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Key figures as at 29.07.2010

Net Asset Value (capitalization shares) 119.20 EUR
Net Asset Value (distribution shares) 101.55 EUR
Year high (cap.) at 13.07.2010 119.44 EUR
Year low (cap.) at 04.01.2010 117.44 EUR
Total assets of the fund 131.03

Investment policy

The subfund MEDIUM TERM EURO of the bond investment fund LUXBOND invests its assets mainly in short and medium term bonds of high-quality issuers, having at least an AA-rating and denominated in EURO. The objective consists in achieving, at medium term, a higher return than the money-market investments in EUR.

This sicav is eligible for S-Invest, the strategy for investing in BCEE sicavs.

Technical details/characteristics

Investment fund types
Issue date 10.05.2004
Reference Currency EUR
Type of shares cap. & dis.
Withholding tax Non
Subscription fee Maximum 2.00 %
Redemption fee 0.00 %
Calculation of the net asset value Daily
For every subscription today (day J) before noon (Luxembourg time), the NAV of tomorrow (day J+1) will be applicable, except for sundays and holidays.
ISIN code (cap.) LU0187439145
ISIN code (dist.) LU0187440077
WKN number
Bloomberg number LXMTEAC (cap.) /LXMTEBD (dist.)

Risk level

This sicav is eligible for S-Invest, the strategy for investing in BCEE sicavs


Important notice:

The historic performances do not guarantee similar future value increases. Value losses cannot be excluded and the BCEE will not be liable for those losses. The future performances depend mostly on the developments of the financial markets. Subscriptions must be made on the basis of the most recent sales prospectus applicable at that time, accompanied by the latest Annual Report or the latest half-yearly Report, if this one has been issued on a more recent date. Shares of BCEE's investment funds may not be offered or sold to US citizens or residents.