Fund details on the selected share class are available below.
Schroder ISF Asian Bond Absolute Return A Acc
Fund Details
|
Fund Prices
|
Fund Performance
To view all available information on the share class selected please choose the appropriate panel.
Fund Details
Fund Range
Schroder ISF
Ccy
USD
Benchmark
Citi Treasury/Agency (TR)
Domicile
Luxembourg
Asset Class
Fixed Income
Share Class
A
Share Type
Acc
Launch Date
17/01/2000
ISIN
LU0106250508
Sedol
5794610
Bloomberg
SCHABDA LX
Reuters
LU0106250508.LUF
Valoren
1034702
Cusip
L8146A 10 2
Minimum Subscription
1 000 EUR / USD
Max. Initial Charge
5.26315%
Minimum Deal Size
1 000 EUR / USD
WAM
2.34
EU Savings Directive
In scope for distributions and redemptions
Fund Fees
Maximum Management Fee in %
1.25%
Distributors Fee
Nil
Performance Fee
No
Fund Ratings as at 31/08/2010
Mercer Fund Rating
Fund Prices in USD as at: 09/09/2010
Bid Price
12.59
Offer Price
13.25
TIS
1.7970
12 month high
13.41
12 month low
11.91
Launch Price
5.25
Fund Size in million
1670.8
This page contains a comparison of the performance of the fund versus its benchmark if applicable.
Performance in % as at: 31/08/2010
Fund Name
ISIN
Ccy
1W
1M
3M
6M
YTD
1Y
3Y
5Y
10Y
Annual
Volatility
Sharpe
Ratio
Schroder ISF Asian Bond Absolute Return A Acc
LU0106250508
USD
0.39
3.42
5.83
8.63
10.52
11.88
12.18
23.88
107.73
9.18
0.13
Citi Treasury/Agency (TR)
--
USD
1.87
1.87
4.40
6.30
8.03
62.96
87.81
101.06
177.48
29.81
0.24
The figures shown are based on the following:
Base Currency, Bid to bid, Gross Dividends reinvested on the Payment date
Risk Free Return USD Libor 3 months
Please note that the graph displays month end figures for the fund and its benchmark.
© 2010 Schroder Investment Management Fondsmaeglerselskab A/S Danmark (Stockholmsfilial) All rights in all countries.