Aktienfonds • Aktien Dividendenstrategie

Anlageschwerpunkt Lemanik Sicav - European Dividend Preservation - Retail A EUR ACC

WKN
626647
Emittent
Lemanik Asset Management S.A.
ISIN
LU0090850685
KVG
24,578 EUR
+0,001 EUR+0,01 %
Geld
24,578 EUR
Brief
24,578 EUR
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Fondsvolumen
27,07 Mio. EUR
Ausgabeaufschlag
3,00 %
Laufende Kosten
3,06 %
Morningstar-Rating
Ertrags­ver­wendung
Thesaurierend
Morningstar ESG-Rating

Zusammensetzung nach Branchen

IndustrieKonsumgüterFinanzenEnergieVersorgerIT/TelekommunikationBarmittel
Stand:
  • Industrie (37,3 %)
  • Konsumgüter (20,5 %)
  • Finanzen (19,3 %)
  • Energie (12,3 %)

Zusammensetzung nach Land

ItalienFrankreichLuxemburgNiederlandeSchweizGroßbritannienBarmittel
Stand:
  • Italien (37,6 %)
  • Frankreich (28,0 %)
  • Luxemburg (12,3 %)
  • Niederlande (11,0 %)

Zusammensetzung nach Instrument

AktienBarmittel
Stand:
  • Aktien (97,5 %)
  • Barmittel (2,5 %)

Zusammensetzung nach Währung

EuroUS-DollarSchweizer Franken
Stand:
  • Euro (80,1 %)
  • US-Dollar (12,3 %)
  • Schweizer Franken (5,2 %)

Top Holdings zu Lemanik Sicav - European Dividend Preservation - Retail A EUR ACC

WertpapiernameAnteil
TENARIS
Aktie · WKN A3EWCS · ISIN LU2598331598
12,61 %
Leonardo
Aktie · WKN A0ETQX · ISIN IT0003856405
12,46 %
Stellantis
Aktie · WKN A2QL01 · ISIN NL00150001Q9
11,48 %
Prysmian
Aktie · WKN A0MP84 · ISIN IT0004176001
9,99 %
Vinci
Aktie · WKN 867475 · ISIN FR0000125486
6,18 %
BNP Paribas
Aktie · WKN 887771 · ISIN FR0000131104
5,94 %
Moncler
Aktie · WKN A1W66W · ISIN IT0004965148
5,50 %
Unipol Gruppo
Aktie · WKN A1JWCF · ISIN IT0004810054
5,49 %
Zurich Insurance Group
Aktie · WKN 579919 · ISIN CH0011075394
5,35 %
Veolia Environnement
Aktie · WKN 501451 · ISIN FR0000124141
4,61 %
Summe:79,61 %
Stand:

Fondsstrategie zu Lemanik Sicav - European Dividend Preservation - Retail A EUR ACC

The objective of this Fund is to provide a stable annual return with low volatility. The Fund invests at least 75% of its assets in shares of small, mid and large capitalisation companies having their seat in the European Union (EU) or in a state of the European Economic Area (EEA). Investment in warrants on Transferable Securities cannot represent more than 10% of the net assets. The portfolio of securities mainly consists of a stock-selection of issuers with the best dividend yield in terms of distribution and sustainability. In order to preserve the estimated returns born from dividends belonging to the stock-selection the Fund may use financial derivative instruments to reduce negative market effects. In this context, the Fund will in particular invest in OTC options, OTC futures, Exchange Traded options and Exchange Traded futures. The Fund is actively managed without reference to any benchmark. The Investment Manager has discretion over the composition of its portfolio subject to this objective and investment policy. Sale of shares in the Fund can be made on any business day. The Fund may use Financial Derivative Instruments (instruments whose prices are dependent on one or more underlying assets 'FDIs'). The Fund invests in FDIs in order to reduce the possibility of financial losses or to achieve higher gains. The Investment Manager may use a hedging strategy that aims to ensure returns for investors are consistent with the Fund's investment objective. Please refer to the Propectus for more information about the Sustainable Finance Disclosure Regulation ('SFDR') classification of the Fund.