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FairHorizont Blau Fonds

Anlagezeithorizont: 2–4 Jahre. Conservative bond-heavy allocation. 22 kuratierte Fonds in diesem Bucket.

Über FairHorizont Blau

Defensiv. Überwiegend Investment-Grade-Anleihen kurzer bis mittlerer Laufzeit sowie konservative 20/80-Multi-Asset-Allokationen. Die Volatilität ist begrenzt; die Renditen folgen der Inflation zuzüglich eines moderaten Aufschlags.

Erwartete Rendite: 2–4% pro Jahr. Erwartete Volatilität: 3–5% pro Jahr. Zeithorizont: 2–4 Jahre.

Das Family Office verwendet FairHorizont als primäre Linse für die Platzierung von Fonds in Kundenportfolios. Der Bucket bestimmt den Prozentsatz des Gesamtvermögens, der rational in jedem Fonds liegen darf, sowie die Benchmarks, an denen die Performance gemessen wird. Siehe unsere Strategien für das vollständige Klassifikationsrahmenwerk.

Portfolio 2

Dimensional Funds PLC - World Allocation 20/80 Fund

Portfolio solution for FAIRHORIZON Blue. Global multi-asset defensive allocation (20/80). Active quantitative highly diversified fund-of-Dimensional funds portfolio.

FairHorizont Blau Acc USD (H)
B1

Vanguard Investment Series PLC - Global Bond Index Fund

Global investment grade diversified bonds. Passive tracker on Bloomberg Global Aggregate Float Adjusted and Scaled Index.

FairHorizont Blau Acc USD (H)
B2

SPDR Bloomberg Global Aggregate Bond UCITS ETF

Global investment grade diversified bonds. Passive tracker on Bloomberg Global Aggregate Bond Index.

FairHorizont Blau Dis USD (H)
B4

Vanguard Global Credit Bond Fund

Global investment grade diversified bonds. Active strategy with high corporate bonds exposure.

FairHorizont Blau Acc USD (H)
B15

PIMCO Funds: Global Investors Series plc -Income Fund

Global diversified bonds. Active strategy and highly diversified portfolio with high US-bias and Agency MBS-focused.

FairHorizont Blau INST Acc USD
B21

Flossbach von Storch Bond Opportunities

Global investment grade diversified bonds. Active strategy with mainly fixed-rate corporate and government bonds exposure.

FairHorizont Blau IT Acc USD (H)
B16

PIMCO Funds- Global Investors Series Plc - Diversified Income Fund

Global diversified bonds. Active diversified strategy with about 1/3 investment grade bonds, 1/3 high yield bonds, and 1/3 emerging market bonds.

FairHorizont Blau INST Acc USD
B20

Vontobel Fund - TwentyFour Strategic Income Fund

Global diversified bonds. Active strategy with high conviction concentrated portfolio. High Europe incl. UK-bias and with a focus on CoCo bonds.

FairHorizont Blau HG Acc USD (H)
B3

iShares Global Corp Bond UCITS ETF

Global investment grade corporate bonds. Passive tracker on Bloomberg Global Aggregate Corporate Bond Index.

FairHorizont Blau Acc USD
B9

iShares US Aggregate Bond UCITS ETF

US investment grade diversified bonds. Passive tracker on Bloomberg US Aggregate Bond Index.

FairHorizont Blau Acc USD
B13

Vanguard Investment Series PLC - US Investment Grade Credit Index Fund

Global USD investment grade diversified bonds of mainly corporate issues and excludes US Treasuries. Passive tracker on Bloomberg Global Aggregate USD Credit Float Adjusted Bond Index.

FairHorizont Blau Acc USD
B14

Vanguard USD Corporate Bond UCITS ETF

Global USD investment grade corporate bonds. Passive tracker on Bloomberg Global Aggregate Corporate USD Index.

FairHorizont Blau Acc USD
B5

Vanguard Investment Series PLC - US Government Bond Index Fund

US broad maturity government bonds. Passive tracker on Bloomberg US Government Float Adjusted Bond Index.

FairHorizont Blau IP Acc USD
B8

SPDR Bloomberg U.S. Treasury Bond UCITS ETF

US broad maturity government bonds. Passive tracker on Bloomberg US Treasury Bond Index.

FairHorizont Blau Dis USD
B10

Vanguard USD Treasury Bond UCITS ETF

US broad maturity government bonds. Passive tracker on Bloomberg Global Aggregate US Treasury Float Adjusted Index.

FairHorizont Blau Acc USD
B6

SPDR Bloomberg 3-7 Year U.S. Treasury Bond UCITS ETF

US short-medium maturity government bonds. Passive tracker on Bloomberg US 3-7 Year Treasury Bond Index. Highly concentrated due to nature of market segment.

FairHorizont Blau Dis USD
B7

SPDR Bloomberg 7-10 Year U.S. Treasury Bond UCITS ETF

US medium maturity government bonds. Passive tracker on Bloomberg US 7-10 Year Treasury Bond Index. Highly concentrated due to nature of market segment.

FairHorizont Blau Dis USD
B11

SPDR Bloomberg 10+ Year U.S. Treasury Bond UCITS ETF

US medium-long maturity government bonds. Passive tracker on Bloomberg US 10+ Year Treasury Bond Index. Highly concentrated due to nature of market segment.

FairHorizont Blau Dis USD
B12

SPDR Bloomberg U.S. TIPS UCITS ETF

US inflation-linked bonds. Passive tracker on Bloomberg US Government Inflation-Linked Bond Index. Highly concentrated due to nature of market segment.

FairHorizont Blau Dis USD
B18

iMGP US Core Plus Fund

US corporate bonds. Active strategy with concentrated portfolio of average investment grade rating.

FairHorizont Blau IM Acc USD
B17

Nordea 1 SICAV - US Total Return Bond Fund

US MBS-focused bonds. Active strategy with concentrated portfolio across all sub-sectors of the US mortgage market.

FairHorizont Blau AI Acc USD
B19

PineBridge Asia Pacific Investment Grade Bond Fund

Asia investment grade diversified bonds (mainly corporates). Active strategy with a concentrated portfolio.

FairHorizont Blau Y Acc USD