Fixed income strategies

Carmignac Credit 2029

Share Class

FR001400KAY8

Portfolio Composition

Discover the Fund's portfolio and allocation to get an overview of the distribution of its investments, to better understand its strategy, diversification and risk exposure.

Global Fund allocation

The global allocation details the distribution of investments between the different asset classes, such as equities, bonds, cash, etc. It provides an overview of the portfolio's composition and can be adjusted at any time according to market conditions.

Asset Allocation

Data as of:  Aug 29, 2025.
Bonds
98.1 %
Developed Countries Corporate Bonds
62.5 %
Collateralized Loan Obligation (CLO)
18.1 %
Emerging Markets Corporate Bonds
17.5 %
Supranational Bonds
0.1 %
Cash, Cash Equivalents and Derivatives Operations
1.9 %

Key figures

Below are the key figures for the Fund, which will give you a clearer idea of the Fund's management and bond positioning.

Exposure Data

Data as of:  Aug 29, 2025.
Modified Duration3.2
Yield to Maturity4.7 %
Average Coupon5.0 %
Number of Issuers250
Number of Bonds349
Average RatingBBB
Yield to Maturity (EUR): The Yield to Maturity (EUR) is the estimated annual rate of return in EUR expected on a bond if held until maturity and assuming all payments made as scheduled and reinvested at this rate. For perpetual bonds, the next call date is used for computation. Note that the yield shown does not take into account fees and expenses of the Fund. The portfolio’s YTM (EUR) is the weighted average individual bonds holdings' YTMs (EUR) within the portfolio.

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