QFS SICAV - Global High Yield MinRisk EUR hedged I dis
The quantitative investment strategy Global High Yield MinRisk invests mainly in corporate bonds with ratings between BB+ and B. The strategy aims to generate attractive returns and to reduce risks by diversification. The investment universe comprises more than 3000 corporate and government bonds worldwide. The strategy's benchmark is the ICE BofA Global High Yield BB-B index.
General Information
ISIN | LU1120175770 |
Bloomberg | QUGEHID |
Fund currency | EUR |
Appropriation of earnings | Distributing |
Benchmark | ICE BofA Global High Yield BB-B Index (in EUR hedged) |
Inception date (share class) | 2016-06-15 |
Currency hedged | Yes |
Management Company | Union Investment Luxembourg S. A. |
Depositary | DZ - PRIVATBANK S.A. |
Ongoing charges | 0.70 % (30.09.2023) |
Management fee | 0.60 % p.a. |
Flat fee | 0.09 % p.a. |
Registered countries | LU, DE, FR, GB, CH |
Total fund AuM | 116.40 m in USD |
Share price | 800.68 in EUR |
Sustainability | Article 8 SFDR |
Performance Chart (net returns)
2020 | 2021 | 2022 | 2023 | 2024 |
---|---|---|---|---|
1.04 | 1.09 | -9.08 | 7.24 | 5.17 |
Performance Ratios
Period | Fund (%) |
---|---|
1 month | 0.60 |
YTD | 1.37 |
1 year | 6.08 |
3 years p.a. | 2.40 |
5 years p.a. | 1.55 |
Since inception p.a. | 1.63 |
Ratio | Fund |
---|---|
Sharpe ratio | 0.22 |
Volatility | 5.34 |
Tracking error | 2.17 |
Information ratio | -0.36 |
VaR (99%/10) | 0.85 |
Sector Allocation
AbsoluteCountry Allocation
AbsolutePortfolio Ratios
Ratio | Fund |
---|---|
Number of issuers | 224 |
Number of positions | 257 |
Coupon | 5.45 |
DTS (Duration Times Spread) | 4.39 |
Macaulay duration | 2.44 |
Maturity | 3.39 |
Modified duration | 2.30 |
OAS (Option-Adjusted Spread) | 1.91 |
Yield | 4.59 |
Top 10 securities
Name | Weight (%) |
---|---|
FAIR ISAAC CORP 4% 06/15/28 | 0.91 |
VIVO ENERGY INVESTMENTS 5.125% 09/24/27 | 0.85 |
MATTEL INC 5.875% 12/15/27 | 0.79 |
UNITED RENTALS NORTH AM 4.875% 01/15/28 | 0.77 |
JAMES HARDIE INTL FIN 5% 01/15/28 | 0.76 |
XPO INC 6.25% 06/01/28 | 0.71 |
BROOKFIELD PPTY REIT INC 5.75% 05/15/26 | 0.7 |
IQVIA INC 2.25% 01/15/28 | 0.69 |
ACADIAN ASSET MANAGEMENT 4.8% 07/27/26 | 0.68 |
BUILDERS FIRSTSOURCE INC 5% 03/01/30 | 0.68 |
Here you can find further information on Quoniam`s approach to “sustainability risks” and “adverse sustainability impacts”.
DISCLAIMER
Detailed product-specific information and notes on opportunities and risks as well as the sales and paying agents can be found in English on union-investment.lu under the heading "Downloads".
QFS-SICAV (Quoniam Funds Selection SICAV)
Management company: Union Investment Luxembourg S.A.
Portfolio management: Quoniam Asset Management GmbH
Quoniam Bonds MinRisk SGB
Management company: Union Investment Privatfonds GmbH
Portfolio management: Quoniam Asset Management GmbH
UniInstitutional European MinRisk Equities
Management company: Union Investment Privatfonds GmbH
Portfolio management: Quoniam Asset Management GmbH
RECHTLICHER HINWEIS<\/b><\/p>
Ausf\u00fchrliche produktspezifische Informationen und Hinweise zu Chancen und Risiken sowie die Vertriebs- und Zahlstellen finden Sie in deutscher Sprache auf union-investment.lu unter der Rubrik \u201eDownloads<\/a>\u201c<\/p>\n\n QFS-SICAV (Quoniam Funds Selection SICAV)<\/b> Quoniam Bonds MinRisk SGB<\/b> UniInstitutional European MinRisk Equities<\/b> DISCLAIMER<\/b><\/p> Detailed product-specific information and notes on opportunities and risks as well as the sales and paying agents can be found in English on union-investment.lu under the heading \"Downloads<\/a>\".<\/p>\n\n QFS-SICAV (Quoniam Funds Selection SICAV)<\/b> Quoniam Bonds MinRisk SGB<\/b> UniInstitutional European MinRisk Equities <\/b> Hier<\/a> finden Sie die Informationen der Quoniam<\/a> zum \u201eUmgang mit Nachhaltigkeitsrisiken\u201c sowie zu den \u201eAngaben zu nachhaltigen Nachhaltigkeitsauswirkungen\u201c.<\/p>","EN":" Here<\/a> you can find further information on Quoniam`s<\/a> approach to \u201csustainability risks\u201d and \u201cadverse sustainability impacts\u201d.<\/p>"}},"Files":{"_Meta":{"Headline":{"DE":"Downloads","EN":"Downloads"}},"Data":[{"OrderNr":1,"Identifier":"Annual Report","Key":{"DE":"Jahresbericht","EN":"Annual Report"},"IsExternalLink":0,"Value":{"DE":"LU1120175770_AR_Quoniam Funds Selection SICAV_30.09.2023.pdf","EN":"LU0374936432_AR_GB_en_LU1120175770_YES_2023-09-30.pdf"}},{"OrderNr":2,"Identifier":"Factsheet","Key":{"DE":"Factsheet","EN":"Factsheet"},"IsExternalLink":0,"Value":{"DE":"","EN":""}},{"OrderNr":3,"Identifier":"KIID","Key":{"DE":"BIB","EN":"KID"},"IsExternalLink":0,"Value":{"DE":"Quoniam_Funds_Selection_SICAV___Global_High_Yield_MinRisk_EUR_hedged_I_dis_LU1120175770-20250117-1-LU.pdf","EN":"Quoniam_Funds_Selection_SICAV___Global_High_Yield_MinRisk_EUR_hedged_I_dis_LU1120175770_2023-10-20.pdf"}},{"OrderNr":4,"Identifier":"PdfTransfer","IsExternalLink":0,"Value":{"DE":"","EN":""}},{"OrderNr":5,"Identifier":"Semiannual 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Der ESG weighted Score wird mit titelspezifischen Gewichten errechnet. Der Industry Adjusted Score (IAS) wird zus\u00e4tzlich relativ zu einer Industrie mit vergleichbaren Key ESG-Issues normalisiert. Der IAS wird mit einem festen Schl\u00fcssel in ein Rating von AAA bis CCC \u00fcbersetzt. Quelle: MSCI","EN":"The score is between 0 (worst) and 10 (best). The Industry Adjusted Score (IAS) is additionally normalized in relation to a comparable industry group according to key ESG issues. Source: MSCI."}}},"Data":[{"QAMValue":6.11,"BMValue":0}]},"CO2Footprint":{"ShowComponent":0,"ShowBenchmark":0,"_Meta":{"Headline":{"DE":"\u00dcbersicht CO2-Footprint","EN":"Overview CO2-Footprint"},"TableHeader":{"QAMValue":{"DE":"Fonds","EN":"Fund"},"BMValue":{"DE":"Index","EN":"Index"},"Difference":{"DE":"Differenz","EN":"Difference"},"CO2Reduction":{"DE":"Reduktion (%)","EN":"Reduction (%)"}},"Text":{"Description":{"DE":"CO2-Footprint: Aussto\u00df an Treibhausgasen, umgerechnet in CO2 \u00c4quivalente, gemessen als T CO2\/mn $ Umsatz. Dargestellt ist die Summe aus Scope 1 (direkte Emissionen des Unternehmens) und Scope 2 (Emissionen durch Verbrauch zugekaufter Elektrizit\u00e4t). Der CO2-Footprint wird auf Basis der verf\u00fcgbaren Daten des Portfolios kapitalgewichtet berechnet.","EN":"Carbon Footprint: Weighted average carbon intensity measured in T of CO2 equivalents per million of USD revenues. The indicator is the sum of Scope 1 (direct emissions) and Scope 2 (indirect emissions that result from the consumption of electricity purchased by the company). The portfolio Carbon Footprint is a value-weighted average of the holdings in the portfolio."}}},"Data":[{"OrderNr":1,"Identifier":"CO2","KEY":{"DE":"CO2","EN":"CO2"},"QAMValue":195.28,"BMValue":0,"Difference":0,"CO2Reduction":0}]}}
\nKapitalverwaltungsgesellschaft: Union Investment Luxembourg S.A.
Portfoliomanagement: Quoniam Asset Management GmbH <\/p>\n \n
\nVerwaltungsgesellschaft: Union Investment Privatfonds GmbH
Portfoliomanagement: Quoniam Asset Management GmbH <\/p>\n\n
\nVerwaltungsgesellschaft: Union Investment Privatfonds GmbH
Portfoliomanagement: Quoniam Asset Management GmbH<\/p>","EN":"
\nManagement company: Union Investment Luxembourg S.A.
Portfolio management: Quoniam Asset Management GmbH<\/p>\n \n
\nManagement company: Union Investment Privatfonds GmbH
Portfolio management: Quoniam Asset Management GmbH <\/p>\n\n
\nManagement company: Union Investment Privatfonds GmbH
Portfolio management: Quoniam Asset Management GmbH<\/p>"},"ESGDisclaimer":{"DE":"
