Branchenfonds • Branche: Technologie & Telekom Aktien
Anlageschwerpunkt DNCA Invest - Global New World - A3 EUR ACC
- WKN
- A41FVZ
- ISIN
- LU3077228958
• KVG
221,940 EUR
-4,050 EUR-1,79 %
Geld
221,940 EUR
Brief
221,940 EUR
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Fondsvolumen
827,78 Mio. EUR
Ausgabeaufschlag
2,00 %
Laufende Kosten
2,20 %
Morningstar-Rating
–
Ertragsverwendung
Thesaurierend
Morningstar ESG-Rating
Zusammensetzung nach Branchen
Stand:
- IT/ Telekommunikation (61,9 %)
- Einzelhandel (11,0 %)
- Industrie (11,0 %)
- Medien (4,6 %)
Zusammensetzung nach Land
Stand:
- USA (80,1 %)
- China (7,6 %)
- Taiwan (2,7 %)
- Barmittel und sonst. VM (2,2 %)
Zusammensetzung nach Instrument
Stand:
- Aktien (97,8 %)
- Barmittel und sonst. VM (2,2 %)
Top Holdings zu DNCA Invest - Global New World - A3 EUR ACC
| Wertpapiername | Anteil |
|---|---|
| ALPHABET INC-CL A (3.6) | 6,20 % |
| NVIDIA CORP (4.5) | 6,01 % |
| META PLATFORMS INC-CLASS A (3.4) | 5,82 % |
| MICROSOFT CORP (4.3) | 5,78 % |
| BROADCOM INC (4.9) | 5,48 % |
| AMAZON.COM INC (3.3) | 5,42 % |
| VISA INC-CLASS A SHARES (5.0) | 4,73 % |
| TENCENT HOLDINGS LTD (4.5) | 4,00 % |
| APPLE INC (3.2) | 3,90 % |
| MASTERCARD INC - A (3.9) | 3,56 % |
| Summe: | 50,90 % |
Stand:
Fondsstrategie zu DNCA Invest - Global New World - A3 EUR ACC
The investment objective of the Product is to seek performance by taking advantage of developments in the equity markets without geographical constraint (including emerging markets) which benefit from the digital transformation of industries and society, over the recommended investment term of 5 years. In this context, the Product implements active conviction management by selecting companies eligible to the investment theme. These companies are chosen for their quality of global or local leaders on their respective markets analyzed through the systematic integration of environmental, social / societal and governance (ESG) criteria (such as energy consumption, CO2 emission), or even ethical practices of society. The Product may at any time invest in: equities without geographical constraint (including emerging markets) and of all sizes of capitalization (including small and mid-capitalization): from 75% to 105% of its net assets (directly or through UCITS and/or other UCIs), fixed income securities and money market instruments from issuers of the public or private sector having their registered office in Euro zone countries, depending on market opportunities, and having at the time of the purchase a Standard & Poor's rating of at least A3 short term rating or A- long-term rating, or being considered as equivalent by the Management Company using similar criteria, or through bonds and money market funds: up to 15% of its net assets, deposits: up to 25% of its net assets, other financial instruments (within the meaning of Article 41 (2) a) of the Law) up to 10 % of its net assets.