An ISIN code is a unique identification number assigned to any stock, bond, ETF, mutual fund or other security.
The higher the score, the higher the investment risk.
How much capital the fund manages.
To what extent a financial product considers sustainability factors and invests according to environmental, social and good governance criteria, according to the SFDR classification.
The score to what extent the fund takes into account people, the environment and society according to the MSCI ESG classification.
This investment fund follows as closely as possible the Bloomberg EUR Non-Government Float Adjusted Bond Index. The fund invests in corporate bonds of industrial and financial companies issued in euros and bonds of the European Union and the European Investment Bank (EIB).
It invests in corporate bonds of Eurozone industrial and financial companies, as well as European Investment Bank (EIB) bonds.
The fund has low to medium risk and is suitable for investors looking to invest over the medium term. The fund is often used in investment portfolios.
When choosing investments, the fund considers environmental, social and governance (ESG) factors. It excludes companies that:
The fund may use derivatives (e.g., futures) to manage cash flows or risks. Vive believes it is important for this fund to use only simple derivatives and not complex variants. Despite the use of derivatives, Vive chooses this fund because it has lower costs than other similar funds.
Want to know more about this fund?
Read the fact sheet here.
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