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Fund details

Eastspring Investments - US Corporate Bond Fd Adm USD

This Sub-Fund aims to outperform the return of Bloomberg Barclays US Credit Index (“Benchmark”). The Sub-Fund is actively managed. The Benchmark is used as a reference point for portfolio construction and as a basis for setting risk constraints. The majority of the Sub-Fund’s exposure to bonds will refer and have similar weightings to the Benchmark. The Investment Manager may use its discretion to invest in bonds not included in the Benchmark in order to take advantage of specific investment opportunities. It is thus expected that the performance of the Sub-Fund will to a limited extent deviate from the Benchmark.
Fund Information
  • Asset Class:Fixed Income
  • Sector:Diversified
  • Geography:United States
  • Benchmark index:Bloomberg Barclays Credit Most Conservative 2% Issuer Cap Bond Index
  • Launch Date:07 Feb 2011
  • Launch Price:USD 10
  • Fund Currency:USD
  • Fund Source: CASH
  • CPF Risk Classification:
  • Price Made Known On:T+2
  • Price Type:Net Asset Value
  • Dealing Cut Off Time:3:00PM Spore Time
Information
Cash CPFOA-IA CPFSA-IA SRS-IA
Minimum Investment AmountUSD 1000---
Minimum Subsequent InvestmentUSD 100---
Minimum Redemption Amount ($)/units0 Unit(s)---
Relevant Charges
Cash CPFOA-IA CPFSA-IA SRS-IA
POEMS Sales Charge0%---
Internal Switch-in Charge/Min Switch-in Charge0.00 % / $ 0.00---
External Switch-in ChargeNA---
Redemption/Realisation ChargeNA---
Annual Management Fee0.9%---
Annual Trustee Fee---
Expense Ratio1.16%---
Fund Manager Sales ChargeNA---
Admin FeeNA---
Information
Period Performance (%) Volatility (%) Ratio
1 Year NA 7.53 NA
2 Years NA 9.06 NA
3 Years NA 11.06 NA
5 Years NA NA NA
10 Years NA NA NA

The performance figures are calculated using NAV to NAV prices (before sales charge, if any) and does not take into account dividends, if any.

Information
Morningstar Ratings
Overall
3 Years
5 Years
10 Years

PERFORMANCE

PeriodPerformance (%)Volatility (%)Return/Volatility Ratio
YTD2.68960.51975.18
1 Day0.672.55840.26
1 Week0.84431.05220.80
1 Month1.97022.8940.68
3 Months1.76974.02220.44
6 Months2.9625.40270.55
1 Year-8.18967.532-1.09
2 Years-16.13259.0594-1.78
3 Years-7.183411.0563-0.65
5 Yearsnan
10 Yearsnan

ANNUALIZED PERFORMANCE

PeriodPerformance (%)Volatility (%)Return/Volatility Ratio
1 YearNA7.532NA
2 YearsNA6.406NA
3 Years-2.45426.3834-0.38
5 YearsNA-1NA
10 YearsNA-1NA

The performance figures are calculated using NAV to NAV prices (before sales charge, if any) and does not take into account dividends, if any.

Dividend Information

Dividends shall be credited to your account about 10 working days from the 'Payment Date' seen below.

Ex Date Payment Date Dividend Payout per unit
1 Mar 20238 Mar 20230.021637500
1 Feb 20238 Feb 20230.021750000
3 Jan 202310 Jan 20230.024809700
1 Dec 20228 Dec 20220.020894300
2 Nov 20229 Nov 20220.021913100
3 Oct 202211 Oct 20220.024515500
1 Sep 20229 Sep 20220.024651400
1 Aug 20228 Aug 20220.024101000
1 Jul 202211 Jul 20220.023900600
1 Jun 20229 Jun 20220.023646600
2 May 202210 May 20220.025836100
1 Apr 20228 Apr 20220.026852800
1 Mar 20228 Mar 20220.024721300
1 Feb 20228 Feb 20220.026414600
3 Jan 202210 Jan 20220.030234300
1 Dec 20218 Dec 20210.026726900
2 Nov 20219 Nov 20210.029596900
1 Oct 20218 Oct 20210.028124400
1 Sep 20219 Sep 20210.028277300
2 Aug 20219 Aug 20210.029862600
1 Jul 20219 Jul 20210.027562200
1 Jun 20218 Jun 20210.026643400
3 May 202110 May 20210.029231400
1 Apr 202112 Apr 20210.028710300
1 Mar 20218 Mar 20210.026560100
1 Feb 20218 Feb 20210.026891500
4 Jan 202111 Jan 20210.032584100
1 Dec 20208 Dec 20200.027174400
2 Nov 20209 Nov 20200.030090500
1 Oct 20208 Oct 20200.028352500
1 Sep 20209 Sep 20200.027844800
3 Aug 202010 Aug 20200.030879300
1 Jul 20209 Jul 20200.026779800
2 Jun 20209 Jun 20200.026380500
4 May 202011 May 20200.028988600
1 Apr 20208 Apr 20200.027833600
2 Mar 20209 Mar 20200.025590200
3 Feb 202010 Feb 20200.028771100
2 Jan 20209 Jan 20200.027742500
2 Dec 20199 Dec 20190.025165500
4 Nov 201912 Nov 20190.030583200
1 Oct 20198 Oct 20190.025503800
3 Sep 201910 Sep 20190.029282300
1 Aug 20198 Aug 20190.027418400
1 Jul 20199 Jul 20190.024341600
3 Jun 201911 Jun 20190.027442900
2 May 201910 May 20190.026534300
1 Apr 20198 Apr 20190.025986500
1 Mar 20198 Mar 20190.023575200
1 Feb 20198 Feb 20190.024795600
2 Jan 20199 Jan 20190.024502200
3 Dec 201810 Dec 20180.025494700
2 Nov 20189 Nov 20180.026703800
1 Oct 20189 Oct 20180.022668900
4 Sep 201811 Sep 20180.028593500
1 Aug 20188 Aug 20180.025130900

Fund Name:Eastspring Investments - US Corporate Bond Fd Adm USD

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Eastspring Investments (Singapore) Limited

Eastspring Investments (Singapore) Limited

  • Address10 Marina Boulevard
  •  #32-01 Marina Bay
  •  Financial Centre Tower 2
  • Tel:63499100
  • Fax:65095382
  • URLwww.eastspring.com.sg

About Fund Manager

We are a leading Asia-based asset manager and manage investments on behalf of institutional and retail clients. As the Asian asset management business of Prudential plc.1, an international financial services group, we have one of the widest footprints across the continent and are committed to delivering high quality investment outcomes for our clients over the long term. We provide investment solutions across a range of asset classes including equities, fixed income, multi asset, infrastructure and alternatives. We established the Singapore office in 1994 and managed approximately SGD 124.61 billion in funds under management, of which approximately SGD 121.05 billion are discretionary funds managed in Singapore, as at end June 2017. The Singapore office serves as the hub of the asset management business and manages a wide range of funds and mandates across various asset classes for retail and institutional clients.
RSP is not available for this fund.