LU2879843675

Emerging Markets Fronier Debt Fund

Share Class

Daily NAV (USD)

$101.46

As of 30.06.2026

Documents

Why Consider This Fund?

Approach
  • Features a blended portfolio of debt instruments, denominated in both local currencies and major currencies, sourced from sovereign and corporate issuers in emerging market frontier countries
  • Combines rigorous bottom-up research with top-down analysis to better identify investment opportunities
  • The Fund is classified as a financial product under Article 8 of the EU Sustainable Finance Disclosure Regulation. The Fund promotes environmental or social characteristics but does not have a sustainable investment objective
Risk Considerations
  • The value of shares and any income from them can increase or decrease and an investor may not get back the amount originally invested
  • Where investments are made in currencies other than an investors base currency, the value of those investments will be affected (favourably or unfavourably) by movements in exchange rates
  • Investing in the bond market is subject to certain risks including market, interest rate, issuer, credit, and inflation risk. These risks may be enhanced in below investment grade securities
  • Frontier markets or developing countries may face more political, economic or structural challenges than developed countries and investments in these countries are subject to greater risks

Fund Facts

OTHER VEHICLES:

Fund FactsAs of 31.05.2026
Total Net Assets ($Million)$13
Number of Holdings83
Inception Date19.05.2026
ISINLU2879843675
BloombergWILEAHE LX
Valoren Number137481522
WKN NumberA40LTJ
Lipper68822424

*The ongoing charge figure (OCF), is the charge youll pay over a year for as long as you hold your investment. The OCF for a fund is quoted on the 'Key Investor Information' document and relates to the costs of running the fund.