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Fisher BondPlus Fund

22210
=
0.00
-
-
  • Previous Close

    0.00

  • Net Assets

    155.70m

  • Yield

    0.00%

  • Front load

    1.50

  • Expenses

    -

  • Category

    Global Bond

  • Morningstar Risk

    Average

  • Morningstar Rating ★★★★
Profile

Name of Issuer

Fisher Funds Management Limited

Fund Style

Open

Fund Manager

Investment Style

-

The Fund is widely diversified across the world’s financial markets for cash, bonds, and foreign currencies. It predominantly invests in international fixed income securities including sovereign debt, agency debt, corporate credits, asset-backed securities (ABS) and mortgage-backed securities (MBS). The Fund may gain its investment exposure by investing into other managed funds, including other TOWER managed funds.

Purchase Information

Initial Purchase 5,000
Initial Purchase: IRA NA
Initial Purchase: AIP 5,000

Inception

31/10/1990

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