ODDO BHF Euro Corporate Bond CR-EUR

Credit ODDO BHF Euro Corporate Bond CR-EUR Unit CR-EUR - EUR ISIN code : LU0145975222
Rating as of 31 December 2019
EUR Corporate Bond
NAV of the fund (million) 493.12 EUR NAV N-1 day 18.76 EUR
NAV at 16/01/2020 18.78 EUR YTD 0.11%
Risk/return scale 1 234567 12-month performance 5.96 %
Annualized performance since inception 3.59 %

The fund's objective is to achieve an appropriate return by investing primarily in Euro-denominated corporate bonds of investment grade quality. The fundamentally driven investment process is complemented by ESG integration. A proprietary scoring system evaluates environmental, social and governance criteria and impacts portfolio construction to limit exposure to higher risk issuers and to ensure the overall ESG quality of the portfolio.

Investors are reminded that past performance is not a reliable indication of future returns and is not constant over time.

Annual performances (rolling 12 months)

Calendar performance of the fund

NAV track record

ODDO BHF Euro Corporate Bond CR-EUR
Initial NAV 0.00 EUR
NAV 16/1/2020 18.78EUR

Performance analysis
Data as of

Annualised performance Cumulative performance
1 year 3 years 5 years Since inception 1 Month YTD 1 year 3 years 5 years Since inception

Failing sufficient regulatory historical data, past performance cannot be published.

Technical and risk indicators
Data as of

Annualised volatility
Portfolio Benchmark* Annualised Jensen's Alpha Sharpe ratio Information ratio Tracking error Beta Correlation coefficient
1 year
3 years
5 years

Failing sufficient regulatory historical data, past performance cannot be published.

Computing performance

* This is a synthetic indicator of risk and return: lower risk means a potentially lower return, and higher risk means a potentially higher return. The risk profile is not constant and may change over time.

Key features

Launch date of the fund 13/03/2002

Launch date of the share class 19/03/2002

Benchmark IBoxx € Corporates (TR)

Legal structure SICAV

ISIN codeLU0145975222

Bloomberg code WESECBC LX

Currency EUR

Income allocation Capitalisation

DecimalisationOne-thousandth of a part

Subscription fees 5.00% maximum

Redemption feesnil

Management fees annual rate of a maximum of 0.90%, payable quarterly and calculated based on the Sub-fund's average net assets for the month in question.

Performance fees N/A

Transaction fees received by the Management Company none

Management company ODDO BHF AM SAS

Custodian Caceis Bank Luxembourg (Luxembourg)

Administration and accounting Caceis Bank Lux

Subscriptions/ Redemptions4:00pm, D

NAV calculation frequency Daily

Bastian Gries
Head of Investment Grade & Euro Aggregate & 18 years of experience
Maik Ohm
Portfolio manager & 15 years of experience