MM European Long Duration Sovereign Bond Index Fund
Fund description

The Aegon MM European Long Duration Sovereign Bond Index Fund  invests in bonds with a long maturity, issued by governments of countries with the highest creditworthiness in the Eurozone. The fund has a passive investment policy: its aim is to approximate the benchmark’s return as closely as possible. The benchmark is a composite of ICE BofAML 10+ Year Euro Government Indices, limited to the countries with a creditworthiness rating of at least AA and a fixed countries weighting. Because the fund has a passive investment policy, in principle a single external asset manager is appointed for cost reasons.

Key facts
Shareclass
A Eur Acc
ISIN
NL0014677049
SFDR Classification
Article 8
Literature
All Documents
Download
Factsheet - MM-European-Long-Duration-Sovereign-Bond-Index-Fund-Class-A-EUR-Acc_EN_NL0014677049
Prospectus MM Funds - 1st January 2025
SFDR Disclosures MM Funds (Appendix VII Prospectus) 5 December 2024
SFDR Website disclosure - Aegon Global Multi Manager Fixed Income Extra Long Fund
Aegon Global Multi Manager Fixed Income Extra Long Fund 2024 Jaarverslag
Aegon Global Multi Manager Fixed Income Extra Long Fund - Jaarverslag 2023
Statement of Compliance
Aegon AM Sustainability Risks and Impacts Policy for Multi-Management Funds