GAMCO International - GAMCO Convertible Securities R Fonds

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11,11 USD +0,02 USD +0,19 %
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investment target

The fund seeks to provide a high level of current income as well as long term capital appreciation by following a total return strategy and investing in a diversified portfolio of convertible securities. The fund invests in convertible securities, as well as other instruments that have economic characteristics similar to such securities, across global markets (but the fund will not invest in contingent convertible notes). The fund may invest in securities of any market capitalization or credit quality, including up to 100% in below investment grade or unrated securities, and may from time to time invest a significant amount of its assets in securities of smaller companies.

derivatives#masterdata#headline

name GAMCO International SICAV - GAMCO Convertible Securities R USD Acc Fonds
isin LU2264533345
WKN
investment company Gabelli Funds LLC
benchmark N/A
funds#master_data#distribution funds#distribution_type#non_distributing
funds#master_data#manager James Dinsmore, Thomas H. Dinsmore
domicile Luxembourg
funds#master_data#category Hybride Wertpapiere
issue date 04.01.2021
fiscal year 31.12.
funds#master_data#capital_forming_savings no
deposit bank CACEIS Bank, Luxembourg Branch
paying agent
Riester Fonds no

base#morelink

basic data

issue date 04.01.2021
deposit bank CACEIS Bank, Luxembourg Branch
paying agent
domicile Luxembourg
fiscal year 31.12.

current data

fund rating
current redemption price 11,11
number of funds in category 133
funds#dataandfees#planasset 96.198,91 USD
funds volume 4,95 base#million USD
total expense ratio (ter) 2,66

charges

Laufende Kosten 2,75%
Total Expense Ratio (Verwaltungsgebühren & sonst. Kosten) 2,66%
Transaktionskosten 0,09%
custodian fee -
management charge 0,01%
redemption fee -
issue charge -

performance data

previous day change 0,02
funds#dataandfees#performancesincebeginningofyear 8,72%

Information


Die Handels- und Depotfunktionen in diesem Broker Cockpit werden für Finanzinstrumente von der Finanzen.net Zero GmbH als vertraglich gebundener Vermittler der DonauCapital Wertpapier GmbH (§ 3 Abs. 2 WpIG) bereitgestellt; bei Kryptowerten werden die Handels- und Depotfunktionen in diesem Broker Cockpit ausschließlich von der DonauCapital Wertpapier GmbH bereitgestellt. Die Finanzen.net GmbH stellt ausschließlich den technischen Rahmen bereit und ist in die Wertpapier- und Kryptodienstleistung nicht einbezogen.