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Piraeus Regular Income Strategy 2029 (III) European Bond Fund

NET ASSET VALUE

10.0621 €

ASSETS UNDER MANAGEMENT

55,089,060.63 €

SYNTHETIC RISK INDICATOR

2

ISIN

GRF000501004

The investment objective of the Fund is to increase the value of its investments, providing mainly return of income as well as capital growth, by investing its assets mainly in a diversified portfolio of debt securities in euros. Investment in equity shares cannot exceed 10% of the Fund's net assets. The Fund may also hold liquid assets.

The fund will be fully liquidated by 18.12.2029. Therefore, during the beginning of the Fund's investments, the average portfolio duration will approach 5 years.

The Mutual Fund is suitable for investors with a medium-term investment horizon, who seek to maintain their investment throughout the duration of the Fund and seek income and capital gains through investments in a diversified portfolio of mainly European debt securities.

The period of accumulation of the assets of the Fund will end on 18/12/2024. From this date onwards, the Fund will not accept new subscriptions.
Reference Date 31/12/2025
This is a marketing communication. Please refer to the forms of the Fund before making any final investment decisions.
Product details

Asset Allocation

96.98%
Bonds
3.02%
Cash

Historical price evolution

Price Evolution
Select a time period to view the historical performance of the unit price.

Annual Mutual Fund returns

Category
2025
Mutual Fund
2.7%

Total returns

052.7
2.7%Mutual Fund return

Risk Indicator

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Higher riskLower risk
Key risks associated with the Fund
Operational Risk
Credit Risk
Concentration Risk
State Risk
Counterparty Risk
Assets Reduction Risk
Liquidity Risk
Depositary Risk
Sustainability Risk
For a more detailed description of all risks associated with the UCITS, see Chapter "2.3.2 Risks" of the prospectus, which is available at www.piraeusaedak.gr/en

Geographical allocation

45.87%
Greece
14.32%
Italy
14.42%
France
7.44%
USA
7.51%
Netherlands
4.53%
Great Britain
5.9%
Other Europe

Currency allocation

100%
Euro

Top holdings

9.03% MYTIL FXD 4% 17 OCT 2029
8.75% PPCGA FXD 4.625% 31 OCT 2
8.12% BTPS FXD 3% 1 OCT 2029 5Y
7.75% ETEGA VAR 19 NOV 2030 5Y
6.95% EUROB VAR 24 SEP 2030 5Y
4.50% SOCGEN VAR 13 NOV 2030 5
4.49% HSBC VAR 25 SEP 2030 5Y
4.32% TPEIR VAR 16 APR 2030 5Y
4.23% ABNANV FXD 0.5% 23 SEP 20
4.13% NGGLN FXD 3.247% 25 NOV 2

Product details

Currency
Euro €
Inception Date
11/10/2024
Benchmark
-
Assets Under Management
€ 55,089,060.63
Net Asset Value
€ 10.0621
ISIN
GRF000501004
Management Fee
1.00%
Management Company
Piraeus Asset Management MFMC
Depositary
Piraeus Bank S.A.
Reference Date
2/13/2026
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Liability Disclaimer

(HCMC Decision 579/7.10.2024)

This page intends solely to provide general information and is not, nor can be interpreted, directly or indirectly, as an acquisition proposal, investment advice or an inducement to sell that product. 

UCITS DO NOT HAVE A GUARANTEED RETURN AND PREVIOUS PERFORMANCE DOES NOT GUARANTEE FUTURE RETURNS

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