| prices | charts | basic claims data | business ratio | action |
|---|---|---|---|---|
| snapshot | price chart | data + charge | performance | portfolio#add_instrument_to#depot |
| stock exchange | performance | management | volatility | portfolio#add_instrument_to#watchlist |
| historic | benchmark | documents | sharpe ratio | |
| returns | ratings |
prices
charts
basic claims data
business ratio
net asset value
| 140.05 EUR | 0.05 EUR | 0.04 % |
|---|
| previous day | 140.00 EUR | date | 07.10.2026 |
fundamental data
| valor | |
| isin | LU2526377457 |
| name | Pharus SICAV - Liquidity Class B EUR Acc Fonds |
| investment company | Pharus Management |
| applied in | Luxembourg |
| issue date | 13.09.2022 |
| category | Unternehmensanleihen EUR Kurzläufer |
| currency | EUR |
| capacity | 28’762’600.79 |
| deposit bank | Edmond de Rothschild (Europe) |
| paying agent | Banque Privée Edmond de Rothschild Europ |
| fund manager | Not Disclosed |
| fiscal year-end | 30.09. |
| last update | 08.10.2026 |
investment policy
so investiert der Pharus SICAV - Liquidity Class B EUR Acc Fonds: The Sub-Fund's investment objective is to achieve a positive rate of income by investing in rated (min. 65% max 100%) and unrated (up to 35%) fixed income, floating rate (up to 100%), convertible bonds (up to 20%) and any other debt securities (such as securitised debt) qualifying as transferable securities of corporate and sovereign issuers worldwide, including companies located in emerging markets (max. 30%, including China up to max 10%). Investments in Russia are not allowed. Investments shall only be made in the currencies of OECD member countries. The expected average rating of the Sub-Fund is B, with the possibility to use a higher or lower rating according to the market conditions and in the best interest of the shareholders. In case of unrated issue or missing/unavailable information on the issue, the rating of the issuer will be considered in the calculation of the average rating.
funds#headline#assetallocationtypea
funds#headline#assetallocationtypec
funds#headline#assetallocationtypeh
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fonds performance: Pharus SICAV - Liquidity Class B EUR Acc Fonds
| performance 1 year | 1.02 | |
| performance 2 year | 4.45 | |
| performance 3 year | 10.69 | |
| performance 5 year | - | |
| performance 10 year | - |
terms
| issue charge | 0.00 % |
| administration fee | 0.60 % |
| custodian fee | 0.00 % |
| capital forming savings possible? | no |
| initial minimum savings amount | |
| funds#terms#distribution | funds#distribution_type#non_distributing |
stock corporation
| name | Pharus Management Lux S.A. |
| base#postofficebox | 16, avenue de la Gare |
| zip code | L-1610 |
| city | Luxembourg |
| country | |
| phone | +352 28 55 69 - 1 |
| fax | |
| internet | http://www.pharusmanco.lu |