AXA Global High Yield Fund

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AXA Fixed Interest Investment ICVC - AXA Global High Yield Fund Z Gross Income

Category Global High Yield Bond - GBP Hedged


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This fund can be held in an Investment ISA, SIPP and Investment Account
Last buy/sell price

88.14p

arrow-up0.07p (+0.08%)

Fund Code

AXHZI

B29NG94

GB00B29NG940

Prices updated as at 08 May 2025
|
Prices in GBX

Investment objective
The aim of this Fund is to provide an income, by investing in high yield bonds, combined with any capital growth over the long term (being a period of five years or more). The Fund seeks to capture opportunities in the international high yield corporate debt market, through investing at least 70 per cent of its assets in ‘sub-investment grade’ bonds, also termed as ’high yield bonds’ (meaning bonds with a Standard & Poor’s rating of lower than BBB- or such equivalent rating by Moody’s or Fitch), issued by companies anywhere in the world. The ACD focuses on credit analysis to create a portfolio of bonds that seeks diversification across companies showing improving resilience against default.

Dividend information

Dividend information
6.10
-
6.20
Quarterly
30 May 2025

Dividend history

Ex-div datePer share amountReinvestment price
01 Apr 20250.0131520.8751
02 Jan 20250.0143870.8827
01 Oct 20240.0127310.8905
01 Jul 20240.0130670.8659
02 Apr 20240.0125960.8656
02 Jan 20240.0123930.8654
02 Oct 20230.0119740.8271
03 Jul 20230.0113010.8336
03 Apr 20230.0117540.8342
03 Jan 20230.0104990.8219
03 Oct 20220.0135410.7976
01 Jul 20220.0135370.8173
01 Apr 20220.0117660.9258
04 Jan 20220.0116350.97
01 Oct 20210.0119530.9759
01 Jul 20210.0112130.9825
01 Apr 20210.0112370.9761
04 Jan 20210.0114360.9766
01 Oct 20200.0116770.9385
01 Jul 20200.0121970.9122
01 Apr 20200.0122620.838
02 Jan 20200.0115730.978
01 Oct 20190.0138260.9688
01 Jul 20190.0134720.9741
01 Apr 20190.0118920.9719
02 Jan 20190.0142730.9282
01 Oct 20180.0137470.9879
02 Jul 20180.0140450.9828
03 Apr 20180.0119790.9951
02 Jan 20180.0130131.017
02 Oct 20170.0128491.024
03 Jul 20170.0128421.022
03 Apr 20170.0141761.016
03 Jan 20170.0165661.003
03 Oct 20160.0174820.9876
01 Jul 20160.0179220.9589
01 Apr 20160.0192570.9404
04 Jan 20160.0190050.9446
01 Oct 20150.0189360.9838
01 Jul 20150.0174221.051
01 Apr 20150.0201831.063
02 Jan 20150.0199371.054
Please note that past performance is not a reliable indicator of future returns.


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