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A quality approach to value investing

Share Class:

The objective of this Fund is to provide its investors with overall total return consisting of a high level of current income together with long-term capital appreciation through a portfolio where (i) at least 80% of its net assets are invested in high yield debt securities, including convertible bonds and contingent convertible bonds, and (ii) at least two thirds of its net assets are invested in high yield securities (rating lower than Baa3) denominated in EUR. The Fund may invest up to 100% of its net assets in high yield securities.

Jul 31, 2025

Bonds

Europe

EUR 1.0 mn as of Sep 15, 2025

EUR

8

Luxembourg SICAV - UCITS

Lower Risk Higher Risk

1 2 3 4 5 6 7

Potential Lower Returns Potential Higher Returns

Lower Risk Higher Risk

1 2 3 4 5 6 7

Potential Lower Returns Potential Higher Returns

EUR 1004.7

As of Sep 15, 2025

0.088% Daily Change

As of Sep 15, 2025

Asset Class

Bonds

Share Class inception Date

Jul 31, 2025

Benchmark

ICE BofA Euro High Yield Constrained Index

ISIN

LU3111844745

Registered Locations

AT ES FR IT LU

Polen Capital, was appointed to manage the fund on Jul 31, 2025. As the performance shown includes that of previous managers, we have added a chart to show performance of the underlying strategy, which we believe is more relevant to investors.

  • Since Strategy Implementation
  • Cumulative
  • Annualized
  • Calendar Year
  • Growth of Investment

* Current performance may be lower or higher than the quoted past performance, which cannot guarantee future results.

Disclaimer

Source : iM Global Partner. Past performance is no guarantee of future performance. Please pay attention to the currency of the shareclass : the value of this currency may fluctuate against other reference currencies impacting the performance of the fund as seen in these reference currencies. Investing on markets involves a risk of capital loss and no guarantee of gain can be given. Please refer to the relevant sections of the Fund prospectus. Past performances, by calendar year, are available in the KIID in the "Library" section.

Risk & Return Metrics (1Y) as of Sep 15, 2025

Alpha -

Sharpe Ratio -

Information Ratio -

Standard Deviation -

Tracking Error -

Beta -

Negative Months -

Positive Months -

Worst Month -

Best Month -

Upside Capture Ratio -

Downside Capture Ratio -

Maximum Drawdown -

2.92%
2.1%
2.09%
2.07%
2%
1.94%
1.93%
1.92%
1.83%
1.82%

Management Fee

0.5%

Performance Fee

0%

Max. Subscrition Fee

0%

Max Redemption Fee

0%

Minimum Investment (EUR)

1,000,000

Document Type

Publication Date

Download

Annual Reports

31 December 2024

DE EN ES FR IT

Factsheets

31 August 2025

EN

ManCo PAI Statement Summary

31 December 2023

EN ES FR IT DA FI NO PT SE DE

PRIIP-KIDs

11 July 2025

EN FR ES DE IT

Prospectus

13 March 2025

FR EN DE

Prospectus

5 June 2025

EN DE ES FR IT

Semi-Annual Reports

30 June 2023

IT EN ES FR DE

Semi-Annual Reports

30 June 2024

DE EN FR IT ES

Disclaimer:

Please note the information provided is for informational purposes only and does not constitute an offer to buy or sell any investments, products or services and should not be considered as a solicitation or as investment, legal or tax advice. No representation is given that shares, products, or services identified on or accessible through this website are suitable for any particular investor. If you are unsure about the meaning of any information provided please consult your financial or other professional adviser. Prior to any subscription, the investor must read the prospectus made available on the website. Due to their simplification, the information displayed on this page is partial. IM Global Partner cannot be held liable for any decision based on this information. Benchmark index data are used with permission. All rights reserved. Index licensors make no warranties regarding use of or reliance upon such index data and shall have no liability in connection therewith.