March Climate Transition Credit
- 1
- 2
- 3
- 4
- 5
- 6
- 7
Category "1" does not mean that the investment is risk-free
March Climate Transition Credit is a global fixed-income fund that invests in companies, issuances, and countries that promote the green transition, meaning they are committed to decarbonization and the environment.
What is it?
March Climate Transition Credit is a globally diversified, multi-sector bond portfolio that supports environmental-friendly solutions and aspirations while seeking to minimize exposure to risks related to environmental pollution and climate change. Its main characteristics are:
- Finances initiatives that promote the “green” economy according to a taxonomy of eligible projects.
- Transparency in the allocation of proceeds. Verifiable metrics.
- Identifies companies with credible decarbonisation pathways, leaders in the way towards net zero.
- Supports bond issuers in their greenhouse gas reduction strategies.
- Seeks opportunities in emerging economies that are transforming themselves, by implementing a model for sustainable growth.
- Avoids those sovereigns that are reluctant to change and with a poor ESG performance.
The portfolio combines three segments (asset classes) from within the sustainable fixed income universe:
- Global green bonds
- Bonds from SBTi (Science-based Target initiative) corporate issuers
- Government bonds in emerging markets
Why invest?
Banca March and Allianz Global Investors have partnered to create the Green Transition Bond strategy, which offers investors the opportunity to invest, participate in and benefit from the transition to a more sustainable economy and social model. This strategy is aligned with our commitment to sustainable development. Allianz Global Investors will be the manager of the Master fund in which March Green Transition Bond invests.
As a responsible investor, Allianz Global Investors promotes sustainability in the companies it invests in and is an active shareholder and a driver of change. Its parent company, Allianz SE, is a global sustainability leader in its sector according to Dow Jones and is rated AAA in sustainability by MSCI.
Return/Risk
Escenarios de rentabilidad |
Periodo 1 (1 año) | Periodo 2 (MID) | Periodo 3 (RHP) | ||||
---|---|---|---|---|---|---|---|
Mínimo | Importe (EUR) | ||||||
Rent. anual media (%) | |||||||
Tensión | Importe (EUR) | ||||||
Rent. anual media (%) | |||||||
Desfavorable | Importe (EUR) | ||||||
Rent. anual media (%) | |||||||
Moderado | Importe (EUR) | ||||||
Rent. anual media (%) | |||||||
Favorable | Importe (EUR) | ||||||
Rent. anual media (%) |
Return during the selected period:
Last net asset value: a fecha
RETURN *
1 month | 3 months | 6 months | 1 year | 3 years | ||
---|---|---|---|---|---|---|
RISK *
Volatility | |
---|---|
* Data at date:
Key figures
- Launch date:
- Management fee:
- Assets (€):
- Manager:
- Identifier code:
- Liquidity:
- Article SFDR: 8
- Manager:
- Depositary: