Swiss Life Funds (LUX)

Bond Global High Yield Upper Tier

  • Fund
  • Fixed Income
  • Global
  • High Yield

Product details

NAV price per share
Current
N/A
Relative Performance
Since 1 Year
+0.29%
Evolution in reference currency (base value 100) 9296100104108112116Jul 25Dec 25Jul 2621
+6.63%
+6.07%
01 Jul 2026
Show reference index
    • 1
    Current
    • 2
    Ref. Index
TimespanCurrentRef. IndexDiff.
3 months+0.85%+0.80%+0.05%
6 months+2.65%+2.47%+0.18%
Year to date+1.94%+1.86%+0.08%
1 year+7.44%+7.15%+0.29%
3 yearsN/AN/AN/A
5 yearsN/AN/AN/A
10 yearsN/AN/AN/A
Since inception+12.50%+12.73%-0.23%
Aggregated performance data last updated on 29 May 2026 Past performance is no indication of current or future performance. Fees and commissions incurred at fund level are included in the performance indicated. However, the performance data do not take account of the commissions and costs incurred on the subscription and redemption of units or shares.

Strategy

The objective of the Fund is to achieve capital preservation and consistent return by investing in globally diversified portfolio of fixed, zero and variable interest debt securities issued by corporate borrowers (developed markets) rated between BB+/Ba1 and B-/B3 by Standard & Poor’s and Moody’s, respectively. Focus will be on bonds along the capital structure receiving at least a BB-/Ba3 credit rating.

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