MAP Global Bonds (CHF) – I

ISIN / Telekurs : LU1121107129 / 25648374
Lower risk 1234567 Higher risk
At a glance

Generate growth through active management of market risks exposure with
particular emphasis on protecting the capital during markets downturns.
The fund will mainly offer an exposure to worldwide equities, ETF and third party


MAP Fund  
Annual performance since inception -4.85%
Performance, YTD -1.65%
Performance, MTD 0.00%
Maximum Monthly Drawdown*
Sharpe ratio*
Sortino ratio*

* - Pro forma performance

Strategy and allocation

The Fund will mainly offer an exposure debt securities of any type and/or money market instruments, both classified as investment grade by Standard and Poor’s and/or Moody’s. In order to achieve its objective, the Fund will mainly invest directly in the securities mentioned in the previous paragraph; and/or in collective investments (UCIs) having as main objective to invest or grant an exposure to the above-mentioned securities. The choice of investments will neither be limited by geographical area, economic sector nor in terms of currencies in which investments will be denominated. The Fund may also invest in structured products and derivatives

Strategic asset allocation
Reports and comments

PDF Format
ProspectusDownload (.pdf)
Factsheet - 2020
Factsheet - 2019
Factsheet - 2018
Factsheet - 2017
Factsheet - 2016
Factsheet - 2015
Key Investor InformationDownload (.pdf)
Annual reportsDownload (.pdf)
Semi-annual reportsDownload (.pdf)

Asset classGlobal bonds
BMBarclays Global Aggegate Unhedged in EUR
Reference currencyEUR
Minimum credit rating"80% Investment grade"
Investment styleLong-only, active, fundamental
Type of investmentBonds
ApproachTop down and bottom up
DurationMin. 2 Y - max. 8 Y
Foreign currencyMin. 0% - max. 20%
Subscription / RedemptionD+2 / D+5
Minimum investmentCHF 100.000
Dividend distributionRe-invested
ClassesS, Z, I
Management fees / TER (p.a.)0.60%
RegistrationSwitzerland, Luxembourg, France
Representative / CorrespondentFundPartner Solutions (Suisse) S.A. / BNP Paribas
Legal formSICAV - UCITS - open fund
Initiator and manager1875 FINANCE, Switzerland - FINMA regulated
Custodian bankPictet & Cie (Europe) S.A.
Administrator and transfer agentFundPartner Solutions (Europe) S.A.
AuditorErnst & Young, Luxembourg