Market Snapshot
  • U.S.
  • Europe
  • Asia
Ticker Volume Price Price Delta
DJIA 15,354.40 +121.18 0.80%
S&P 500 1,667.47 +17.00 1.03%
Nasdaq 3,498.97 +33.72 0.97%
Ticker Volume Price Price Delta
STOXX 50 2,817.99 +11.29 0.40%
FTSE 100 6,723.06 +35.26 0.53%
DAX 8,398.00 +28.13 0.34%
Ticker Volume Price Price Delta
Nikkei 15,138.10 +100.88 0.67%
Hang Seng 23,082.70 +38.44 0.17%
S&P/ASX 200 5,180.77 +15.11 0.29%
  • Fund Type: SICAV
  • Objective: Region Fund-Geo Focused-Debt
  • Asset Class: Debt
  • Geographic Focus: OECD Countries

Adenium Sicav - Global Bonds Fund

+ Add to Watchlist

ADGGVBA:LX

86.53 EUR 0.03 0.04%

As of 01:59:30 ET on 05/17/2013.

Recently Viewed Symbols
Save as Watchlist
Saving as watchlist...

Snapshot for Adenium Sicav - Global Bonds Fund (ADGGVBA)

Year To Date: +0.48% 3-Month: +0.44% 3-Year: - 52-Week Range: 84.55 - 89.82
1-Month: +0.38% 1-Year: -3.80% 5-Year: - Beta vs LUXXX: 0.32

Mutual Fund Chart for ADGGVBA

No chart data available.
  • ADGGVBA:LX 86.53
  • 1M
  • 1Y
Interactive ADGGVBA Chart

Previous Close

Fund Profile & Information for ADGGVBA

Adenium Sicav - Global Bonds Fund is an open-end fund incorporated in Luxembourg. The investment objective of the Fund is to achieve a stable and moderate level of total return in EUR terms by pursuing investment opportunities in the government bond markets of the major member states of the OECD.

Inception Date: -- Telephone: -
Managers: -
Web Site: -

Fundamentals for ADGGVBA

NAV (on 2013-05-17) 86.53
Assets (M) (on 2013-05-16) 41.34
Fund Leveraged N
Minimum Investment 500.00
Minimum Subsequent Investment 500.00

Dividends for ADGGVBA

No dividends reported

Fees & Expenses for ADGGVBA

Front Load -
Back Load -
Current Mgmt Fee 1.00
Redemption Fee -
12b1 Fee -
Expense Ratio -

Top Fund Holdings for ADGGVBA

Filing Date: 12/31/2012
Name Position Value % of Total
BTPS 2.55 10/22/16 4,000 4,123,998 10.138%
PIMCO Global Bond Fund 175,581 4,091,044 10.057%
BTPS 4 ¾ 09/15/16 1,530 1,637,024 4.024%
CCTS Float 03/01/14 1,624 1,615,783 3.972%
BTPS 3 04/01/14 1,590 1,614,009 3.968%
BTPS 4 ½ 07/15/15 1,529 1,608,126 3.953%
BTPS 2 06/01/13 1,597 1,603,468 3.942%
BTPS 4 ¼ 07/01/14 1,542 1,596,741 3.925%
BTPS 3 ¾ 12/15/13 1,561 1,594,624 3.920%
BTPS 4 ¼ 04/15/13 1,559 1,574,590 3.871%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

Sponsored Financial Commentaries

Advertisement
Advertisement
Sponsored Links
Advertisements
sec ||= nil