State Street EUR Liquidity LVNAV Fund Distributor Stable NAV Shares

Overview

Fund classes:
State Street EUR Liquidity LVNAV Fund Distributor Stable NAV Shares
€1.00 Price
€0.00
0%
Today's Change
ISIN IE00BBT33635
Share Class Income
Ongoing Charge 0.2%
Annual Management Charge 0.2%

Investment Objective The objective of the Fund is to maintain a high level of liquidity, preserve capital and provide a return in line with Euro money market rates. Investment Policy In order to achieve its investment objective, the Fund invests in a range of investment grade fixed and adjustable rate money market instruments which are transferable securities and primarily denominated in Euro. These instruments pay a rate of interest to the Fund. This rate of interest is the Fund's only source of return. The Fund promotes environmental or social characteristics. Investments include issuers deemed to perform better in relation to financially material ESG challenges, avoidance of issuers deemed non-compliant with the Investment Manager's ESG criteria such as violations of UN Global Compact Principles or involvement in controversial weapons and exclusion of issuers involved in thermal coal, arctic drilling, oil and tar sands, tobacco, civilian firearms as well as severe ESG controversies. When selecting investments, the Investment Manager and/or SubInvestment Manager, will adopt a best in class approach to ESG considerations by seeking to invest the majority of the Fund's portfolio in securities that are classified as sustainable investments using the Investment Manager's proprietary assessment methodology and, for government and supra-national issuers, classified within the two highest categories of a third party ESG rating. The specific list of applicable exclusions may evolve and may be amended from time to time at the Investment Manager's and/or SubInvestment Manager's absolute discretion. Such change may be implemented without notice to the Shareholders if deemed aligned with the screen criteria referred to above. The Fund invests in debt securities which are issued by governments, banks, corporations and other financial institutions. The Fund can only invest in securities which have the highest short-term credit ratings. The investment manager conducts in-depth analysis on each investment which the Fund makes and chooses investments it believes can provide liquidity and a stable return until maturity. The Fund is actively managed. The benchmark is used for performance comparison purposes only. The benchmark does not influence the fund's portfolio. The Fund is classified as a Low-Volatility NAV Money Market Fund. The Fund itself is also rated by one or more credit rating agencies (that is, companies that rate the ability of the issuers of debt securities to repay borrowed money). To maintain these highest credit ratings, the Fund's investments are tightly controlled and closely monitored by each agency. The rating is solicited and financed by the Fund. The Class, Distributor Shares seek to maintain a stable Net Asset Value per share however this may not be guaranteed. The Fund may use financial derivative instruments (that is, financial contracts whose prices are dependent on one or more underlying assets) in order to manage the portfolio efficiently. Shareholders may redeem shares on any business day other than days on which the trans-European automated real-time gross settlement express transfer ("TARGET"), the Eurosystem interbank funds transfer system, is closed for business; and any other day at the Directors' discretion (acting reasonably) provided Shareholders are notified in advance of any such days. Any income earned by the Fund will be paid to shareholders in respect of the shares. The Fund's shares are issued in Euro. Please refer to the Prospectus for more information.

Performance

Price and Net Asset Value breakdown

Midprice €1.00
Change on Day €0.00
Change on Day % 0%
52 week high €1.00
52 week low €1.00
Fund currency EUR
Date updated 04 April 2025

Fund details

Fund Type Open Ended Investment Company
Unit Type Income
Standard initial Charge -
Annual Management Charge 0.2%
Dividend Frequency Monthly
Latest Distribution Info €0.0021
31 March 2025

Fund manager information

Fund Manager Company State Street

Fund manager biographies

Name Not Disclosed
Since 27 July 2001
Bio
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