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SG IS Fund - Defined Return

The SG IS Fund Defined Return Fund will invest up to 100% in equity linked structured products and or their swap equivalent collateralized by Gilts.

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MA
Multi-asset
OF
Open-funds
< Low riskHigh risk >
SRI1234567
ISIN codeAUMStarting dateNAVClass-Currency
LU256406764867,435,988.08 As of 31/03/2026 2023/05/05 116.41 As of 31/03/2026

Strategy

  • The return objective of the fund is to generate + 3% p.a. over the medium to long term (i.e. 5 to 7+ years).
  • Geographic diversification: The fund will invest in the main regions of the world across maturities, including but not limited to: US, Europe, UK, Emerging markets
  • Issuer risk diversification: The Fund will seek to diversify across maturities and monitor issuer’s risk with high quality rated issuers

Performances

Data as of 30/09/2024

The performances below correspond to the Fund's Net Asset Value (dividends reinvested).

MTD1M3M6MYTD1A3A5A
0.82%0.82%2.35%3.43%5.68%9.30%

The graph shows the Fund's Net Asset Value (dividends reinvested), on a 100 basis.

Nav historical data :

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To

The graph shows the evolution of the Fund units Net Asset Value (dividends distributed, not reinvested).

Performance scenarios

Data as of //0/24/0

Hypothetical 10000 GBP investment

Scenarios1 year5 years *
Stress
What you might get back after costs (GBP)GBP 2,349.613GBP 2,294.810
Average return each year (%)-76.5%-25.5%
Unfavorable
What you might get back after costs (GBP)GBP 8,351.136GBP 9,736.351
Average return each year (%)-16.49%-0.53%
Moderate
What you might get back after costs (GBP)GBP 10,128.784GBP 11,908.864
Average return each year (%)1.29%3.56%
Favorable
What you might get back after costs (GBP)GBP 12,523.605GBP 15,555.461
Average return each year (%)25.24%9.24%

*Recommanded holding period

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Risks

  • Investments may be subject to market fluctuations and the price and value of investments and the income derived from them can go down as well as up. Your capital may be at risk and you may not get back the amount you invest.
  • Counterparty Risk: Refers to the likelihood that an opposite party in a transaction will not fulfill their contractual obligations, such as the payment of principal or the other side of a trade.
  • Liquidity Risk: The markets in which the Fund invests might become less liquid meaning that the Fund is unable to deal at the most beneficial time and price
  • Credit Risk: The issuer of a security in which the Fund has invested is unable to meet payments of principal or interest resulting in a loss for the Fund
  • Operational Risk: Refers to a failure or delay in the system, processes and controls of the fund or its service providers which could lead to losses for the fund.
  • Market Risk: Refers to the possibility for an investor to experience losses due to the overall performance of the financial markets.
  • Concentration Risk: Refers to the risk of significant losses if the fund holds a large position in a particular investment that declines in value or is otherwise adversely affected, including default of the issuer.

Characteristics

Fund features
Placement duration 5 years
Domiciliation
Legal type
Accounting currency GBP
Management company
Administrator
UCITS/AIFM
Fund passporting LU,MC,GB
Share class characteristics
ISIN code LU2564067648
Currency GBP
NAV 116.41 GBP
Maximum management fees
Maximum performance fees
Minimum investment 1.00
Min subsequent subscription
Data as of 31/03/2026

Documents

Reports

Monthly report (fren)

Documents

KIID (en)

Performances

Past performance should not be seen as an indicator of future performance.

Disclaimer

Before investing, investors must be aware that certain markets may be subject to rapid fluctuations and are speculative or lacking in liquidity. Accordingly, certain assets or categories of assets listed on this website may not be appropriate for some investors. Investors are therefore urged to seek the advice of their financial advisor or intermediary in order to assess the particular nature of an investment and the risks involved and its compatibility with their individual investment profile and objectives.