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IVO IG 2030

FR001400SJA2

Building on the success of its target-date fund IVO 2028, IVO Capital Partners launched a new Investment Grade 2030 fund in November 2024. This sub-fund of the IVO Strategies SICAV, classified as “International Bonds and Other Debt Securities,” aims to generate medium- to long-term returns from a portfolio primarily composed of Investment Grade bonds. This performance assessment takes into account issuer default risk, currency hedging, and the recommended investment horizon (fund maturity: December 31, 2030).
IVO_2030
5.0
6.8

% GROSS YIELD (EUR HEDGÉ)

% GROSS YIELD (USD HEDGED)

2.7

DURATION

BBB-

RATING

155

AUM in M EUR

Risk Indicator

1
2
3
4
5
6
7

Recommended minimum placement period

5

YEARS

Cumulative Performance since creation

5-year performance

6.87 %

-- %

Performance Y.T.D.

0.59 %

Net Asset Value / Net Asset Value

106.90

EUR

ESG

Art. 8 SFDR

General Information

Name, legal form and nationality of the OPC IVO IG 2030
Kind FCP
Name and nationality of the management company of the UCITS IVO Capital Partners, France
Reference currency of the compartment EUR
Motto of the share EUR
Reference to the TOB + Withholding tax on movable property To be defined
The minimum subscription value 5
Minimum subscription in shares/stocks 5
Launch date 27/11/2024
Expiry date if applicable 31/12/2030
Information relating to the monetary fund, if applicable N / A
Information regarding the guarantee or capital protection, if applicable N / A
Structured UCITS Scenarios, if applicable N / A
   
Cost type Description Details of fees over 1 year
One-time costs upon entry or exit
Entry costs A maximum of 2% of the amount you pay when you enter the investment. This includes distribution costs on the amount invested. This is the maximum amount. that you will pay. The person selling you the product will inform you of the actual costs. Up to 2%
Exit costs We do not charge an exit fee for this product, but the person who sells it to you will. The product can do it. 0%
Recurring costs collected each year
Management fees and other administrative and operating expenses 0.88% of your investment value per year. This estimate is based on costs actual figures over the past year. 1
Transaction costs 0.41% of your investment value per year. This is a cost estimate. incurred when we buy and sell the investments underlying the product. The actual amount varies depending on the quantity we buy and sell. 0
Additional costs may be charged under certain conditions.
Commissions linked to results (incentive commission) There are no performance-related commissions for this product.

Costs may increase or decrease due to currency fluctuations and exchange rates.

Performances at the 12 February 2026

YTD1 month6 months1 year3 yearsSince inception
Performance
NAV as of 12.02.2026 – ISIN FR001400SJA2
0,59 %0,31 %2,33 %6,20 %6,87 %
Volatility 1,50 %1,14 %1,78 %1,66 %

Net performance after fees. Past performance is no guarantee of future results. All investments carry risk, including the risk of capital loss.

CONTACTS

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Profile : Not defined
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