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BFT Convertibles ISR

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BFTCONV:FP
1,393.06
EUR
10.66
0.77%
As of 00:59:30 ET on 09/03/2015.
Fund Type
FCP
52Wk Range
1,285.73 - 1,488.93
1 Yr Return
2.10%
YTD Return
1.54%
Previous Close
1,382.40
52Wk Range
1,285.73 - 1,488.93
1 Yr Return
2.10%
YTD Return
1.54%
Fund Type
FCP
Objective
Convertible
Asset Class Focus
Fixed Income
Geographic Focus
European Union
NAV (on 09/03/2015)
1,393.06
Total Assets (m EUR) (on 09/03/2015)
70.704
Inception Date
10/13/2005
Last Dividend (on -)
-
Dividend Indicated Gross Yield
-
Fund Managers
JEAN-PHILIPPE HERVIEU / CHARLES LEPIC
Front Load Fee
2.00%
Back Load Fee
0.00%
Redemption Fee
0.00%
12b-1 Fee
-
Current Mgmt Fee
0.75%
Expense Ratio
-
Top Fund Holdings
Name Position Value % of Fund
SIEGR 1.65 08/16/19 5.12 k 4.65 m 6.09
ACAFP 0 12/06/16 38.87 k 3.89 m 5.09
DPWGR 0.6 12/06/19 3.83 k 3.83 m 5.02
ALUFP 0 01/30/19 35.81 k 3.58 m 4.69
CAIXAB 1 11/25/17 3.52 k 3.52 m 4.61
QGEN 0 ⅞ 03/19/21 3.50 k 3.18 m 4.17
CUSIP:PP7RANHL 31.69 k 3.17 m 4.15
GBLBBB 1 ¼ 02/07/17 3.07 k 3.07 m 4.02
Profile
BFT Convertibles ISR is an FCP registered in France. The Fund's objective is to outperform the Exane ECI-Euro Index over the recommended investment period. The Fund invests in convertible bonds and euro denominated corporate and government bonds issued by EMU.
ADDRESS
BFT Gestion
11 Avenue d'Iena
75116 Paris
France
PHONE
33-01-40-69-90-90
WEBSITE
www.bft.fr