Home>Products>Funds>Long Duration Bond Strategy>

Long Duration Bond Strategy

Medium RiskDiversified
Long Duration Bond Strategy
Issued by:Kristal
Unit Price (NAV) : $
Minimum investment: $
Long Duration Bond Strategy

Long Duration Bond Strategy


Long Duration Bond Strategy5.69%

Fund Strategy

Long Duration Bond Strategy is an actively managed, open-ended and pooled account strategy. It invests in USD denominated long term fixed income instruments and fixed income ETFs with a medium to long term investment horizon. It targets no leverage in the fund and tends to have a higher weightage of BBB- rated instruments on average and hence is ideal for investors looking for relatively high returns

Scheme Information

Start Date Mar, 2019
Sharpe 0.72
Volatility 10%
Max drawdown -12.15%

Dealing Information

Minimum Subscription: USD 10,000
Subscription Frequency: Weekly
Redemption Frequency: Weekly
NAV Publication: Weekly
Redemption Settlement: 5 Business Days
Business Day: Working day in US & Singapore

About Kristal

Kristal.AI is a multi-country licensed Fund Manager established in 2016. Funds are offered via Kristal Singapore which operates under a full CMS license from MAS. Investment decisions are taken and monitored by a team of internal investment professionals & external sub-advisors monitored by the Kristal Investment Commitment. The company focuses on sourcing the best investment strategies across all asset classes at a competitive & transparent pricing.

Long Duration Bond Strategy