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| Index | iBoxx® USD Contingent Convertible Liquid Developed Market AT1 (EUR Hedged) |
| Investment focus | Bonds, USD, World, Convertible Bonds, All maturities |
| Fund size | EUR 419 m |
| Total expense ratio | 0.39% p.a. |
| Replication | Physical (Full replication) |
| Legal structure | ETF |
| Strategy risk | Long-only |
| Sustainability | No |
| Fund currency | EUR |
| Currency risk | Currency hedged |
| Volatility 1 year (in EUR) | 5.63% |
| Inception/ Listing Date | 22 June 2018 |
| Distribution policy | Distributing |
| Distribution frequency | Quarterly |
| Fund domicile | Ireland |
| Fund Provider | Invesco |
| Fund Structure | Open-ended Investment Company (OEIC) |
| UCITS compliance | Yes |
| Administrator | BNY Mellon Fund Services (Ireland) Designated Activity Company |
| Investment Advisor | Invesco Capital Management LLC |
| Custodian Bank | BNY Mellon Trust Company (Ireland) Limited |
| Revision Company | PricewaterhouseCoopers |
| Fiscal Year End | 31 December |
| Swiss representative | BNP Paribas, Paris, succursale de Zurich |
| Swiss paying agent | BNP Paribas, Paris, succursale de Zurich |
| Germany | No tax rebate |
| Switzerland | ESTV Reporting |
| Austria | Tax Reporting Fund |
| UK | UK Reporting |
| Indextype | Total return index |
| Swap counterparty | - |
| Collateral manager | |
| Securities lending | Yes |
| Securities lending counterparty |
| US06738EBX22 | 2.38% |
| US05964HBH75 | 2.33% |
| US05971KAQ22 | 2.28% |
| US06738ECN31 | 2.23% |
| XS1071551474 | 2.00% |
| US53944YAV56 | 1.93% |
| USF2280BAC03 | 1.87% |
| US86562MDW73 | 1.83% |
| USF2280BAA47 | 1.82% |
| US65559D2A65 | 1.80% |
| United Kingdom | 24.73% |
| France | 17.28% |
| Switzerland | 13.35% |
| Netherlands | 5.84% |
| Other | 38.80% |
| Other | 99.99% |
| YTD | +0.59% |
| 1 month | +1.68% |
| 3 months | -0.01% |
| 6 months | +2.04% |
| 1 year | +10.97% |
| 3 years | +32.42% |
| 5 years | +5.07% |
| Since inception (MAX) | +27.26% |
| 2025 | +8.81% |
| 2024 | +8.35% |
| 2023 | -0.21% |
| 2022 | -12.79% |
| Current dividend yield | 5.95% |
| Dividends (last 12 months) | EUR 0.97 |
| Period | Dividend in EUR | Dividend yield in % |
|---|---|---|
| 1 Year | EUR 0.97 | 6.22% |
| 2025 | EUR 0.99 | 6.13% |
| 2024 | EUR 1.04 | 6.53% |
| 2023 | EUR 0.99 | 5.82% |
| 2022 | EUR 1.03 | 4.99% |
| Volatility 1 year | 5.63% |
| Volatility 3 years | 6.83% |
| Volatility 5 years | 9.26% |
| Return per risk 1 year | 1.95 |
| Return per risk 3 years | 1.43 |
| Return per risk 5 years | 0.11 |
| Maximum drawdown 1 year | -3.70% |
| Maximum drawdown 3 years | -5.14% |
| Maximum drawdown 5 years | -27.94% |
| Maximum drawdown since inception | -28.73% |
| Listing | Trade Currency | Ticker | Bloomberg / iNAV Bloomberg Code | Reuters RIC / iNAV Reuters | Market Maker |
|---|---|---|---|---|---|
| gettex | EUR | XAT1 | - - | - - | - |
| Stuttgart Stock Exchange | EUR | XAT1 | - - | - - | - |
| Borsa Italiana | EUR | XAT1 | XAT1 IM XAT1IN | XAT1.MI 0X3QINAV.DE | Flow Traders |
| SIX Swiss Exchange | EUR | XAT1 | XAT1 SW XAT1IN | XAT1.S 0X3QINAV.DE | Flow Traders |
| XETRA | EUR | XAT1 | XAT1 GY XAT1IN | XAT1.DE 0X3PINAV.DE | Flow Traders |