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onemarkets UC Bond Portfolio I Fund C

ISIN
LU2673935834
WKN
A3EUDS
VIEW MORE INFO

No history available
Product
No history available

Historical considerations do not give reliable indications for future performances.

Historical considerations do not give reliable indications for future performances.

Product

Composition

Last update: 15.04.2026
Top holdings
Name Percentage
ENBW INTL FINANCE 3.85% 23-05-30
1.66%
General Motors Financial Co Inc 4.0% 10-07-30
2.03%
SANTANDER UK 3.346% 25-03-30
1.94%
BP CAP MK BV 3.773% 12-05-30
1.88%
BELFIUS SANV 3.625% 11-06-30
1.66%
FRANCE GOVERNMENT BOND OAT 2.75% 25-02-30
2.36%
BQ POSTALE 3.5% 13-06-30 EMTN
1.65%
ENEL FINANCE INTL NV 0.75% 17-06-30
1.53%
REPSOL INTL FINANCE BV 2.625% 15-04-30
1.72%
BPCE 3.125% 05-09-30 EMTN
1.00%
MEDIOCREDITO CENTRALE BANCA DEL MEZZO 3.25% 04-03-30
1.74%
SNAM 0.75% 17-06-30 EMTN
1.65%
BNP PAR 0.875% 11-07-30 EMTN
1.74%
FRANCE GOVERNMENT BOND OAT 2.5% 25-05-30
8.44%
UNICREDIT 4.25% 06-09-30
9.88%
ROMANIAN GOVERNMENT INTL BOND 2.5% 08-02-30
2.62%
REPUBLIQUE FEDERALE D GERMANY 0.0% 15-02-30
2.28%
POLAND GOVERNMENT INTL BOND 3.0% 16-01-30
4.25%
ICCREA BANCA 3.375% 30-01-30
1.95%
GSK CAP 1.75% 21-05-30 EMTN
1.61%
VOLKSWAGEN INTL FINANCE NV 4.375% 15-05-30
1.88%
INTE 4.875% 19-05-30 EMTN
1.86%
LLOYDS BANK CORPORATE MKTS PLC E 3.25% 24-03-30
1.84%
KLEPIERRE 0.625% 01-07-30 EMTN
1.62%
ITALY BUONI POLIENNALI DEL TESORO 1.35% 01-04-30
2.60%
BANQUE FEDERATIVE DU CREDIT MUTUEL BFCM 1.25% 03-06-30
1.60%
ANHEUSER INBEV SANV 1.5% 18-04-30
1.07%
MERCK FINANCIAL SERVICES 2.375% 15-06-30
1.65%
BBVA 3.625% 07-06-30
1.73%
ITALY BUONI POLIENNALI DEL TESORO 3.7% 15-06-30
3.00%
HOLCIM FINANCE LUXEMBOURG 0.625% 06-04-30
2.00%
HUNGARY GOVERNMENT INTL BOND 4.0% 25-07-29
4.76%
CA LA 0.4% 06-05-30
1.98%
AUSTRIA GOVERNMENT BOND 0.0% 20-02-30
7.37%
DEUTSCHE BAHN AG 1.875% 24-05-30
1.60%
ROMANIAN GOVERNMENT INTL BOND 5.25% 10-03-30
6.08%
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FUND STRUCTURE BY REGIONS
Name Percentage
ITA
22.68%
BEL
2.72%
ROU
8.69%
FRA
18.41%
HUN
4.76%
AUT
7.37%
POL
4.25%
DEU
5.53%
LUX
2.00%
GBR
5.39%
USA
4.01%
ESP
1.73%
NLD
8.68%
Show more
FUND STRUCTURE BY SECTORS
Name Percentage
Financial - Investment - Other Diversified Comp.
15.88%
Banks And Other Credit Institutions
26.63%
Traffic And Transportation
1.60%
Energy And Water Supply
1.65%
Food And Soft Drinks
1.98%
Countries And Central Governments
43.77%
Vehicles
2.03%
Real Estate
1.62%
Tobacco And Alcoholic Beverages
1.07%
FUND STRUCTURE BY CURRENCY
Name Percentage
EUR
96.23%
INVESTMENT RATIO
Name Percentage
Cash Ratio
1.02%

Note on the composition

Marketing communication. This information is provided for illustrative purposes only and may change without prior notice. While the information is deemed reliable as of the date indicated, no guarantee is given as to its accuracy or completeness. The information contained herein constitutes marketing communication and does not constitute an offer or solicitation to buy or sell any financial instrument. For further details on the fund, in particular its investment policy, please refer to the prospectus and the Key Information Document (KID).

Download Product­information­sheet

Alternative Products

Based on this product, please find below up to 6 alternative products with same Underlying, same Product Type but different Maturity/Leverage.

Additional information

Subscription period: 07 July 2025 – 05 September 2025

Fund launch with initial NAV of 100: 08 September 2025

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This website constitutes advertising and is intended exclusively for persons resident in Greece. 

The information contained herein does not constitute an offer or a solicitation to buy or sell securities and may not be used in any jurisdiction where such use is prohibited.

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