ISIN: LU0795633071
Currency: USD
13/03/2020

down -1.9961 (-1.69%)

Schroder ISF Emerging Market Bond USD

Performance history ( 31/01/2020 )

Daily performance % ( 13/03/2020 )

Display as chart Display as chart
Daily performance
Schroder ISF Emerging Market Bond USD C Acc
Month to date -9.48
1 month -11.69
3 month -8.42
6 month -6.57
1 year -4.74
3 year 2.46
5 year 16.29

Monthly performance % ( 31/01/2020 )

Display as chart Display as chart
Monthly performance
Schroder ISF Emerging Market Bond USD C Acc 1/3 EMBI Global Div; 1/3 JPM GBI-EM Global Div; 1/3 CEMBI Broad
1 month 1.36
3 month 2.85
6 month 0.75
Year to date 1.36
1 year 7.11
3 year 16.95
5 year 29.85

Annualised performance % ( 31/01/2020 )

Display as chart Display as chart
Annualised performance
Schroder ISF Emerging Market Bond USD C Acc 1/3 EMBI Global Div; 1/3 JPM GBI-EM Global Div; 1/3 CEMBI Broad
3 year 5.36
5 year 5.36
Since launch 3.81 4.01

Calendar year performance % ( 31/12/2019 )

Display as chart Display as chart
Calendar year performance
Schroder ISF Emerging Market Bond USD C Acc 1/3 EMBI Global Div; 1/3 JPM GBI-EM Global Div; 1/3 CEMBI Broad
1 year 11.18
2 year -6.81
3 year 13.90
4 year 13.47
5 year -5.46

Overview

Asset ClassFixed Income
Share ClassC
Distribution TypeAcc
Share Class CurrencyUSD
Fund Manager(s)James Barrineau
Fernando Grisales
Fund Launch Date11/07/2012
Share Class Launch Date11/07/2012
Benchmark1/3 EMBI Global Div; 1/3 JPM GBI-EM Global Div; 1/3 CEMBI Broad
Investment SchemeSICAV
DomicileLuxembourg
Fund Range NameSchroder ISF

Charges

Entry Charge11.00 %
Distribution Fee0.00 %
Ongoing Charge0.85 %

1 Up to 1% of the total subscription amount (equivalent to 1.0101% of Nav)

Fund Codes

ISINLU0795633071
SEDOLB8BMWL5
BloombergSIEMCUA LX
CUSIPL81460294
ReutersLU0795633071.LUF
Valoren18877159

Other

Pricing FrequencyDaily
Fiscal Year End31 Dec