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onemarkets Algebris Financial Income Fund C
- ISIN LU3046600311
- WKN A4169Q
- Management Company UniCredit Invest Lux S.A.
- Product type Fixed Income Funds
- Share class launch date 25.09.2025
- Final payment date Open End
- Appropriation of income accumulating
- Sub-fund launch date 25.09.2002
- Payment currency EUR
- Fund currency EUR
- SFDR classification Art. 8
Historical considerations do not give reliable indications for future performances.
Productdetails
Composition
| Name | Percentage |
|---|---|
| Banks And Other Credit Institutions |
|
| Mortgage - Funding Institutions (Mba-Abs) |
|
| Internet - Software - It Services |
|
| Insurance Companies |
|
| Financial - Investment - Other Diversified Comp. |
|
| Name | Percentage |
|---|---|
| DEU |
|
| LUX |
|
| USA |
|
| ITA |
|
| FRA |
|
| IRL |
|
| ESP |
|
| CHE |
|
| PRT |
|
| NLD |
|
| BEL |
|
| GBR |
|
| Show more |
| Name | Percentage |
|---|---|
| MORGAN STANLEY 4.099% 22-05-36 |
|
| SG 3.653% 08-07-35 EMTN |
|
| BANCO DE BADELL 6.5% PERP |
|
| BLACKSTONE INC |
|
| BANCO DE SABADELL SA |
|
| LINCOLN NATL CRP |
|
| AIB GROUP 4.625% 20-05-35 EMTN |
|
| COREBRIDGE FINANCIAL INC |
|
| PROSPERITY BANCSHARES INC |
|
| KBC GROUPE 4.75% 17-04-35 EMTN |
|
| BPCE 4.0% 16-01-37 EMTN |
|
| BANCO SANTANDER ALL SPAIN BRANCH 6.35% 14-03-34 |
|
| DEUTSCHE BK NEW YORK BRANCH 3.742% 07-01-33 |
|
| BARCLAYS 6.125% PERP |
|
| AXA 5.5% 11-07-43 EMTN |
|
| NATWEST GROUP PLC |
|
| AIB GROUP 6.0% PERP |
|
| NEXI SPA |
|
| HSBC 3.911% 13-05-34 EMTN |
|
| BANCO SANTANDER SA |
|
| MONTE PASCHI 4.375% 02-10-35 |
|
| UBS GROUP AG 7.0% PERP |
|
| UNICREDIT 6.5% PERP EMTN |
|
| DEUTSCHE BK NEW YORK BRANCH 3.729% 14-01-32 |
|
| AMERICAN INTERNATIONAL GROUP |
|
| CAIXABANK 7.5% PERP |
|
| UNICREDIT 5.459% 30-06-35 |
|
| CARLYLE GROUP INC/THE |
|
| BARCLAYS 9.25% PERP |
|
| BNP PAR 6.875% PERP |
|
| MORGAN STANLEY 3.981% 23-01-37 |
|
| SOUTHSTATE BANK CORP |
|
| BBVA 4.375% 29-08-36 EMTN |
|
| INTE 4.271% 14-11-36 EMTN |
|
| OLD NATIONAL BANCORP |
|
| CITIGROUP INC |
|
| UBS GROUP AG 3.875% 13-01-37 |
|
| LLOYDS BANKING GROUP 4.0% 09-05-35 |
|
| INTE 4.198% 01-06-32 |
|
| BANCA MONTE DEI PASCHI SIENA |
|
| KBC GROUPE 6.25% PERP |
|
| LINCOLN NATIONAL CORP |
|
| COMMERZBANK AKTIENGESELLSCHAFT 6.625% PERP |
|
| DEUTSCHE BK 6.75% PERP |
|
| UNICREDIT 4.175% 24-06-37 EMTN |
|
| BANK OF AMERICA CORP |
|
| MEDIOBANCA SPA |
|
| NATWEST GROUP 7.416% 06-06-33 |
|
| VOYA FINANCIAL INC |
|
| ZURICH FINANCE IRELAND DESIGNATED 5.125% 23-11-52 |
|
| CREDIT AGRICOLE SA |
|
| BARCLAYS 4.973% 31-05-36 EMTN |
|
| BPCE 3.875% 26-02-36 EMTN |
|
| BNP PAR 2.588% 12-08-35 |
|
| BANCO SANTANDER ALL SPAIN BRANCH 2.749% 03-12-30 |
|
| BANCO COMERCIAL PORTUGUES 4.75% 20-03-37 |
|
| INTESA VITA 4.217% 05-03-35 |
|
| COMMERZBANK AKTIENGESELLSCHAFT 4.125% 30-06-37 |
|
| UBS GROUP AG 3.757% 11-08-36 |
|
| STANDARD CHARTERED 7.0% PERP |
|
| COMMERZBANK AKTIENGESELLSCHAFT 4.875% 16-10-34 |
|
| BNP PARIBAS |
|
| HSBC 4.191% 19-05-36 EMTN |
|
| DEUTSCHE BK 10.0% PERP |
|
| CASA ASSURANCES 4.5% 17-12-34 |
|
| CAIXABANK 4.375% 08-08-36 EMTN |
|
| CAIXABANK 3.875% 20-01-37 EMTN |
|
| ALLIANZ SE 5.824% 25-07-53 |
|
| COMMERZBANK AKTIENGESELLSCHAFT 4.125% 20-02-37 |
|
| UNIPOL ASSICURAZIONI 4.9% 23-05-34 |
|
| ALLIANZ SE 4.431% 25-07-55 |
|
| ZURICH FINANCE IRELAND DESIGNATED 3.0% 19-04-51 |
|
| UNIPOL ASSICURAZIONI 6.0% PERP |
|
| SG 6.125% PERP EMTN |
|
| INTE 7.0% PERP |
|
| STIFEL FINANCIAL CORP |
|
| WEBSTER FINANCIAL CORP |
|
| ING GROEP NV 3.875% 20-08-37 |
|
| BANCO SANTANDER ALL SPAIN BRANCH 6.0% PERP |
|
| UNUM GROUP |
|
| CITIGROUP 4.296% 23-07-36 |
|
| CVC CAPITAL PARTNERS PLC |
|
| EQUITABLE HOLDINGS INC |
|
| Show more |
| Name | Percentage |
|---|---|
| USD |
|
| EUR |
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| GBP |
|
| Name | Percentage |
|---|---|
| Cash Ratio |
|
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Note on the non-binding sample calculation
THIS IS A MARKETING COMMUNICATION. Please refer to the prospectus of this fund and to the Key Information Document (KID) before making any final investment decisions. This past performance calculator is based on historical data. Past performance does not predict future returns. Markets could develop very differently in the future. Performance is shown after deduction of ongoing costs. Any entry and exit charges as well as any distribution payments in the case of distributing share classes are excluded from the calculation. Fees and expenses reduce investment returns. This information is not intended to be relied upon as a forecast, research or investment advice and is not a recommendation or offer to buy or sell any securities or to adopt any investment strategy. This information is also automatically shown for funds for which subscriptions may no longer be possible. A summary of the information on investor rights as well as the instruments of collective redress can be found in English at: https://www.structuredinvest.lu/lu/en/fund-platform/about-us.html. The Management Company may decide to terminate the arrangements made for the marketing of its collective investment undertakings in accordance with Article 93a of Directive 2009/65/EC.













