Fundos imga

Fixed Income

IMGA OBRIGAÇÕES CORPORATE 2028 - 2,30%

Assets under Management LATEST SHARE PRICE PROFITABILITY

 

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1 year

[ Risk Level ]

3 years

[ Risk Level ]

5 years

[ Risk Level ]

Share Class A     [ ]   [ ]   [ ]
Share Class B     [ ]   [ ]   [ ]
Share Class C €     [ ]   [ ]   [ ]
Share Class D     [ ]   [ ]   [ ]
Share Class G     [ ]   [ ]   [ ]
Share Class FA     [ ]   [ ]   [ ]
Share Class FR     [ ]   [ ]   [ ]
Share Class R €     [ ]   [ ]   [ ]
Share Class I     [ ]   [ ]   [ ]
Share Class P     [ ]   [ ]   [ ]
Category I1     [ ]   [ ]   [ ]
        ()
Classes launched after the fund’s inception reflect the performance of the first class established.
 
Assets under Management

 

()

LATEST SHARE PRICE PROFITABILITY
1 year

[ Risk Level ]

3 years

[ Risk Level ]

5 years

[ Risk Level ]

Share Class A
    [ ]   [ ]   [ ]
Share Class B
    [ ]   [ ]   [ ]
Share Class C
€     [ ]   [ ]   [ ]
    [ ]   [ ]   [ ]
Share Class G
    [ ]   [ ]   [ ]
Share Class FA
    [ ]   [ ]   [ ]
    [ ]   [ ]   [ ]
Share Class R
€     [ ]   [ ]   [ ]
Share Class I
    [ ]   [ ]   [ ]
Share Class P
    [ ]   [ ]   [ ]
    [ ]   [ ]   [ ]
 
()
 
Risk Level SRI
Risk level 2
General Data

Asset Class: Fixed Income

Launch Date: Jun-26

Initial Subscription: €500 until 21 July 2026€250 until 21 July 2026

Subscription Fee: 0% until 21 July 2026

Redemption Fee: 3%, 0% on the fund’s liquidation

Management Fee: 1% / year1% / year

Depositary Fee: 0,05% / year

Cash Settlement: Available within 5 working days after order date

Recommended Period: 23 months and 8 days (until the fund matures on 30 June 2028)

Currency: EUREUR

Income Policy: DistributionDistributionDistribution

Management Company: IM Gestão de Ativos - Sociedade Gestora de Organismos de Investimento Coletivo, S.A.

Return %

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The return presented is for the selected period and based on the value of the fund units. The chart represents an investment of €10,000 in the fund during this period.

Classes launched after the fund’s inception reflect the performance of the first class established.

Discrete annual return - the chart above reports the appreciation or devaluation of the fund or a basket of funds ina  given period of time, in this case, corresponding to a calendar year and the last 12 months.

Objetivos de Investimento

O Fundo tem como objetivo assegurar, no termo da sua duração, a proteção do capital subscrito durante o período de subscrição inicial, bem como o pagamento dum rendimento total único de pelo menos 4,6% ao fim dos 23 meses e 8 dias, correspondendo a um rendimento anual mínimo de 2,30% calculado sobre o valor inicial da UP (10 euros).

Return and Risk Metrics

The share value on the reference day is updated daily, except for Saturdays and Sundays when there are no value updates. Calculations refer to the last 12 months for each of the Return and Risk Metrics as of

Perfil do Investidor

O Fundo destina-se a Investidores Não Profissionais, Investidores Profissionais e Contrapartes Elegíveis que privilegiem a baixa volatilidade de cotações e a reduzida probabilidade de desvalorização do seu capital. A rentabilidade do investimento será estável e aproximada das taxas de juro dos mercados monetários, pelo que o Fundo pode ser encarado como alternativa às aplicações tradicionais de risco idêntico, desde que o cliente assuma a incerteza quanto à rentabilidade futura do Fundo. O prazo de investimento recomendado é o prazo de duração do Fundo, pelo que o mesmo poderá não ser aconselhado para investidores que pretendam resgatar antes de 30 de junho de 2028.

Fund's Portfolio

The figures presented do not include those resulting from the use of financial derivative instruments, namely, futures contracts used for hedging purposes. Fund's portfolio, by asset class, as of

 

The published returns represent past data, and do not constitute a guarantee of future profitability. The reference periods considered are the last quotation date and the quotation on the same date in the previous 12 months, 3 and 5 years. Annualized returns would only be obtained if the investment was made and maintained throughout the reference period. For the purpose of calculating returns, redemption fees are not taken into account, when applicable, and are net of all other fees. The value of the units may increase or decrease depending on the level of risk that varies between 1 (minimum risk) and 7 (maximum risk).

Note: Since January 1st, 2023, with the implementation of the PRIIPS Regulation, the Summary Risk Indicator (SRI) replaced the Summary Risk and Remuneration Indicator (SRI) as the Funds' risk indicator.

Investment in funds may result in the loss of invested capital if the fund is not guaranteed capital. The tax regime for investment funds was changed as of July 1, 2015, whereby the figures disclosed until June 30, 2015 are deducted from the tax then borne by the fund but do not take into account the tax that may be due by the Participants in relation income earned in the period after that date. Investing in the funds does not dispense with reading the Basic Investor and Prospectus Information, available on this website, at www.cmvm.pt and on the respective distributors' websites before making the decision investment. For any additional information, contact us at 21 120 91 00, Monday to Friday from 9:00 am to 6:00 pm.

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