The FV Global Bonds follows the proven bond strategy from the DUI Wertefinder Mischfonds. The fund's investment universe consists mainly of foreign currency bonds from emerging markets. Issuers are generally supranational institutions, so that the risk is limited to currency risk, duration risk and spread risk.
The fund has taken ESG criteria into account since May 1, 2020. We have engaged an external sustainability auditor for this purpose: Sustainalytics, which is part of Morningstar, reviews the positions in our funds for ESG criteria, as our goal is to make the investments sustainable over the long term. FV Global Bonds is geared in such a way that the stocks it contains correspond on average to a low-risk rating from Sustainalytics.