SCOR Sustainable Euro High Yield
Management philosophy
SCOR Euro High Yield is a long-only French FCP ("Fonds Commun de Placement"), UCITS IV compliant and invested in Euro denominated high yield bonds.
- bonds issued by financial institutions are not part of the investment universe
- credit derivatives are excluded
Net Asset Value
Share | NAV | Value Date | Fund size | ||||||
---|---|---|---|---|---|---|---|---|---|
1967,45 | | EUR 543 M | 1486,02 | | EUR 543 M | 1403,79 | | EUR 543 M |
Performance as at 29/01/2021
Performance as at 29/01/2021
Performance as at 29/01/2021
YTD | 1 month | 3 months | 1 year | 3 years | 2020 | Since inception |
---|---|---|---|---|---|---|
0,43% | 0,43% | 5,85% | 5,36% | 10,93% | 4,86% | 95,02% |
0,39% | 0,39% | 5,77% | 4,96% | 9,40% | 4,45% | 47,27% |
0,52% | 0,52% | 6,12% | 6,82% | 15,56% | 6,42% | 39,08% |
Fund managers comments
"Looking at its default rates and intrinsic credit risk, the European market is thus starting 2021 with a more attractive valuation than its US counterpart."
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


Associated publications
Sales contact
Tel. :+ 33 1 58 44 70 00
Email : scorip.sales@scor.com
Fund characteristics
Legal form | French mutual fund (FCP) |
---|---|
ISIN code | FR0010853556 (C EUR share) FR0011341171 (C CHF hedged share) FR0011929728 (C USD hedged share) |
Bloomberg code | SCOEUHY FP Equity (C EUR share) |
Depositary | BNP Paribas Securities Services S.C.A. |
Creation date | April 14, 2010 |
Currency | EUR |
Benchmark | Barclays Euro HY ex fin. - 3% Issuer Cap |
Recommended investment horizon | Minimum 3 years |
Compliance with European standards | Yes |
Management fees | 0.50% Max (inc VAT) (based on net assets without SCOR Ucits) |
Subscriptions / Redemption fees | Maximum 3.00% / None |
Risk and performance profile
Risk low
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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.