Aktienfonds • Aktien International

Anlageschwerpunkt Eastspring Investments - Global Low Volatility Equity Fund - As SGD ACC

WKN
ISIN
KVG
Eastspring Investments (Luxembourg) S.A.
ISIN

11,221 EUR
+0,001 EUR+0,01 %
Geld
11,221 EUR
Brief
11,221 EUR
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Fondsvolumen
Ausgabeaufschlag
5,00 %
Laufende Kosten
Morningstar-Rating
Ertrags­ver­wendung
Thesaurierend
Morningstar ESG-Rating

Zusammensetzung nach Branchen

InformationstechnologieGesundheitswesenKonsumgüterTelekomdiensteFinanzenIndustrieVersorgerEnergiediverse BranchenBarmittel und sonst. VM
Stand:
  • Informationstechnologie (19,8 %)
  • Gesundheitswesen (14,7 %)
  • Konsumgüter (12,7 %)
  • Telekomdienste (11,0 %)

Zusammensetzung nach Land

USAsonst. VMChinaIndienTaiwanSchweizJapanHongkongSaudi-ArabienBarmittel und sonst. VM
Stand:
  • USA (61,7 %)
  • sonst. VM (10,1 %)
  • China (6,6 %)
  • Indien (6,1 %)

Zusammensetzung nach Instrument

AktienBarmittel und sonst. VM
Stand:
  • Aktien (99,2 %)
  • Barmittel und sonst. VM (0,8 %)

Top Holdings zu Eastspring Investments - Global Low Volatility Equity Fund - As SGD ACC

WertpapiernameAnteil
WASTE MANAGEMENT INC1,70 %
REPUBLIC SERVICES INC1,70 %
JOHNSON & JOHNSON1,70 %
INTERNATIONAL BUSINESS MACHINES CORP1,70 %
RTX CORP1,70 %
KIMBERLY-CLARK CORPORATION1,60 %
PROCTER & GAMBLE CO1,60 %
CENCORA INC1,60 %
ROPER TECHNOLOGIES INC1,60 %
CHURCH & DWIGHT CO INC1,60 %
Summe:16,50 %
Stand:

Fondsstrategie zu Eastspring Investments - Global Low Volatility Equity Fund - As SGD ACC

This Sub-Fund aims to generate total returns in line with global equity markets, via a combination of capital growth and income, but with lower volatility. The Sub-Fund will invest primarily (at least 70% of its net assets) in equities and equity-related securities of companies, which are listed, or to be listed, on any global stock exchanges, including Emerging Markets Worldwide. SFDR Classification: The Sub-Fund qualifies as an Article 8 fund. In choosing investments, the investment manager starts with a broad global universe of stocks and shortlists them on the basis of investability and desirable characteristics (e.g. value, positive analyst sentiment and quality among other factors). An optimization process then selects stocks from the shortlist and constructs a suitable low volatility portfolio with the desired characteristics. Constraints such as maximum stock weight, portfolio concentration, liquidity, sector, country and style relative exposures, etc. are applied in order to manage systematic and stock specific risk. The Sub-Fund may also invest in depository receipts, including ADRs and GDRs, debt securities convertible into common shares, preference shares and warrants.