| prices | charts | basic claims data | business ratio | action |
|---|---|---|---|---|
| snapshot | price chart | data + charge | performance | portfolio#add_instrument_to#depot |
| stock exchange | performance | management | volatility | portfolio#add_instrument_to#watchlist |
| historic | benchmark | documents | sharpe ratio | |
| returns | ratings |
prices
charts
basic claims data
business ratio
net asset value
| 11.33 EUR | -0.02 EUR | -0.14 % |
|---|
| previous day | 11.35 EUR | date | 07.10.2026 |
fundamental data
| valor | |
| isin | EE3600001897 |
| name | Avaron High Yield Bond Fund C Unit Fonds |
| investment company | AS Avaron Asset Management |
| applied in | Estonia |
| issue date | 15.11.2024 |
| category | Anleihen EUR hochverzinslich |
| currency | EUR |
| capacity | 43’068’378.93 |
| deposit bank | Swedbank AS |
| paying agent | |
| fund manager | Valdur Jaht, Peter Priisalm, Rain Leesi |
| fiscal year-end | 31.12. |
| last update | 08.10.2026 |
investment policy
so investiert der Avaron High Yield Bond Fund C Unit Fonds: The Fund primarily invests in high yield corporate bonds in Europe. During certain times the Fund might have a significant concentration geographically to the Baltics, Emerging Europe, the Nordics or outside of Europe or sector-wise to financials, real estate or energy. The Fund mainly invests in unrated or below investment grade high yield corporate bonds. The risk level and return expectation of such instrument is higher than for government bonds or investment grade corporate bonds. Allocation of the Fund’s assets between different bond types, industrial sectors and geographical regions is determined by the Management Company based on issuer specific analysis and exercising active portfolio management strategy.
funds#headline#assetallocationtypea
funds#headline#assetallocationtypec
funds#headline#assetallocationtypeh
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fonds performance: Avaron High Yield Bond Fund C Unit Fonds
| performance 1 year | 4.53 | |
| performance 2 year | - | |
| performance 3 year | - | |
| performance 5 year | - | |
| performance 10 year | - |
terms
| issue charge | 0.00 % |
| administration fee | 0.75 % |
| custodian fee | 0.00 % |
| capital forming savings possible? | no |
| initial minimum savings amount | 237’093.93 |
| funds#terms#distribution | funds#distribution_type#non_distributing |
stock corporation
| name | AS Avaron Asset Management |
| base#postofficebox | Narva Road 7D |
| zip code | 10117 |
| city | Tallin |
| country | |
| phone | +372 6644205 |
| fax | |
| internet | http://www.avaron.com |