FairHorizon Green
G13-A

Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund

EM diversified bonds covering government and corporate issues, as well as hard currency and local currency exposures. Active strategy with concentrated portfolio.

About the Fund

Data as of

Principal Asset Management is the global investment management business for Principal Financial Group, a Nasdaq listed global financial services company established in 1879. Principal AM manages over US$590bn of assets globally covering the full client spectrum and across asset classes and vehicles. Principal AM acquired Finisterre Capital in 2011 through its Principal Global Investors (Europe) business arm.

The Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund is an actively managed bond strategy that aims to provide an “all-weather” unconstrained solution for emerging market debt exposure covering sovereigns and corporate credits, as well as hard currency and local currency exposures, with no credit rating and maturity constraints. The fund’s objective is to capture most of the market upside, with much lower downside participation during major market events. Portfolio construction blends both technical (liquidity, volatility, yield in various market conditions) and fundamental (trends in spread, interest rates, currencies) considerations. The fund can invest in credit default swaps and synthetic shorts. The fund has a concentrated portfolio of >150 holdings.

Performance

Price Performance – Maximum Period

The FairHorizon Context

Investment-Time-Horizon in years

0 - 22 - 44 - 7 7 - 1010 - 1515+
Expected long-term return
2 - 4% p.a.
Expected volatility
3 - 5% p.a.

Building Block Returns

Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund

Ann. return (3-year):
10.40%
Ann. return (5-year):
4.44%
Ann. return (10-year):
Ann. Standard Deviation (5-year):
8.32%

This fund provides an active approach to invest in the full spectrum of emerging market bonds covering both sovereigns and corporate credits, as well as hard currency and local currency exposures.

Benchmark Returns

iShares J.P. Morgan USD EM Bond UCITS ETF

Ann. return (3-year):
9.22%
Ann. return (5-year):
1.99%
Ann. return (10-year):
3.33%
Ann. Standard Deviation (5-year):
10.06%
Link to the Funds FairSheet

FairHorizon Benchmark Returns

Dimensional Funds PLC - World Allocation 40/60 Fund

Ann. return (3-year):
9.82%
Ann. return (5-year):
4.98%
Ann. return (10-year):
Ann. Standard Deviation (5-year):
6.84%
Link to the Funds FairSheet

The Dimensional World Allocation 40/60 Fund is our FAIRHORIZON Green reference benchmark solution that has 40% global developed equities and 60% global investment grade short-to-medium maturity bonds for global moderate risk bonds-like returns and volatility.

SHARING OUR PASSION FOR INVESTMENTS FAIRSHEET  Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund  Page 1/2

Why we prefer this fund

Relevance of strategy

This fund provides an active approach to invest in the full spectrum of emerging market bonds covering both sovereigns and corporate credits, as well as hard currency and local currency exposures.

Manager expertise

The fund is managed by Finisterre Capital, a London-based boutique investment team founded in 2002 specialising in emerging market debt (EMD) solutions. Finisterre primarily ran hedge fund strategies and decided to adopt the core competencies to launch a long-biased EMD total return strategy in 2013 that has evolved to this fund. Damien Buchet, leads the Finisterre team as CIO since 2015. While under the Principal AM umbrella, his team retains full autonomy on the management of this fund.

Differentiated portfolio

This is one of the few solutions available that covers the full spectrum of emerging market bonds. The hedge fund investment style as well as strong risk management and lower drawdowns are key features of the fund.

Performance

The fund has a proven track record of lower volatility/drawdowns during market stress and market beta-like returns during bullish markets on long term basis.

Historical maximum drawdown & recovery time

Max drawdown (since inception)
-21.29%
Recovery Period
630 Days

Diversification

Credit Rating

  • Aa1.59%
  • Baa18.98%
  • Ba22.70%
  • B8.97%
  • Caa5.00%
  • Others42.76%

Sectors

  • Government-Related35.03%
  • Corporate33.09%
  • Treasury27.01%
  • Cash3.21%
  • Others1.65%

Geography

  • Mexico8.39%
  • South Africa6.34%
  • Cayman Islands5.44%
  • Luxembourg5.38%
  • Netherlands4.31%
  • Romania4.23%
  • United Kingdom3.86%
  • U.S.A.3.58%
  • Egypt3.46%
  • Peru3.45%
  • Brazil3.33%
  • Others48.24%

Frequently asked questions

What is the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund?
The Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund is a actively managed fund in the EM Bonds Flexible Currency asset class, managed by Principal Asset Management. EM diversified bonds covering government and corporate issues, as well as hard currency and local currency exposures. Active strategy with concentrated portfolio.
What is the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund's FairHorizon classification?
Das Family Office classifies this fund as FairHorizon Green, meaning it is suitable for investors with a 4–7 years investment horizon. balanced 40/60 bonds-equities allocation
What is the total expense ratio (TER) of the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund?
The Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund has a total expense ratio of 0.89% per annum. The maximum recommended portfolio share is 20%.
What is the ISIN of the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund?
The ISIN of the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund share class tracked by Das Family Office is IE00BD2ZKP80.
What are the historical returns of the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund?
As of the most recent month-end, the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund has delivered 3-year annualised total return of 10.40%, 5-year annualised total return of 4.44%. Past performance is not indicative of future results.
Is the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund accumulating or distributing?
The tracked share class (I USD ACC) is Accumulating — income is automatically reinvested into the fund.
What is the SFDR sustainability classification of the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund?
The Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund is classified as Article 8 under the EU Sustainable Finance Disclosure Regulation (SFDR).
When was the Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund launched?
The Principal GIF - Finisterre Unconstrained Emerging Markets Fixed Income Fund was incepted on 2017-05-02.