SEB Total Return Bond Fund

SEB Total Return Bond Fund

Sit back and enjoy the advantages of fixed-income securities. DE0008473414

 
Key Facts
ISIN:DE0008473414
WKN:847341
Fund type:Fixed-income fund
Fund currency:EUR
Company:SEB Investment GmbH
Launch date:15 Aug 1988
Fiscal year:01 Dec – 30 Nov
Benchmark:100 % 3-Months Euribor + 0,50 %
(since 01 Aug 2008)
Minimum investment:monthly EUR 50.00
(As per 21 May 2012)Fund pricing
Issuing price:EUR 27.03
NAV:EUR 25.99
Fund volume:EUR 118.48 Mio.
Profit application
Distribution:(20 Jan 2012) EUR 0.69
Latest downloads
pdf Fund fact sheet
pdf Sales Prospectus


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Risk-return profile
Typically higher return

Higher risk
1
2
3
4
5
6
7
Typically lower return

Lower risk
 
(As per 30 Apr 2012)Risk Measures based
on the last 3 years
 FundsIndex
Volatility1.27%0.09%
Sharpe Ratio0.628.18
Beta Coefficient20.25
Information Ratio0.01
Duration1.23
Modified Duration1.20
(As per 30 Apr 2012)Performance
 FundsIndex
year to date+ 1.86%+ 0.47%
2011+ 1.12%+ 1.92%
2010- 0.05%+ 1.33%
1 year+ 3.35%+ 1.83%
3 years+ 4.77%+ 4.72%
5 years+ 11.35%+ 11.58%
10 years+ 33.05%+ 40.33%
Fund costs
Front-end load:4.00%
Management fee p.a.:0.50%
Custodial bank fees:0.040%
Performance fee:no
TER:1)0.55%
As per 21 May 2012

1) Total expense ratio for the previous financial year. Based on total expenditure from previously reviewed financial years relating to the mean assets of the fund. The TER is calculated using the following formula: Total expenditure in EUR x 100 / mean assets under management in EUR

Fund data and charts are calculated using the BVI method. Past data is no guarantee of future performance.
Fund Structure (% of assets under management)
Fixed-income securities82.38%Balkendiagramm
Zero-Coupon Bonds6.68%Balkendiagramm
Variable fixed-income securities3.40%Balkendiagramm
Liquidity7.54%Balkendiagramm
Top Countries (% of assets under management)
Spain33.31%Balkendiagramm
Germany25.73%Balkendiagramm
Italy9.20%Balkendiagramm
France8.54%Balkendiagramm
Portugal8.25%Balkendiagramm
Netherlands3.40%Balkendiagramm
Austria2.93%Balkendiagramm
Sweden1.09%Balkendiagramm
Top Currencies (% of assets under management)
Euro100.00%Balkendiagramm
Time to maturity (% of assets under management)
< 1 year44.31%Balkendiagramm
1 - 5 years52.52%Balkendiagramm
> 5 years3.17%Balkendiagramm
Credit rating (% of bond volume)
AAA28.36%Balkendiagramm
AA+7.31%Balkendiagramm
AA-4.54%Balkendiagramm
A+9.34%Balkendiagramm
A19.67%Balkendiagramm
A-9.98%Balkendiagramm
BBB+11.79%Balkendiagramm
BBB4.56%Balkendiagramm
BB4.45%Balkendiagramm
As per 30 Apr 2012


Fund data and charts are calculated using the BVI method. Past data is no guarantee of future performance.
Performance / Descriptor assignment
This year 1 year 3 years 5 years since launch dateinput
 


Fund data and charts are calculated using the BVI method. Past data is no guarantee of future performance.
As per 21 May 2012


Fund data and charts are calculated using the BVI method. Past data is no guarantee of future performance.

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Downloads
pdf fund factsheet
pdf sales prospectus


Older Downloads are available via email info(at)sebam.de - or use our contact possibilities.

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