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Ofi Invest Esg European Convertible Bond Ic (0P00000QSV)

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81.450 +0.180    +0.22%
20/12 - Closed. Currency in EUR
  • Morningstar Rating:
  • Total Assets: 163.11M
Type:  Fund
Market:  France
Issuer:  OFI Asset Management
ISIN:  FR0000011074 
Asset Class:  Bond
Ofi RS European Convertible Bond IC 81.450 +0.180 +0.22%

0P00000QSV Holdings

 
Comprehensive information about top holdings and Key Holding Information for the Ofi RS European Convertible Bond IC (0P00000QSV) fund. Our Ofi RS European Convertible Bond IC portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

Asset Allocation

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Name  Net %  Long %  Short %
Cash 4.540 4.820 0.280
Stocks 8.560 8.580 0.020
Bonds 6.660 6.660 0.000
Convertible 80.210 80.210 0.000
Other 0.030 0.060 0.030

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio 14.623 16.856
Price to Book 4.724 3.317
Price to Sales 1.797 2.018
Price to Cash Flow 12.473 11.448
Dividend Yield 2.346 2.572
5 Years Earnings Growth 16.629 12.659

Sector Allocation

Name  Net % Category Average
Industrials 53.640 35.191
Energy 33.590 37.302
Consumer Cyclical 8.590 7.601
Technology 4.180 -1.380

Region Allocation

  • Europe Developed
  • Developed Markets

Top Holdings

Number of long holdings: 58

Number of short holdings: 4

Name ISIN Weight % Last Change %
  Ofi RS Liquidités C/D FR0000008997 5.03 4,648.450 +0.01%
STMicroelectronics N.V. XS2211997239 4.45 - -
Safran SA FR0014003Z32 3.35 - -
  Prysmian IT0004176001 3.15 61.5400 +0.75%
Schneider Electric SE 1.97% FR001400M9F9 3.11 - -
Amadeus IT Group SA 1.5% XS2154448059 3.07 - -
  Gaztransport et Technigaz SA FR0011726835 2.88 128.30 +0.23%
Rag-Stiftung DE000A3E44N7 2.77 - -
Iberdrola Finanzas S.A.U. 0.8% XS2557565830 2.59 - -
Nexi S.p.A. XS2305842903 2.38 - -

Top Bond Funds by OFI Invest Asset Management

  Name Rating Total Assets YTD% 3Y% 10Y%
  FR0000008997 5B 3.65 2.36 0.56
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