MoneyAM Fund Centre
BNY Mellon Sustainable Global Dynamic Bond Newton X Acc
Latest (Mid) Price:
GBX 102.30
Shares Class |
Inc. |
Yield |
2.02 |
Total Expense Ratio |
0.00 |
Fund Performance
Discrete Performance
(No discrete data available for BNY Mellon Sustainable Global Dynamic Bond Newton X Acc)
Quick Stats
Fund Size |
126,679,512.00 |
Launch Date |
30/01/2020 |
Standard Initial Charge (%) |
0.00 |
Currency |
GBX |
ISA Eligible |
No |
Annual Management Charge (%) |
0.00 |
Sector |
IMA UK Equity Income |
Min Investment (£) |
0.00 |
Total Expense Ratio (%) |
0.00 |
ISIN |
GB00BKV28J93 |
Min Topup (£) |
0.00 |
Ongoing Charge (%) |
0.0500 (on 26/01/2021) |
Fund Objective
The Sub-Fund aims to achieve income and capital growth over the medium term (3-5 years). The Sub-Fund is managed to seek a minimum return of cash (1 month GBP LIBOR) +2% per annum over five years before fees. In doing so, it aims to achieve a positive return on a rolling three year basis (meaning a period of three years, no matter which day you start on). However, a positive return is not guaranteed and a capital loss may occur.
Fund Managers
Carl Shepherd
Carl Shepherd holds a degree in BA (Hons) and has Passed level I of the Chartered Financial Analyst (CFA) programme. Right from 2000 - 2002, he had been part of the Legal & General Client services (DC pensions) group. From 2002, he belongs to the Investment manager (fixed income) group of Newton Investment Management.Carl is a portfolio manager in our Fixed Income team with a focus on emerging-market government bonds.
Trevor Holder
Asset Breakdown
Name |
Weight |
African Fixed Interest |
0.00% |
American Emerging Fixed Intere |
5.00% |
Asia Pacific Emerging Fixed In |
0.00% |
Australian Fixed Interest |
7.00% |
Austrian Fixed Interest |
0.00% |
Canadian Fixed Interest |
3.00% |
Czech Fixed Interest |
1.00% |
Danish Fixed Interest |
0.00% |
Dutch Fixed Interest |
1.00% |
French Fixed Interest |
1.00% |
German Fixed Interest |
0.00% |
Global Fixed Interest |
5.00% |
Indonesian Fixed Interest |
2.00% |
Irish Fixed Interest |
0.00% |
Italian Fixed Interest |
3.00% |
Japanese Fixed Interest |
5.00% |
Luxembourg Fixed Interest |
1.00% |
Malaysian Fixed Interest |
1.00% |
Mexican Fixed Interest |
3.00% |
Money Market |
11.00% |
New Zealand Fixed Interest |
2.00% |
Norwegian Fixed Interest |
3.00% |
Peruvian Fixed Interest |
0.00% |
Philippine Fixed Interest |
0.00% |
Polish Fixed Interest |
0.00% |
Spanish Fixed Interest |
3.00% |
Swedish Fixed Interest |
1.00% |
Swiss Fixed Interest |
1.00% |
UK Fixed Interest |
12.00% |
US Fixed Interest |
17.00% |
Region Breakdown
Name |
Weight |
Australia |
7.00% |
Austria |
0.00% |
Bolivia |
0.00% |
Canada |
3.00% |
Cayman Islands |
0.00% |
Colombia |
1.00% |
Costa Rica |
0.00% |
Czech Republic |
1.00% |
Denmark |
0.00% |
Dominican Republic |
0.00% |
Ecuador |
0.00% |
Ethiopia |
0.00% |
France |
1.00% |
Germany |
0.00% |
Indonesia |
2.00% |
International |
5.00% |
Ireland |
0.00% |
Italy |
3.00% |
Japan |
5.00% |
Jersey |
0.00% |
Luxembourg |
1.00% |
Malaysia |
1.00% |
Mexico |
3.00% |
Money Market |
11.00% |
Mongolia |
0.00% |
Netherlands |
1.00% |
New Zealand |
2.00% |
Norway |
3.00% |
Paraguay |
1.00% |
Peru |
0.00% |
Philippines |
0.00% |
Poland |
0.00% |
Spain |
3.00% |
Sweden |
1.00% |
Switzerland |
1.00% |
UK |
12.00% |
USA |
17.00% |
Vietnam |
0.00% |
Sector Breakdown
Name |
Weight |
Convertibles |
6.00% |
Corporate Bonds |
0.00% |
Floating Rate Notes |
0.00% |
Foreign Exchange |
1.00% |
Futures |
0.00% |
Government Agency Bonds |
3.00% |
Government Bonds |
15.00% |
Government Guaranteed |
2.00% |
Government Index Linked |
6.00% |
High Yield Bond |
13.00% |
Investment Grade Bonds |
14.00% |
Money Market |
9.00% |
Options |
0.00% |
Others |
0.00% |
Top 10 Holdings
Name |
Weight |
AUSTRALIA (COMMONWEALTH) 5.5% |
5.00% |
UNITED STATES OF AMER TREAS NO |
4.00% |
USA TREASURY NOTES 0.75% TII 1 |
4.00% |
JAPAN(GOVERNMENT OF) 0.1% BDS |
3.00% |
CANADA HOUSING TRUST NO1 2.35% |
2.00% |
ITALY(REPUBLIC OF) 5% BDS 1/8/ |
2.00% |
NORWAY(KINGDOM OF) 1.75% BDS 1 |
2.00% |
COLOMBIA(REPUBLIC OF) 6% BDS 2 |
1.00% |
USA TREASURY NOTES 0.5% 15/03/ |
1.00% |
Please remember that past performance is not a guide of future returns. The value of investments and the income from them can go down as well as up as a result of currency exchange and market fluctuations and investors may not get back the amount originally invested.
Fund data supplied by