MM Global High Yield Fund
Fund description

The Aegon MM Global High Yield Fund invests primarily in bonds issued by companies worldwide with a lower credit rating (high yield). 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. The fund has an active investment policy: the aim is to achieve a higher return than the benchmark. The benchmark is the ICE BofAML Global High Yield Constrained Index (unhedged).

Key facts
Shareclass
A Eur Acc
ISIN
NL0014677106
SFDR Classification
Article 8
Literature
All Documents
Download
Factsheet - MM-Global-High-Yield-Fund-Class-I-EUR-Acc_EN_NL0014677114
Factsheet - MM-Global-High-Yield-Fund-Class-A-EUR-Acc_EN_NL0014677106
Prospectus MM Funds - 1st January 2025
SFDR Disclosures MM Funds (Appendix VII Prospectus) 5 December 2024
SFDR Website disclosure - Aegon Global Multi Manager High Yield Fund - Unhedged
Aegon Global Multi Manager High Yield Fund - Unhedged 2024 Jaarverslag
Aegon Global Multi Manager High Yield Fund - Unhedged - Jaarverslag 2023
Statement of Compliance
Aegon AM Sustainability Risks and Impacts Policy for Multi-Management Funds