Home > Funds > IFP FUND - IFP Global Convertible Bonds (CHF) I
Key dataNAVPerformanceDistributionPublication

IFP FUND - IFP Global Convertible Bonds (CHF) I

Value No : 3697525
ISIN No : CH0036975255
Ticker Bloomberg : GERIIFC SW

Fund’s investment objective

IFP Global Convertible Bonds, sub-fund of the IFP FUND, invests worldwide in convertible bonds and other securities. The bonds are selected according to geographical and sectoral criteria for the allocation stemming from in-depth macro- and microeconomic analysis. Currency risks and credit risk associated with borrowers may be hedged by using financial derivatives. This class is geared towards qualified investors.

Fund facts
Fund’s domicile : Switzerland
Portfolio Manager : IFP FUND MANAGEMENT SA, Pully
Launch date : 15 February 2008
Launch price : CHF 121.28
Close of financial year : 15 May
Management
fee :
1.00%
TER to 15.11.2011: 1.01%
Affidavit eligibility : Yes
Benchmark : UBS Global Composite hedged (CHF)
Investment area : World
EU withholding tax on CH distribution : IN
EU withholding tax on CH redemption : IN
TIS CH : 1.3797
TIS EU : 1.9406
Frequency of NAV calculations : Daily
Cut off : Daily 12 am
Net asset value on  08.02.2012: CHF 117.93
YTD performance on  08.02.2012: 4.18 %
Fund’s assets on  08.02.2012 : CHF 294'713'542.02
Year-high NAV  2012 : CHF 117.93
Year-low NAV  2012 : CHF 113.55