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Barings Global High Yield Bond F USD Acc

Ranked 14 out of 49 in - Global High Yield over 12 months
All calculations are in USD unless stated

Managed by

Craig Abouchar

Craig Abouchar is a member of Barings’ European High Yield Investments Group and the European High Yield Investment Committee. He is a lead portfolio manager for the firm’s European High Yield Bond business and is responsible for the portfolio management of numerous strategies. Craig has worked in the industry since 1994, with a focus on below-investment-grade assets across all investment types and geographic markets. Prior to joining the firm in 2016, Craig was co-CEO for Europe at Castle Hill Asset Management. Craig earned a BBA in Finance from Emory University and an MBA in Finance and International Business from Columbia University.

Sean Feeley

Sean Feeley is head of portfolio management for Barings' U.S. High Yield Investments Group. His responsibilities include portfolio management for various high yield bond total return strategies. Feeley has more than 25 years of experience in the credit market across a variety of industries. Prior to joining the firm in 2003, he worked at Cigna Investment Management in project finance and at Credit Suisse, where he worked in the leveraged finance group. Feeley holds a B.S. in Accounting from Canisius College (magna cum laude) and an M.B.A. from Cornell University. He is a Certified Public Accountant (inactive) and member of the CFA Institute.

Scott Roth

Scott Roth is a member of Barings’ U.S. High Yield Investments Group and the U.S. High Yield Investment Committee. His responsibilities include portfolio management for various high yield bond total return strategies. Scott has worked in the industry since 1993 and his experience has encompassed fund management, underwriting, leveraged loans and high yield. Prior to joining the firm in 2002, he was a vice president at Webster Bank and was a high yield analyst at Times Square Capital Management. He also served as an underwriter at Chubb Insurance Company. Scott holds a B.B.A. from Western Michigan University, an M.B.A. from the University of Michigan and is a member of the CFA Institute.

Objective

The investment objective of the Fund is to provide high current income generation and, where appropriate, capital appreciation. To achieve its objective, the Fund will invest principally in a portfolio of High Yield fixed and floating rate Corporate Debt Instruments, focussing primarily on North American and European High Yield Instruments which are listed or traded on Recognised Markets in Europe or North America.

Showing fund performance in Singapore View performance globally

Performance

Global High Yield over : 31/03/2017 - 31/03/2018
  • Rank 14/49 Total Return
  • Rank 36/49 Standard Deviation
  • Rank 21/49 Max Drawdown
Fund Name Currency Return
12 BlueBay Global High Yield Bond B USD USD

4.6%

13 GAM Multibond - Global High Yield Bd-USD C

Currency exposure is hedged

Currency exposure is hedged

USD

4.6%

14 Barings Global High Yield Bond F USD Acc USD

4.5%

15 Robeco High Yield Bonds 0DH USD

Currency exposure is hedged

Currency exposure is hedged

USD

4.5%

16 Amundi Funds II Global High Yield C No Dis USD USD

4.5%

Fund Name Currency Risk
34 BGF Global High Yield Bond A1 USD USD

2.6

34 OYSTER Global High Yield I USD HD

Currency exposure is hedged

Currency exposure is hedged

USD

2.6

36 Barings Global High Yield Bond F USD Acc USD

2.6

37 T Rowe Global High Yield Bond Z USD USD

2.6

38 PARVEST Bond World High Yield I HU USD

Currency exposure is hedged

Currency exposure is hedged

USD

2.6

Fund Name Currency Loss
20 NN (L) Global High Yield P Cap USD Hdgiii

Currency exposure is hedged

Currency exposure is hedged

USD

-1.4%

21 Barings Global High Yield Bond F USD Acc USD

-1.4%

22 Muzinich Global High Yield Hedged USD Acc A

Currency exposure is hedged

Currency exposure is hedged

USD

-1.4%

22 Robeco High Yield Bonds 0DH USD

Currency exposure is hedged

Currency exposure is hedged

USD

-1.4%

Total Return

Quarterly Performance

to 31/03/2018 Annual Q1 Q2 Q3 Q4
2018 -0.7%
2017 8.3% 2.9% 2.3% 2.6% 0.3%
2016 14.4% 1.5% 4.2% 5.0% 3.0%
2015 5.0% 4.5% 1.5% -1.7% 0.7%
2014 3.1% 3.9% 2.9% -1.8% -1.9%
2013 14.1% 4.2% 0.6% 3.9% 4.8%
2012 6.0% 5.1%

Month by Month Performance

Returns Vs Risk

Registered For Sale In

  1. Austria
  2. France
  3. Germany
  4. Ireland
  5. Singapore
  6. Switzerland

Fund Info

  • Launch date30/04/2012
  • Share Class size01Mn
  • Base currencyUSD
  • ISIN IE00B701NP71

Purchase Info

  • Min. initial investment100,000
  • Min. regular additional investment0

Charges

  • Annual management0.00%
  • Initial investment0

Performance is for the period shown (month end to month end, bid/bid, gross income reinvested, calculated in the currency and currencies indicated).