Your browser is out-of-date!

Update your browser to view this website correctly.

1Cookies

2Disclaimer

StarCapital Dynamic Bonds

ISIN-No.: LU0137341789

YTD: -0.04%

 Broad diversification in bonds reduces the risks of the portfolio

The fund's counter cyclical investment strategy makes optimal use of inefficiencies in the bond markets

 The fund has a global focus and invests in all asset classes of the fixed income spectrum with a focus on corporate bonds from the crossover sector 

Marketing Communication

Indexed performance (as at: 13.11.2025)

NAV: EUR 131.58 (24.11.2025)


01 Jan 2010 - 01 Jan 2010
An error occurred - no data to display
A-EUR
Morningstar-Peergroup Anleihen Flexibel Global-EUR Hedged, Source: Morningstar

Rolling performance (13.11.2025)

A-EURMorningstar-Peergroup Anleihen Flexibel Global-EUR Hedged, Source: Morningstar
24.11.2024 - 24.11.20250.99%3.93%
24.11.2023 - 24.11.20249.29%7.43%
24.11.2022 - 24.11.20232.68%1.98%
24.11.2021 - 24.11.2022-14.54%-10.41%

Annualized performance (13.11.2025)

A-EURMorningstar-Peergroup Anleihen Flexibel Global-EUR Hedged, Source: Morningstar
1 year0.99%3.93%
3 years4.26%4.42%
5 years-0.54%0.44%
10 years0.44%1.19%
Since Inception p.a.3.54%2.49%

Cumulative performance (13.11.2025)

A-EURMorningstar-Peergroup Anleihen Flexibel Global-EUR Hedged, Source: Morningstar
1M-0.36%-0.21%
YTD-0.04%3.93%
1 year0.99%3.93%
3 years13.33%13.86%
5 years-2.68%2.20%
10 years4.45%12.51%
Since Inception130.00%80.50%

Annual performance

A-EURMorningstar-Peergroup Anleihen Flexibel Global-EUR Hedged, Source: Morningstar
20246.52%3.76%
20237.41%5.58%
2022-15.25%-10.58%
2021-0.48%-0.51%

Investment Focus

StarCapital Dynamic Bonds is an international bond fund that aims to achieve long-term capital preservation over the long term while delivering above-average capital growth through investments in fixed-income securities from across the entire bond universe. Its global mandate allows the fund managers to take a top-down approach and target the most promising countries and regions. The fund managers follow an active investment strategy and constantly adjust the maturities and credit rating profiles of the bonds held in response to developments on the capital market. Foreign-currency positions and low-rated paper are held additional sources of return, but only if they improve the overall risk/return profile of the fund.Show moreShow less

Investment suitability & Risk

SRI

Low risk

High risk

The StarCapital Argos fund is particularly suitable for conservative investors with a mid- to long-term horizon who are seeking a balance between safety and return in a global fixed-income portfolio.

General Information

Investment ManagerStarCapital AG
CustodianDZ PRIVATBANK S.A.
Fund AdministratorIP Concept (Luxemburg) S.A.
AuditorPriceWaterhouseCoopers
Launch date11.12.2001
Year end closing31. Dec
NAV CalculationDaily "Forward Pricing"
Cut of time15:00 CET
Management Fee0.90%
Subscription Fee (max.)3.00%
ISIN numberLU0137341789
Valor number1307612
BloombergSTCARGO LX
WKN805785
Total expense ratio (TER)1.31% (31.05.2024)

Legal Information

Legal formFCP
Redemption periodDaily
Loading...

Show moreShow less

Awards

  • Co-Lead Portfolio Manager

    Alexandrine Jaecklin

    Alexandrine Jaecklin joined Bellevue Asset Management in June 2015 as portfolio manager in charge of the bond selection. Before, Alexandrine worked for 15 years at UBS. She joined UBS as a credit analyst for Emerging Markets on the sell side in New York and London, and then moved to the Wealth Management in Zürich to cover European Financial credits. She spent the last 6 years of her time at UBS advising directly institutional private clients with a focus on bond markets on managing their portfolio. Prior to UBS, she was an research analyst at Laidlaw Global Securities (New York), Smith Barney (New York), and the United Overseas Bank (BNP subsidiary - Geneva) in the fields of Emerging Markets and fixed income. She holds a Master in International Relations, Economics section, from the Graduate Institute of International Studies (HEI) in Geneva.
  • Co-Lead Portfolio Manager

    Malek Bou-Diab

    Malek Bou-Diab joined the Bellevue Global Macro team as Portfolio Manager in August 2024. He joined Bellevue Asset Management in 2009 as Senior Portfolio Manager Frontier Markets and Quant Analyst. Prior to that, he worked as Portfolio Manager at Julius Baer in the Emerging Markets team. From 2003 to 2007 he worked as a quantitative risk analyst at Deutsche Bank AG in London. He completed his PhD thesis in theoretical physics at the Swiss Federal Institute of Technology Zurich (ETH) between 1999 and 2003.
  • Portfolio Manager

    Stefan Köhling

    Stefan Köhling has been a portfolio manager and strategist at Bellevue Asset Management (Deutschland) GmbH since the beginning of 2023. Previously, he was an investment strategist in Wealth Management at Deutsche Bank. He started his career at the private bank Hauck und Aufhäuser as a multi-asset portfolio manager. Stefan holds a Bachelor's and a Master's degree in Economics and is a CFA charterholder.
1