MM Global Emerging Market Debt Fund
Fund description

The Aegon MM Global Emerging Market Debt Fund invests primarily in bonds issued or guaranteed by governments in emerging markets, such as countries in Eastern Europe, South America, Asia and Africa. The fund can additionally invest a maximum of 20% in corporate bonds from companies in emerging markets. The investments take place according to the multi-manager principle. This means that clearly defined mandates are granted to specialized asset managers selected specifically for this purpose.

Key facts
Shareclass
A Acc Eur
ISIN
NL0014676942
SFDR Classification
Article 8
Literature
All Documents
Download
Factsheet-MM-Global-Emerging-Market-Debt-Fund-Class-A-EUR-Acc_EN_NL0014676942
Factsheet - MM-Global-Emerging-Market-Debt-Fund-Class-I-EUR-Acc_EN_NL0014676959
Prospectus MM Funds - 1st January 2025
SFDR Disclosures MM Funds (Appendix VII Prospectus) 5 December 2024
SFDR Website disclosure - Aegon Global Multi Manager Emerging Market Debt Fund - USD
Aegon Global Multi Manager Emerging Market Debt Fund - USD 2024 Jaarverslag
Aegon Global Multi Manager Emerging Market Debt Fund - USD - Jaarverslag 2023
Statement of Compliance
Aegon AM Sustainability Risks and Impacts Policy for Multi-Management Funds