Collectives

ICAV (UCITS compliant)

L&G ESG Global High Yield Bond Index Fund

I-Class EUR Accumulation

ISINIE000GPE35T3

Price

Fund aim

The Fund aims to provide investors a return in line with the performance of the global high yield bond market, as represented by the J.P. Morgan ESG Global HY Custom Maturity Index (the "Index").

Fund snapshot

  • What does it invest in? Invests predominately in high yield rated fixed income securities denominated in US Dollar, Euro and Sterling and issued by developed and emerging market issuers
  • How does it invest? Passively managed, aiming to replicate the performance of the Index
  • Does it promote sustainability characteristics? The Fund promotes a range of environmental and social characteristics. Further information on how such characteristics are met by the Fund can be found in the Supplement.

Fund facts

Fund size$72.2m
Base currencyUSD
Fund launch date4 May 2023
DomicileIreland
Share class launch4 May 2023
Modified duration3.32 years
As at 31 Jan 2024

Benchmark

JP Morgan ESG Global HY Corporate Custom Maturity Index

Costs

Initial charge0.00%
Ongoing charges figure0.33%
Dilution levy0.902% - round trip
Entry anti-dilution levy0.45%
Exit anti-dilution levy0.45%

Performance

As this share class has been in existence for less than one calendar year, there is insufficient data to provide a useful indication of past performance.

Performance scenarios

The figures shown include all the costs of the product itself, but may not include all the costs that you pay to your advisor or distributor. The figures do not take into account your personal tax situation, which may also affect how much you get back.
What you will get from this product depends on future market performance. Market developments in the future are uncertain and cannot be accurately predicted.
The unfavourable, moderate, and favourable scenarios shown are illustrations using the worst, average, and best performance of the product with input from the over the last 10 years. Markets could develop very differently in the future.

Example investment:10,000 EUR

Data for the selected period isn't currently available

Portfolio breakdown

As at 31 Jan 2024

Top 10 holdings5.0%
Rest of portfolio95.0%

Top 10 holdings (%)

YPFf 9.5% 17 Jan 310.6
Greenko Dutch 3.85% 29 Mar 260.6
Virgin Med Secd. Fin. 4.125% 15 Aug 300.5
Ecopetrol 8.375% 19 Jan 360.5
Telecom Italia Milano 7.875% 31 Jul 280.5
Rayonier AM Products 7.625% 15 Jan 260.5
Int. Con. Airlines Grp 2.75% 25 Mar 250.5
Turkiye Vakiflar Bank TAO 9% 12 Oct 280.5
ATI 7.25% 15 Aug 300.5
Renault 1.25% 24 Jun 250.4

Sector (%)

Consumer
19.3
Energy
10.4
Basic Industries
9.9
Cable/media
7.8
Banks
7.4
Capital Goods
7.1
Pharma / Healthcare
6.6
Non-bank Financials
6.1
Telecommunication
5.9
Other
19.6

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 headshot

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.

Sustainability

SFDR categorisation

Environmental characteristics
Social characteristics

No reference benchmark has been designated for the purpose of attaining the environmental or social characteristics promoted by the Fund.

Whilst environmental and social characteristics are promoted through the application of the sustainability-related investment strategy, investors are reminded that these environmental and social characteristics are not sustainable investment objectives.

Literature

Prices

Pricing information

Price basisSingle - dilution levy
Price time22:30 Irish time
CurrencyEUR
Monthly price history

Codes and dealing

Codes

ISINIE000GPE35T3
SEDOLBNKC9G5
BloombergLGESGPS ID
MEXLEABFA

Dealing information

Valuation frequencyDaily, 22:30 Irish time
Dealing frequencyEach Irish and UK Business Day
Settlement periodT+2
Administrator/CustodianNorthern Trust

Country registration

This share class is registered for sale in the following countries:

Denmark
Finland
Germany
Ireland
Italy
Netherlands
Norway
Spain
Switzerland