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Funds

13 funds available
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Asset Backed Opportunities Fund
View 2 share classes
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Asset Backed Securities
Share class Currency ISIN Valor NAV YTD As at
I Acc (Gross) GBP GB00BRJV8208 1.07 4.08% 1 Jul 2025
I Inc (Gross) GBP GB00BD5D3D88 1.00 2.34% 1 Jul 2025
Dynamic Bond Fund
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Flexible Bonds
Share class Currency ISIN Valor NAV YTD As at
A acc (Net) GBP GB00B5KPRZ34 18.84 3.40% 1 Jul 2025
A inc (Gross) GBP GB00B5M01B05 9.51 2.30% 1 Jul 2025
I Acc (Gross) GBP GB00B5VNH238 218.54 3.66% 1 Jul 2025
I Acc (Net) GBP GB00B5VRV677 202.51 3.66% 1 Jul 2025
I Inc (Gross) GBP GB00B57GX403 98.43 2.29% 1 Jul 2025
I Inc (Net) GBP GB00B57TXN82 98.37 2.29% 1 Jul 2025
M Inc (Gross) GBP GB00B8BG8H54 95.13 3.19% 1 Jul 2025
Monument Bond Fund
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Asset Backed Securities
Share class Currency ISIN Valor NAV YTD As at
A acc (Net) GBP GB00B3VH8W86 16.11 2.60% 30 Jun 2025
I Acc (Gross) GBP GB00B4XMPS34 177.07 2.83% 30 Jun 2025
I Acc (Net) GBP GB00B3V5V897 170.72 2.82% 30 Jun 2025
I Inc (Gross) GBP GB00B4XCQT18 114.37 2.85% 30 Jun 2025
I Inc (Net) GBP GB00B3XVTT21 114.32 2.83% 30 Jun 2025
L Acc (Gross) GBP GB00BDD9NJ41 1.33 2.95% 30 Jun 2025
L Acc (Net) GBP GB00BDD9NG10 1.41 2.96% 30 Jun 2025
L Inc (Gross) GBP GB00BDD9NH27 1.06 2.95% 30 Jun 2025
L Inc (Net) GBP GB00BDD9NF03 1.09 2.96% 30 Jun 2025
TwentyFour Corporate Bond Fund
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Investment Grade
Share class Currency ISIN Valor NAV YTD As at
Acc GBP IE00BSMTGJ19 124.40 3.98% 1 Jul 2025
I Acc GBP IE00BSMTGG87 128.70 4.06% 1 Jul 2025
I Inc GBP IE00BSMTGF70 85.78 2.71% 1 Jul 2025
Inc GBP IE00BSMTGH94 84.28 2.63% 1 Jul 2025
TwentyFour Enhanced Income ABS Fund
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Asset Backed Securities
Share class Currency ISIN Valor NAV YTD As at
A Acc EUR EUR IE000PMRMT65 114.42 2.79% 30 Jun 2025
A Acc GBP GBP IE00BMX0BH45 136.11 3.81% 30 Jun 2025
A Inc GBP GBP IE00BMX0BJ68 109.70 3.81% 30 Jun 2025
TwentyFour Income Fund
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Asset Backed Securities
Share class Currency ISIN Valor NAV YTD As at
Ordinary Share Class GBP GG00B90J5Z95 110.87 5.18% 30 Jun 2025
TwentyFour Select Monthly Income Fund
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Flexible Bonds
Share class Currency ISIN Valor NAV YTD As at
Ordinary Share Class GBP GG00BJVDZ946 85.02 5.16% 30 Jun 2025
TwentyFour Sustainable Global Corporate Bond Fund
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Investment Grade
Share class Currency ISIN Valor NAV YTD As at
Acc GBP IE000C040A25 100.00 - 19 Sep 2024
I Acc GBP IE000GIMZ1H0 103.07 3.73% 1 Jul 2025
I Inc GBP IE000502QSN6 99.55 2.56% 1 Jul 2025
Inc GBP IE000KJT1JO3 100.00 - 19 Sep 2024
Vontobel Fund - TwentyFour Absolute Return Credit Fund
View 19 share classes
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Investment Grade
Share class Currency ISIN Valor NAV YTD As at
AHN (hedged) CHF LU1734078154 39471995 76.99 0.96% 1 Jul 2025
AHN (hedged) EUR LU1683487620 38261757 81.50 2.09% 1 Jul 2025
AI GBP LU1267852249 29030549 89.38 3.17% 1 Jul 2025
AQG GBP LU1530788402 34854330 99.77 3.26% 1 Jul 2025
AQHG (hedged) USD LU1767065979 40241908 101.81 3.27% 1 Jul 2025
AQHG (hedged) EUR LU1530788238 34854291 87.80 2.14% 1 Jul 2025
AQHN (hedged) EUR LU1331789450 30670277 91.10 2.07% 1 Jul 2025
AQHNG (hedged) USD LU1410502493 32553207 103.99 3.23% 1 Jul 2025
AQN GBP LU1331789377 30670273 105.70 3.15% 1 Jul 2025
AQNG GBP LU1368730674 31599783 99.90 3.24% 1 Jul 2025
G GBP LU1273680238 29168014 131.66 3.25% 1 Jul 2025
HG (hedged) CHF LU2419361550 115247246 98.11 1.07% 1 Jul 2025
HG (hedged) EUR LU1925065655 45492332 109.59 2.19% 1 Jul 2025
HI (hedged) CHF LU1599320444 36446926 100.05 0.98% 1 Jul 2025
HN (hedged) EUR LU1734078238 39472001 105.63 2.09% 1 Jul 2025
HN (hedged) CHF LU2270707495 58756780 96.67 0.92% 1 Jul 2025
HN (hedged) USD LU1767066357 40236072 122.17 3.15% 1 Jul 2025
I GBP LU1267852082 29030420 130.00 3.17% 1 Jul 2025
N GBP LU1267852595 29030838 129.49 3.15% 1 Jul 2025
Vontobel Fund - TwentyFour Asset Backed Securities
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Asset Backed Securities
Share class Currency ISIN Valor NAV YTD As at
A EUR LU1882612564 43753862 98.93 1.58% 1 Jul 2025
AHI (hedged) GBP LU2388185246 113723386 113.93 2.91% 1 Jul 2025
AQHG (hedged) GBP LU2388185089 113724408 105.52 2.95% 1 Jul 2025
AQHNG (hedged) GBP LU2388184868 113723425 119.43 2.93% 1 Jul 2025
HG (hedged) GBP LU2388185162 113724426 119.08 2.99% 1 Jul 2025
HI (hedged) USD LU1602256700 36484869 135.36 2.94% 1 Jul 2025
HI (hedged) GBP LU2388185329 113723424 118.54 2.89% 1 Jul 2025
HI (hedged) CHF LU1602256296 36484864 107.67 0.64% 1 Jul 2025
HN (hedged) GBP LU1882613372 43753896 123.79 2.88% 1 Jul 2025
HN (hedged) CHF LU1882613299 43753894 106.52 0.64% 1 Jul 2025
HNG (hedged) GBP LU2388184942 113724188 119.43 2.93% 1 Jul 2025
I EUR LU1602255561 36484858 117.33 1.85% 1 Jul 2025
N EUR LU1882613026 43753879 114.94 1.82% 1 Jul 2025
Vontobel Fund - TwentyFour Strategic Income Fund
View 29 share classes
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Flexible Bonds
Share class Currency ISIN Valor NAV YTD As at
AH (hedged) EUR LU1380459518 31903287 90.60 2.32% 1 Jul 2025
AH (hedged) USD LU1380459609 31903318 107.21 3.31% 1 Jul 2025
AHN (hedged) EUR LU1734078311 39472004 84.04 2.60% 1 Jul 2025
AHN (hedged) CHF LU1683482407 38291774 79.86 1.41% 1 Jul 2025
AQ GBP LU1695534591 38576552 92.63 3.28% 1 Jul 2025
AQG GBP LU1322872018 30446345 95.64 3.70% 1 Jul 2025
AQH (hedged) Gross USD LU1695534674 38576554 88.38 3.28% 1 Jul 2025
AQH (hedged) Gross EUR LU1695534757 38576557 77.48 2.23% 1 Jul 2025
AQHG (hedged) EUR LU1816229899 41604558 86.51 2.65% 1 Jul 2025
AQHG (hedged) USD LU1816230046 41604564 98.75 3.71% 1 Jul 2025
AQHI (hedged) USD LU1331792082 30671527 104.57 3.65% 1 Jul 2025
AQHN (hedged) EUR LU1325135033 30514904 85.31 2.54% 1 Jul 2025
AQHNG (hedged) EUR LU1325134226 30514898 85.41 2.61% 1 Jul 2025
AQHNG (hedged) USD LU1451580523 33337877 103.90 3.70% 1 Jul 2025
AQN GBP LU1322871630 30445597 95.89 3.60% 1 Jul 2025
AQNG GBP LU1695534328 38576548 92.86 3.67% 1 Jul 2025
G GBP LU1322871713 30445634 145.91 3.70% 1 Jul 2025
H (hedged) USD LU1695535135 38576584 129.02 3.32% 1 Jul 2025
H (hedged) EUR LU1551754515 35380297 116.25 2.23% 1 Jul 2025
HG (hedged) EUR LU1717117623 39078855 117.21 2.71% 1 Jul 2025
HG (hedged) USD LU1717117896 39078859 136.25 3.72% 1 Jul 2025
HI (hedged) USD LU1325144027 30517180 153.32 3.64% 1 Jul 2025
HI (hedged) EUR LU1325141510 30515149 128.04 2.62% 1 Jul 2025
HN (hedged) USD LU1767066431 40236077 132.84 3.63% 1 Jul 2025
HNG (hedged) EUR LU1325133921 30514756 129.62 2.69% 1 Jul 2025
HNG (hedged) USD LU1695535051 38576583 136.69 3.70% 1 Jul 2025
I GBP LU1322871390 30445160 143.68 3.62% 1 Jul 2025
N GBP LU1322871556 30445263 143.21 3.60% 1 Jul 2025
NG GBP LU1322871986 30446217 145.31 3.67% 1 Jul 2025
Investment Grade
Share class Currency ISIN Valor NAV YTD As at
AHI (hedged) EUR LU2081486727 51133685 86.79 2.06% 1 Jul 2025
AHI (hedged) USD LU2210409616 56212864 101.27 3.03% 1 Jul 2025
AHI (hedged) CHF LU2210410036 56212872 87.70 0.86% 1 Jul 2025
AN GBP LU2386632371 113621592 98.36 3.10% 1 Jul 2025
AQG GBP LU2081485596 51132454 95.11 3.19% 1 Jul 2025
AQHNG (hedged) EUR LU2081486487 51132510 91.38 2.09% 1 Jul 2025
AQHNG (hedged) USD LU2403268092 114481675 97.66 3.19% 1 Jul 2025
AQI GBP LU2081485919 51151249 97.06 3.11% 1 Jul 2025
AQN GBP LU2081486057 51151278 98.99 3.10% 1 Jul 2025
AQNG GBP LU2081485679 51132474 94.47 3.17% 1 Jul 2025
G GBP LU2081485240 51132430 113.39 3.19% 1 Jul 2025
HI (hedged) EUR LU2081486560 51132543 104.40 2.03% 1 Jul 2025
HI (hedged) CHF LU2210409962 56212870 98.37 0.86% 1 Jul 2025
HI (hedged) USD LU2081487709 51155828 113.36 3.15% 1 Jul 2025
HNG (hedged) EUR LU2081486214 51132436 104.14 2.13% 1 Jul 2025
HNG (hedged) USD LU2386631993 113621000 111.41 3.19% 1 Jul 2025
N GBP LU2081485836 51151238 110.71 3.09% 1 Jul 2025
NG GBP LU2081485323 51132452 113.12 3.17% 1 Jul 2025
Flexible Bonds
Share class Currency ISIN Valor NAV YTD As at
AQG GBP LU2549760085 122680202 103.81 3.77% 1 Jul 2025
AQHG (hedged) USD LU2549759400 122678960 108.42 3.74% 1 Jul 2025
AQHG (hedged) EUR LU2549760838 122677864 115.74 2.75% 1 Jul 2025
AQHNG (hedged) EUR LU2549761489 122677868 115.71 2.74% 1 Jul 2025
AQHNG (hedged) USD LU2549759582 122680198 120.94 3.79% 1 Jul 2025
AQI GBP LU2549759665 122680199 119.81 3.76% 1 Jul 2025
AQN GBP LU2549760242 122677863 104.84 3.67% 1 Jul 2025
AQNG GBP LU2549759749 122680200 102.75 3.75% 1 Jul 2025
G GBP LU2549760168 122677837 120.22 3.76% 1 Jul 2025
HG (hedged) EUR LU2549761059 122677866 115.75 2.76% 1 Jul 2025
HG (hedged) USD LU2549759152 122678854 120.98 3.81% 1 Jul 2025
HNG (hedged) USD LU2549759236 122678955 120.94 3.79% 1 Jul 2025
HNG (hedged) EUR LU2549758345 122680411 115.55 2.74% 1 Jul 2025
I GBP LU2549760598 122677887 119.81 3.76% 1 Jul 2025
N GBP LU2549760325 122677872 119.63 3.67% 1 Jul 2025
NG GBP LU2549761562 122677869 120.10 3.74% 1 Jul 2025