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Gigant High Income Emerging Market Bond Strategy Index

Valor: 49833549 ISIN: CH0498335493 Symbol ISTCSV
Average Community Rating:
Bid (Indicative)

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Ask (Indicative)

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Currency

USD

Updated at

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Change

Change %

52-week low

944,96

52-week high

1.044,45

Gigant High Income Emerging Market Bond Strategy Index

The Index reflects the performance of a virtual investment managed on the basis of a Strategy. This Strategy is determined by the Index Sponsor and the Index Sponsor is solely responsible for it. The Index Calculation Agent neither advises nor assists the Index Sponsor in connection with the preparation or implementation of the Strategy. The strategy of the index sponsor is to create exposure to emerging market bonds. A particular focus will be on bonds issued by Turkish issuers. The aim of this strategy is to offer bond investors an attractive total return in USD. For this reason, the index is expected to consist mainly of emerging market bonds denominated in USD. US government bonds and/or cash and/or money market funds may be included if there is a lack of favourable investment opportunities. In order to minimise exchange rate risks, currency hedging is carried out by means of forward transactions.

Gigant Swiss Consulting AG

We represent the Swissness of the future. We are local and global. Through our many years of experience in Swiss asset management and cultural diversity in our company we understand the investment behavior of our clients from different countries very well. Consequently, we develop tailor-made investment solutions that meet the performance expectations of our clients. The trust of our clients always motivates us to be ahead of the curve, innovative and sustainable. We offer all our clients a long-term uncomplicated relationship that is characterised by mutual respect, trust and reliability. We are ready to embrace the fast and ever-changing global financial markets. Not only developments in the financial world are fast, but also the regular changes of your investment advisors. Stay with your financial institution(s), but consolidate your portfolios with Gigant, your trusted and truly independent asset manager. We are an Authorized Financial Intermediary complying with Swiss Law and Regulations. Furthermore, we are an active Member of the Swiss Association of Asset Managers (SAAM). We employ a dynamic investment approach: Financial Markets are constantly in motion. Consequently, we strongly believe that a successful investment approach should be flexible at any time. Pursuing a dynamic investment approach does not mean we continuously trade your portfolio holdings (e.g. "churning"), neither do we require you to have a long-term investment horizon. We offer a tailor-made service: As a lean boutique-style organisation, we are not required to use our investment management services as a distribution channel for our allocation of pre-defined financial products. Instead, we are able to offer a tailor-made service whose only aim is to serve your personal requirements. Our independence is your guarantee that we always strive to choose the most suitable investments for you as our client. We have cross-asset class expertise: Based on our in-depth experience in financial markets and our select broad network within the investment community, we cover all major asset classes, financial instruments and products. With us you benefit from an exclusive single point of contact for all type of investment management services.

Performance & Risk

Three Months YTD 2020 2018 2016 Since Inception
Gigant High Income Emerging Market Bond Strategy Index 0,80% 1,13% 2,98% - - 5,68%
Three Months
0,80%
YTD
1,13%
2020
2,98%
2018
-
2016
-
Since Inception
5,68%

The figures given refer to past performance. Past performance is not a reliable indicator of future performance and should not be the sole decision factor in the selection of a financial instrument. The performance of the financial instrument is displayed on the basis of valuation prices in the investment currency, with reinvested net income. Due to currency fluctuations, your return may be higher or lower if you invest in a currency other than the one in which the past performance has been calculated. All price information relates to the product unless otherwise indicated.

Risk Indicator

The risk indicator is a guide to the level of risk of this product compared to other products.

Index Composition

Breakdown

Master Data

Master Data

Product Type Tracker Certificate
Issue Date 21/10/2019
Issue Price 1.059,30
Ratio 1,00
Index Gigant High Income Emerging Market Bond Strategy Index
Currency USD
Markets(s) SIX SWISS EXCHANGE – STRUCTURED PRODUCTS
Currency Hedged No
Index adjustments According to the Index Guide

Parties

Issuer Vontobel Financial Products Ltd., DIFC Dubai
Guarantor Vontobel Holding AG, Zurich

Costs

Management Fee 1,50
Performance Fee -

Documents

Factsheet

Factsheet

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Termsheet / Final Terms

Termsheet / Final Terms

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Key Information Document

Key Information Document

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