DNCA Invest Sérénité Plus
Short-term eurozone bonds
Art.8

Key points
A short term flexible bond fund invested in the Eurozone aiming at low volatility.
- Flexible and active management of short-term interest rate products for low volatility investments.
- A selection of securities based on a fundamental analysis of issuers, taking into account extrafinancial ESG criteria.
- A sub-fund that can be invested up to 100% in euro-denominated bonds of private or public sector issuers, without rating constraints.
NAV
€107.68
Risk indicator
Lower risk
Higher risk
Risks :
- Risk relating to discretionary management
- Interest-rate risk
- Credit risk
- Risk of capital loss
- Liquidity risk
- Convertible securities risk
- Risk of investing in Contingent Convertible Bonds and/or Exchangeable Bonds
- Perpetual bonds risk
- Risk relating to investments in derivative products
- Counterparty risk
- Equity risk
- Risk of investing in fixed income securities
- Specific risks associated with OTC derivative transactions
- Distressed securities risk
- ESG risk
- Sustainability risk
performance and volatility
as of 2025-05-05
Year-to-date performance
+1.16%
+3.62%
+2.05%
+10.68%
0.95%
Footnotes
*The inception date of the Fund is 2016-11-03
Breakdown by country