Launch - Sabadell Buy and Watch 06 2030, FI

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A fixed income Fund with a buy-and-hold strategy

Sabadell Buy and Watch 06 2030, FI invests in public and private fixed income, mainly with a maturity equal to or less than the time horizon, money market instruments, deposits, other UCIs and, to a lesser extent, liquidity. Up to 40% of this exposure may have a credit rating below BBB- or equivalent or no rating at the time of purchase.

The Fund's portfolio has a predefined duration and the time horizon is 28 June 2030. This allows investors to plan their financial needs.

The objective of Sabadell Buy and Watch 06 2030, FI is to achieve capital appreciation over its time horizon. It seeks to provide maximum returns to investors by holding securities until their maturity date. 

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The Fund's portfolio is selected and managed by a team of fixed income specialists at Amundi, who closely monitor risk based on fundamental credit analysis and proprietary quantitative research tools.

Risks of the Fund

Buy and Watch 06 2030_EN

The summary risk indicator is a guide to the level of risk of this product compared to other products. It shows the likelihood of the product losing money due to market developments or because we are unable to pay you. 
We have classified this product as risk level 2 on a scale of 7, where 2 means low risk. This assessment rates the possibility of future losses in returns as low and the probability of a poor market environment affecting our ability to pay you as very unlikely. 
Additional risks: Market liquidity risk, given that investing in small-cap securities and/or in small markets with limited trading volume may deprive investments of liquidity, which may adversely affect the price conditions at which the Fund may be forced to sell, buy or modify its positions. Sustainability risks, in the event of an environmental, social or governance event or condition that may cause an actual or potential material negative impact on the value of an investment; depending on the Fund's exposure to the affected securities, the impact of unmitigated or residual sustainability risks may have varying degrees of severity on the Fund's performance. 
This product does not include any protection against future market developments, so you could lose some or all of your investment. In addition to the risks included in the risk indicator, other risks may affect the Fund's performance, such as credit risk. Please refer to the Sabadell Buy and Watch 06 2030, FI prospectus.
This product cannot be easily converted into cash. Investments in fixed income made by the Fund would incur losses if interest rates rise. If you choose to divest before the recommended holding period has elapsed, you may not recover your entire investment and may have to pay additional costs. 
This Fund may invest up to 40% in fixed income issues with low credit ratings and therefore has a high credit risk.
Any redemption made prior to 28 June 2030 will incur a redemption fee of 2%, unless ordered on one of the 17 specifically designated dates.


Sabadell Buy and Watch 06 2030, FI is registered with the CNMV under number 6001 and ISIN code ES0166374001. The decision to invest in the Fund should take into account all the characteristics and objectives of the Fund. For more detailed information on the characteristics of the Fund and its investment policy, the minimum initial investment, the recommended investment period, information on costs, charges and other expenses and, in particular, the risks associated with it, we recommend reading the prospectus and the Key Investor Information Document, available at sabadellassetmanagement.com.
This Fund is a NON-COMPLEX MiFID product.
The Management Company is Sabadell Asset Management, S.A., S.G.I.I.C., Sociedad Unipersonal, registered with the CNMV under number 58. The Depositary is BNP Paribas S.A. Sucursal en España, registered with the CNMV under number 240.