Carmignac Portfolio Global Bond is an international fixed income UCITS fund that applies interest rate, credit and currency strategies to take advantage of the global macroeconomic cycle. Its dynamic and flexible approach enables the Fund to deploy a conviction-driven and non-benchmarked allocation strategy and to fully exploit the many performance drivers available in the fixed income universe. The Fund aims to outperform its reference indicator1 over a recommended minimum investment horizon of three years.
1JPM Global Government Bond index
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Credit
Interest Rate
Currency
Discretionary Management

