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Schroder ISF Asian Convertible Bond EUR Hedged A Acc
Fund Details | Fund Prices | Fund PerformancePrint
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Fund Details
Fund RangeSchroder ISFCcyEUR
HedgedHedgedAsset ClassFixed Income
Share ClassAHedged Share ClassYes
Share TypeAccLaunch Date28/03/2008
ISINLU0352096621SedolB2Q5Q15
Bloomberg SCHACAH LXReuters LU0352096621.LUF
Valoren3855296Max. Initial Charge5.26315%
WAM0  
Fund Fees
Maximum Management Fee in %1.25%
Distributors FeeNil
Performance Fee15%
Fund Prices in EUR as at: 06/09/2010
Bid Price102.56Offer Price107.96
TIS0.000012 month high110.16
12 month low98.51Launch Price105.26
Fund Size in million58.2
This page contains a comparison of the performance of the fund versus its benchmark if applicable.
Performance in % as at: 31/08/2010
Fund NameISINCcy1W1M3M6MYTD1Y3Y5Y10YAnnual
Volatility
Sharpe
Ratio
Schroder ISF Asian Convertible Bond EUR Hedged A AccLU0352096621EUR-0.56-0.116.594.412.588.29----------