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Contact details

ManagerGroupLogo
PO Box 10410, Chelmsford, CM99 2AY
0844 931 0004 (Fax Number)
0845 607 2438 (Main Number)

online.marketing.uk@avivainvestors.com

Fund managers

* Chris Higham01-Nov-2012 to Present
 
view    
Andrew Lake»01-Jul-2010 to 01-Oct-2012
Chris Higham»01-Nov-2009 to 30-Jun-2010
Dominic White»22-Sep-2008 to 31-Oct-2009
Chris Higham»22-Sep-2008 to 30-Nov-2008


Investment objectives

The Fund aims to create a high level of income and the best possible total returns from investment in a broad range of bonds.It may invest in global bonds issued by companies, governments and large international organizations in a variety of currencies. Normally 80% of the bonds in the fund will be priced in Sterling, or hedged to Sterling. Hedging is a technique to reduce the impact of any adverse exchange rate movements. The manager can invest in higher and lower risk bonds but normally will have at least 50% of the Fund invested in high yield bonds.

Key Information

Fund vs sector

  1y 3y
Position 9 / 24 9 / 20
Quartile 2 2

Fund ratings

BLANKMstar OBSR
Analyst
(Qualitative)
n/aS&P Rating
(Qualitative)
FE Crown Rating: 3 FE Crown Rating
(Quantitative)

Ratios

  1y 3y
Volatility 3.79 9.40
Alpha -0.89 -1.51
Beta 1.17 1.21
Sharpe 3.28 0.45
Info Ratio 1.40 -0.02
R2 0.95 0.99
Quartiles:   1  2  3  4   help with ratios
vs. Sterling High Yield»
performance chart
chart
    1y3y5y12m-24m24m-36m36m-48m48m-60m
INC +18.2+29.9n/a-2.3+12.6+37.0n/a
  STERLING HIGH YIELD   +16.1+29.6+46.1-1.1+12.9+31.3-14.1
Clean share class
   Bid OfferDateYieldOCF help CiticodeSEDOL
pdf AVIVA INV HIGH YIELD BOND 2 INC INC 104.73 (p) 23-May-2013 7.00 0.65% DBK1 B3CGJJ8
Other share classes
   Bid OfferDateYieldOCF help CiticodeSEDOL
pdf AVIVA INV HIGH YIELD BOND 1 INC INC 69.08 (p) 23-May-2013 6.60 1.15% DBK0 B3CGJ87

The Ongoing Charges Figure (OCF) shows the drag on performance caused by operational expenses associated with a fund.

Expenses which are represented by this figure include payments to the manager, the trustee the custodian and their representatives. The figure also includes registration, regulatory, audit and legal fees, and the costs of distribution.

Performance fees, transaction costs, interest on borrowing, costs associated with derivatives, entry and exit fees and soft commissions are not included in the OCF calculation, and should be factored in separately by the investor.

The OCF is calculated by taking the sum of these expenses incurred in the last 12 months and dividing this by the average net assets of that class for the last 12 months.

Total Expense Ratio (TER) is a formula designed to show the ongoing costs to the investor associated with a fund, including some charges which are not factored into the annual management fee. In addition the fund’s annual fee, charges such as trading fees, audit and legal fees, and operational expenses are included in the TER, which is worked out by dividing the total cost of the fund by its total assets to arrive at a percentage.

Unlike the Ongoing Charges Figure, the TER takes into account performance fees. It does not include transaction costs paid to the custodian.

Detailed fund information
Fund type flag UK Open Ended Investment Company (OEIC)
Own ISA wrapper Fund has ISA Wrapper help with ratios Fund size£58.5m / $88.1m (30-Apr-13)
Savings plan Fund has Savings Plan  Launch22-Sep-2008
Pricing times12:00 daily Dealing frequencyDaily
CAT standardCAT Standard Dealing timesn/a
Minimum initial£ 1,000
Minimum additional£ 250
Initial charge4.00%
Annual management charge1.00%
Note to chargesn/a
Trustee / DepositaryCitibank International plc
RegistrarInternational Financial Data Services (UK) Ltd
Multi-Managern/a
Indexn/a
Dividend policyJan 15, Apr 15, Jul 15, Oct 15 (Final)
Peer groups
Region Asset Class Investment Focus Sector
Global Fixed Interest Mixed Sterling High Yield
Largest holdings, 30-Apr-2013
Holding (%) Rank Fund factsheet Equity factsheet
ANGLIAN WATER (OSPREY)FINANCING PLC 7% GTD SEC NTS 31/01/18 GBP100000 3.00 1 - -
HEATHROW FINANCE 7,125% 01/03/17 2.80 2 - -
CPUK FINANCE 11.625% 28/02/2042 REGS 2.50 3 - -
UPC HOLDING BV 8.375% BDS 15/08/20 EUR50000`144A` 2.40 4 - -
AGROKOR D.D 9.125% MTN 01/02/20 EUR1000 REG S 2.40 5 - -
LAFARGE 8.75% NTS 30/05/17 GBP1000 2.30 6 - -
ARDAGH PACKAGING FINANCE 7.375% SNR NTS 15/10/17 EUR1000 REG S 2.20 7 - -
BOMBARDIER INC 6.125% BDS 15/05/21 EUR100000 2.20 8 - -
INFINIS PLC 7% BDS 15/02/19 GBP1000 144A 2.20 9 - -
INVESTEC BANK 9.625% 17/02/2022 1.90 10 - -
Total23.90 
Regional weightings, 30-Apr-2013
Region(%)Rank 
UK43.701 43.70% UK
Dev Europe38.602 38.60% Dev Europe
North America6.703 6.70% North America
Australia & New Zealand3.604 3.60% Australia & New Zealand
Money Market2.605 2.60% Money Market
European Emerging Markets2.406 2.40% European Emerging Markets
Middle East/ Africa1.307 1.30% Middle East/ Africa
Others1.108 1.10% Others
Total100.00 
Sector weightings, 30-Apr-2013
Sector(%)Rank 
BB35.401 35.40% BB
B24.402 24.40% B
BBB14.603 14.60% BBB
Non-Rated10.404 10.40% Non-Rated
A6.105 6.10% A
CCC+3.906 3.90% CCC+
Money Market2.607 2.60% Money Market
AAA1.508 1.50% AAA
Others1.109 1.10% Others
Total100.00 

All prices in Pence Sterling (GBX) unless otherwise specified. Price total return performance figures are calculated on a bid price to bid price basis (mid to mid for OEICs) with net income (dividends) reinvested. Performance figures are shown in Sterling unless otherwise specified.

 
 
 
 
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Asset allocation

Global Fixed Interest, 52.60%
52.6000% ofGlobal Fixed Interest
UK Corporate Fixed Interest, 43.70%
43.7000% ofUK Corporate Fixed Interest
Money Market, 2.60%
2.6000% ofMoney Market
Others, 1.10%
1.1000% ofOthers

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