustainability Rating

Risk and return profile

1
2
3
4
5
6
7

Comment

Equity markets recorded further declines in April. Global equities were hit by the ongoing war in Ukraine, lockdowns in China, ongoing supply chain disruptions and expectations that US interest rates could rise rapidly. Economic data showed signs of weakening as inflationary pressures continued to push the Fed into a more aggressive path of rate hikes. Eurozone annual inflation reached 7.5% in April.
Sovereign bond yields have peaked in developed markets. Corporate bonds underperformed government bonds. High yield has seen the most significant spread widening, although spreads are below the highs recorded earlier this year. Emerging market bonds also posted negative returns, notably sovereign debt, while corporate credit was more resilient.
The fund did not open or increase any exposure to bonds but closed or reduced the exposure in Australia, Banco BPM Spa and Poland.

Performance

Dati aggiornati al:

29-04-2025
Valori SICAV Global Flexible Bond Fund

Allocation

BUONI POLIENNALI DEL TES 4.5% 01.10.53
7,93%
FRANCE (GOVT OF) 3.25% 25.05.55
4,76%
EUROPEAN INVESTMENT BANK 4.75% 29.10.25
3,49%
INTESA SANPAOLO SPA TV 20.06.54
2,42%
BUNDESREPUB. DEUTSCHLAND 2.3% 15.02.33
2,27%
ZEGONA FINANCE PLC 31.07.29
2,19%
CTP NV 10.03.35
1,66%
VALEO SE 4.5% 11.04.30
1,33%
UNITED KINGDOM GILT 0.5% 22.10.61
1,30%
ALTAREA 02.10.31
1,21%

How to invest

Retail Investors

Italian Retail Investors

As an Italian Private Investor, in order to invest in the Valori funds, you need to contact the Authorized Distributors for distribution in Italy.

Download the PDF with the list of Authorized Distributors.

Swiss Retail Investors

In order to subscribe to the Fund you will need to contact your Banking Institution, communicating the ISIN of interest.

Institutional Investors

European Institutional Investors

As a European Institutional Investor, in order to subscribe to the Fund you can:

  1. Contact a Transfer Agent, by completing and faxing the subscription form provided by him/her
  2. Contact one of the following Intermediaries:

– All Funds Bank

Swiss Institutional Investors

As a Swiss Institutional Investor, in order to subscribe to the Fund you will need to contact your Banking Institution, communicating the ISIN of interest.

Documents

PRIIPSEU_LU2481106198_en_LU

pdf

PRIIPSEU_LU2481106198_fr_CH

pdf

PRIIPSEU_LU2481106198_it_CH

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PRIIPSEU_LU2481106198_it_IT

pdf

PRIIPSEU_LU2481106198_en_CH

pdf

PRIIPSEU_LU2481106198_de_LU

pdf