SCOR FUNDS - Europe High Yield

Management philosophy

SCOR FUNDS Europe High Yield invests in Euro-denominated high yield bonds. The fund’s investment objective is to achieve a performance greater or equal to the “Bloomberg Barclays Pan Europe High Yield 2.5% issuer constrained ex Financial” index, less any fees or expenses to be borne by the fund, throughout the recommended investment period.
 
Key points:
the investment process aims to build a highly diversified portfolio
fundamental issuer analysis is at the heart of the investment process
an investment universe comprising securities denominated in EUR, GBP, CHF and other European currencies
no investments in bonds issued by financial institutions neither in credit derivatives  

 

Net Asset Value

Share NAV Value Date Fund size
1136,32 
EUR 154 M

Performance as at 30/04/2021

YTD 1 month 3 months 1 year 3 years 2020 Since inception
1,80% 0,59% 1,48% 15,44% 12,88% 4,93% 13,60%

Fund managers comments

"The main event in the first quarter was the volume of primary market issues, which reached EUR 50bn. Annualized, this was double the previous record, set last year. The trend was similar in the United States and resulted from an abundance of liquidity offered to issuers. There is therefore little risk that default rates will rise."

Past performance is not an indication of future performance. Performances may vary over time. 

The risks and fees linked to this UCITS are set out in the Key Investor Information Document (KIID) and in the prospectus, both of which are available on this website. SCOR Investment Partners invites investors to consult these documents. In accordance with article 314-76 of the general regulations of the Autorité des Marchés Financiers, the client may receive, on request, details of the remunerations relating to the marketing of this product.

Our management team

Alexandre Stoessel
Jennifer Goeytes

Sales contact

Tel. :+ 33 1 58 44 70 00
Email : scorip.sales@scor.com

Fund characteristics

Legal form Sub-fund of a Luxembourg SICAV under the directive 2009/65/EC (UCITS)
ISIN code LU1497740842 (IC EUR)
Bloomberg code SCEICEC LX Equity
Depositary BNP Paribas Securities Services, Luxembourg
Creation date July 24, 2017
Currency EUR
Benchmark Bloomberg Barclays Pan Europe HY 2.5% Iss Constr x Fin TR Index Hedged EUR
Recommended investment horizon Minimum 3 years
Compliance with European standards Yes
Management fees 0.50% Max p.a (based on net assets without SCOR Ucits)
Subscriptions / Redemption fees Maximum 3.00% / None

Risk and performance profile

Risk low

-

Efficiency potentially lower

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Risk high

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Efficiency potentially higher

Past performance is not an indication of future performance. Performances may vary over time. 

The risks and fees linked to this UCITS are set out in the Key Investor Information Document (KIID) and in the prospectus, both of which are available on this website. SCOR Investment Partners invites investors to consult these documents. In accordance with article 314-76 of the general regulations of the Autorité des Marchés Financiers, the client may receive, on request, details of the remunerations relating to the marketing of this product.