Go to content Go to main menu Go to footer
 

How to invest?

Where to find our funds?

Calculation tool

AXA IM FIIS US Corporate Bonds I REDEX (H) EUR

Total

 EUR

Data as at:

Past performance should not be used as a guide to future performance.

AXA IM FIIS US Corporate Bonds

Add to MyFunds

Objective & investment strategy:  -
Performance indicator:  -
Fund 1st NAV date: 17/5/04
Subscription and redemption conditions:  -
ISIN: Acc: LU0546363937

Accounting currency: USD
European passport: Yes
Launch date: 17/5/04

Asset class: Fixed Income (F.I)
Investment expertise: US Fixed Income
Legal authority classification: -
Legal form: FCP
Investment area: USA
Fund agreement date: -

Legal authority: Commission de Surveillance du Secteur Financier
Custodian: State Street Bank Luxembourg
Investment manager: AXA Investment Managers Incorporated
Management company: AXA Funds Management SA (Luxembourg)
Promoter: -
Transfer agent: Acc: -

Recommended investment horizon: > 2 years
Risk profile: C

Risk of capital loss but limited to invested capital