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Schroder ISF-Global Bond (USD) A Acc
Last NAV
USD
 
11.15
(Last Update : 2024/11/01)
1-Month return
 
-2.10%
Fund House Schroder Investment Management (Hong Kong) Limited
Fund Type Fixed Income Funds
Fund Size
 
882.54M
Sector General
Geographic Allocation Global
Cumulative Performance
Period
Range
Return
Fund Avg
1-Week
11.13 - 11.17
+0.19%
-0.23%
1-Month
11.13 - 11.39
-2.10%
-1.17%
3-Month
11.13 - 11.60
-2.15%
+0.05%
1-Year
10.37 - 11.60
+6.97%
+6.28%
3-Year
9.94 - 13.49
-16.84%
-7.22%
Since Launch
5.64 - 14.04
+59.25%
+85.43%
Volatility
3 year annualised standard deviation
8.19%
1M | 3M | 6M | Adv. Chart 
 
 | 
 
Color - 
Calendar Year Performance
Returns (%)
2023
2022
2021
2020
2019
USD
+4.40%
-19.10%
-5.70%
+8.40%
+8.80%
Portfolio Composition
By Market
 United States (36.20%)
 Others (19.10%)
 Japan (9.30%)
 China (9.00%)
 United Kingdom (8.20%)
 Canada (5.20%)
 Australia (4.10%)
 Indonesia (4.00%)
 France (3.90%)
 Germany (3.60%)
 Italy (2.30%)
 Spain (2.30%)
 Liquid Assets (-7.00%)
By Sector
 Treasuries (29.50%)
 MBS Pass-Through (19.80%)
 Covered (10.40%)
 Financial Institutions (8.90%)
 Agency (8.70%)
 Treasury Bills (8.50%)
 Industrial (6.00%)
 Other (6.00%)
 Sovereign (3.40%)
 Local Authority (3.30%)
 ABS (2.60%)
 Derivatives (1.10%)
 Liquid Assets (-8.20%)
By Credit rating
 AA (42.30%)
 A (26.50%)
 AAA (18.10%)
 BBB (17.40%)
 BB (1.10%)
 NR (-0.10%)
 Other (-5.40%)
Top Holdings
Asset
Attribute
Proportion
 
TREASURY BILL 0.0000 17/09/2024 SERIES GOVT
3.10%
JAPAN 0.3% 20/12/2025 10-YR #341
2.60%
TREASURY BILL 0.0000 10/09/2024 SERIES GOVT
2.30%
TREASURY BILL 0.0000 24/09/2024 SERIES GOVT
2.20%
JAPAN (10 YR ISSUE) 0.1000 20/12/2027 SERIES 349
1.80%
FNCL 6 9/24 6.0000 16/09/2024
1.70%
FN MA5138 5.5000 01/09/2053
1.70%
SISF SECURITISED CREDIT I ACCUMULATION
1.60%
FNCL 5.5 9/24 5.5000 16/09/2024
1.50%
INDONESIA (REPUBLIC OF) FR91 6.3750 15/04/2032 SERIES FR91
1.30%
Similar Funds (By Fund Type)
Top 5 Advancers
(sorted by 1-Month Return)
Fund Name
Last NAV
1M Return
3M Return
Franklin Euro High Yield Fund 5.21
+0.50%
+1.17%
BlackRock US Dollar Reserve Fund (USD) A2 175.07
+0.31%
+1.13%
Aberdeen Standard SICAV I - Select Euro High Yield Bond Fund (EUR) A2 26.35
+0.26%
+2.60%
Amundi Funds Bond Euro Corporate (EUR) AE 19.73
+0.15%
+1.81%
AllianceBernstein - Short Maturity Dollar Portfolio (USD) A2 15.50
+0.06%
+1.04%
Top 5 Decliners
(sorted by 1-Month Return)
Fund Name
Last NAV
1M Return
3M Return
BlackRock Emerging Markets Local Currency Bond Fund (USD) A2 23.92
-4.78%
+0.04%
Barings Global Bond Fund (USD) S-Inc 20.61
-3.96%
-2.51%
Templeton Emerging Markets Bond Fund (USD) A (Qdis) 6.81
-3.11%
-0.44%
Amundi Funds Bond Global - A2 (USD) 25.70
-2.58%
-2.24%
BlackRock Global Corporate Bond Fund (HKD) A6 Hedged 70.48
-2.40%
-1.88%
Fund - Browser History
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