Invesco GBP Corporate Bond UCITS ETF Dist

Beschreibung

The Invesco GBP Corporate Bond UCITS ETF aims to deliver the performance of the Bloomberg Barclays Sterling Liquid Corporate Bond Index, less fees, expenses and transaction costs. The fund invests in a range of investment-grade, fixed-rate bonds denominated in GBP by corporate issuers. The portfolio managers aim to minimise transaction costs by selecting a representative basket of securities when it is too difficult or too costly to buy all the components of the index and also by taking a pragmatic approach to the way the portfolio is rebalanced during the month.

 

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Stammdaten

Allgemeine Informationen
Basiswährung GBP
Dividenden Quartalsweise
Mindestanlagesumme 1 Anteil
Zeitpunkt der Auflage 05.03.2020
Ausstehende Anteile 1.676.750
Börsennotierung London Stock Exchange
Weitere Informationen
ISA qualifiziert
SIPP qualifiziert
UCITS Konform
UK Reporting Status Ja
Vertriebsberechtigung Denmark (Institutionell), Deutschland, Finnland, Frankreich, Irland, Israel (Institutionell), Italy (Institutionell), Luxembourg, Netherlands, Norway, Portugal (Institutionell), Schweden, Spain, Switzerland (Institutionell), United Kingdom, Österreich
Struktur
Rechtsform UCITS
Open ended fund
Replikationsmethode Physisch
Domizil Irland
Geschäftsjahresende 31 December
Steuerinformationen für deutsche Investoren
We are currently working on a daily feed to third party providers. In the meantime, we can send you the daily equity ratio directly.
Please contact Sebastian Stoehr to receive the information (Email: Sebastian.stoehr@invesco.com)
Service Provider
Emittent Invesco Markets II plc
Manager Invesco Investment Management Limited
Investmentmanager Invesco Capital Management LLC
Fondsverwalter BNY Mellon Fund Services (Ireland) DAC
Depositary The Bank of New York Mellon SA/NV
Wirtschaftsprüfer PricewaterhouseCoopers
Promoter Invesco Investment Management Limited
Rendite Information
Dividenden-Häufigkeit Quarterly
Ertragsverwendung Distributed
Ende Finanzjahr 31 December
Währung GBP
Fondsstatistik NAV ( 22.10.2020 )
Anzahl Wertpapiere 377
Dividendenausschüttungen
Bekanntgabe 10.09.2020
Ex-Dividende 17.09.2020
Eintrag 18.09.2020
Ausschüttungsdatum 24.09.2020
Ausschüttung je Anteil 0,1311
Währung GBP

Fondsdaten

Bloomberg IGCB LN
ISIN IE00BKW9SW28
Bloomberg Benchmark I35357GB
Managementgebühr 0,10 %
NAV (22.10.2020) £30.40
Verwaltetes Vermögen £50,974,814
Basiswährung GBP
Umbrella AUM (22.10.2020) £2,961,209,980

Key risks

General Investment Risk:  The value of investments, and income from them, can go down as well as up and you may not get back the full amount you invested.

Concentration risk: The Fund might be concentrated in a specific region or sector or be exposed to a limited number of positions, which might result in greater fluctuations in the value of the Fund than for a fund that is more diversified.

Credit risk: The creditworthiness of the debt the Fund is exposed to may weaken and result in fluctuations in the value of the Fund. There is no guarantee the issuers of debt will repay the interest and capital on the redemption date. The risk is higher when the Fund is exposed to high yield debt securities.

Interest Rate Risk: Changes in interest rates will result in fluctuations in the value of the Fund.

Securities lending: The Fund may be exposed to the risk of the borrower defaulting on its obligation to return the securities at the end of the loan period and of being unable to sell the collateral provided to it if the borrower defaults.