L&G Euro Treasury Bond Index Fund

ICAV (UCITS compliant)
L&G Euro Treasury Bond Index Fund
I-Class EUR Accumulation
ISINIE00BYX4XP24
Price
ISINIE00BYX4XP24
Price
Fund aim
The Fund aims to provide investors with a return in line with the Euro government bond market, as represented by the Bloomberg Euro Treasury Index (the "Index").
Fund snapshot
- What does it invest in? Invests primarily in bonds that make up the index, issued in euros by governments of Eurozone countries. These bonds will be investment grade bonds (lower risk). The Fund may also use derivatives.
- How does it invest? Passively managed, aiming to replicate the performance of the index.
Fund facts
Fund size | €95.7m |
Base currency | EUR |
Fund launch date | 8 Dec 2016 |
Domicile | Ireland |
Share class launch | 27 Aug 2020 |
Modified duration | 7.22 years |
Gross redemption yield (unhedged) | 2.88% |
Benchmark
Bloomberg Euro Aggregate Treasury Index
Costs
Initial charge | 0.00% |
Ongoing charges figure | 0.19% |
Dilution levy | 0.142% - round trip |
Entry anti-dilution levy | 0.07% |
Exit anti-dilution levy | 0.07% |
Performance
Performance scenarios
Example investment:10,000 EUR
Scenarios | 1 year | (Recommended holding period) 5 years | |
---|---|---|---|
Minimum | There is no minimum guaranteed return. You could lose some or all of your investment. | ||
Stress scenario | What you might get back after costs | 7,450EUR | 7,310EUR |
Average return each year (%) | -25.51 | -6.08 | |
Unfavourable scenario | What you might get back after costs | 8,170EUR | 8,890EUR |
Average return each year (%) | -18.31 | -2.33 | |
Moderate scenario | What you might get back after costs | 10,170EUR | 12,000EUR |
Average return each year (%) | 1.73 | 3.71 | |
Favourable scenario | What you might get back after costs | 11,370EUR | 15,840EUR |
Average return each year (%) | 13.66 | 9.64 |
There is no minimum guaranteed return. You could lose some or all of your investment.
Portfolio breakdown
As at 31 Jan 2024
Top 10 holdings | 7.8% |
---|---|
Rest of portfolio | 92.2% |
No. of issuers in fund | 20 |
---|---|
No. of issuers in index | 20 |
Top 10 holdings (%)
French Govt Bond OAT 2.5% 25 May 30 | 0.8 |
French Govt Bond OAT 2.75% 25 Oct 27 | 0.8 |
French Govt Bond OAT 0.75% 25 May 28 | 0.8 |
French Govt BondOAT 0.75% 25 Feb 28 | 0.8 |
French Govt Bond OAT 1.5% 25 May 31 | 0.8 |
French Govt Bond OAT 1% 25 Nov 25 | 0.8 |
French Govt Bond OAT 0.25% 25 Nov 26 | 0.8 |
Deutsche Bundesanleihe 2.3% 15 Feb 33 | 0.8 |
French Govt Bond OAT 0.75% 25 Nov 28 | 0.7 |
French Govt Bond OAT 0% 25 Nov 30 | 0.7 |
Country (%)
France | 24.4 |
Italy | 21.8 |
Germany | 18.9 |
Spain | 14.3 |
Belgium | 5.2 |
Netherlands | 4.4 |
Austria | 3.5 |
Portugal | 2.0 |
Ireland | 1.6 |
Other | 3.9 |
Top 10 holdings | 7.8% |
---|---|
Rest of portfolio | 92.2% |
No. of issuers in fund | 20 |
---|---|
No. of issuers in index | 20 |
Top 10 holdings (%)
French Govt Bond OAT 2.5% 25 May 30 | 0.8 |
French Govt Bond OAT 2.75% 25 Oct 27 | 0.8 |
French Govt Bond OAT 0.75% 25 May 28 | 0.8 |
French Govt BondOAT 0.75% 25 Feb 28 | 0.8 |
French Govt Bond OAT 1.5% 25 May 31 | 0.8 |
French Govt Bond OAT 1% 25 Nov 25 | 0.8 |
French Govt Bond OAT 0.25% 25 Nov 26 | 0.8 |
Deutsche Bundesanleihe 2.3% 15 Feb 33 | 0.8 |
French Govt Bond OAT 0.75% 25 Nov 28 | 0.7 |
French Govt Bond OAT 0% 25 Nov 30 | 0.7 |
Country (%)
France | 24.4 |
Italy | 21.8 |
Germany | 18.9 |
Spain | 14.3 |
Belgium | 5.2 |
Netherlands | 4.4 |
Austria | 3.5 |
Portugal | 2.0 |
Ireland | 1.6 |
Other | 3.9 |
Years to maturity (%)
0 - 5 Years | 41.9 |
5 - 10 Years | 30.9 |
10 - 15 Years | 9.4 |
15 - 20 Years | 6.7 |
20 - 25 Years | 5.2 |
25 - 30 Years | 3.7 |
30 - 40 Years | 1.2 |
40+ Years | 0.9 |
Credit rating (%)
AAA | 23.5 | |
AA | 36.2 | |
A | 17.9 | |
BBB | 22.4 |
Currency (%)
EUR | 100.0 |
All data source LGIM unless otherwise stated. Totals may not sum due to rounding. In order to minimise transaction costs, the Fund will not always own all the assets that constitute the index and on occasion it will own assets that are not in the index.
Fund managers

LGIM Index Fund Management Team
The Index Fund Management team comprises 25 fund managers, supported by two analysts. Management oversight is provided by the Global Head of Index Funds. The team has average industry experience of 15 years, of which seven years has been at LGIM, and is focused on achieving the equally important objectives of close tracking and maximising returns.
Literature
Document type
Prices
Pricing information
Price basis | Single - dilution levy |
Price time | 22:30 Irish time |
Currency | EUR |
Codes and dealing
Codes
ISIN | IE00BYX4XP24 |
SEDOL | BYX4XP2 |
Bloomberg | LGETBIE ID |
MEX | - |
Dealing information
Valuation frequency | Daily, 22:30 Irish time |
Dealing frequency | Each Irish and UK Business Day |
Settlement period | T+2 |
Administrator/Custodian | Northern Trust |
Country registration
This share class is registered for sale in the following countries: