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Administrator: ASR Vermogensbeheer N.V.
ISIN: NL0012294128
As of 16 April 2026, the fund documentation will be amended following the implementation of the AIFMD II Directive (EU) 2024/927. This directive requires the inclusion of liquidity management mechanisms in the fund documentation. The purpose of this requirement is to protect the interests of existing participants by ensuring that, under all market conditions, subscriptions to and redemptions from the fund take place in an orderly, fair, and transparent manner. For further details, please refer to the notice published on the Manager’s website.
Price: € 52.40
Previous price: € 52.18
Difference: € +0.22
Objective
The policy of the ASR IndexPlus Institutioneel Euro Bedrijfsobligatie Fonds is focused on achieving a total long-term return that is comparable to the benchmark return. The benchmark for the ASR IndexPlus Institutioneel Euro Bedrijfsobligatie Fonds is the iBoxx EUR Corporates Index. The iBoxx EUR Corporates Index consists of investment-grade bonds denominated in euros. This means that it involves relatively large, liquid bonds with a relatively high credit rating. The iBoxx EUR Corporates Index is a widely-used benchmark for portfolios containing investment-grade bonds denominated in euros. The fund is actively managed.
Sustainability
The fund promotes sustainability features by applying its sustainability policy when making investment decisions, which is complemented by carbon and sector focus guidelines that ensure the portfolio always has a strong ESG profile (more information on this can be found in Supplement II of the prospectus).
| 2025 | +3.07% |
| 2024 | +4.73% |
| 2023 | +8.29% |
| 2022 | -14.00% |
| 2021 | -0.90% |
| 1 month | +0.58% |
| YTD | +1.34% |
| 1 year | +3.30% |
| 3 years avg. | +5.55% |
| 5 years avg. | +0.37% |
|
Since inception
24/04/2019 |
+0.95% |
| Reference date | 28/02/2026 |
| Total Net Assets | 2,430,519,869.25 (28/02/2026) |
| Total Net Assets of Share Class | 135,290,693.73 (28/02/2026) |
| Number of shares | 2,534,454.52 (28/02/2026) |
| Type of fund | Fixed income funds |
| Currency | EUR |
| Tradable | Daily |
| Entry fee | 0.30% |
| Exit fee | 0.00% |
Please note