Anlageschwerpunkt Fisher Investments Institutional US Small Cap Core Equity Selection Fund - A2 EUR ACC
- WKN
- A2JDT8
- ISIN
- IE00BZ973Z24
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Top Holdings zu Fisher Investments Institutional US Small Cap Core Equity Selection Fund - A2 EUR ACC
Wertpapiername | Anteil |
---|---|
Evercore Partners Aktie · WKN A0KEXP · ISIN US29977A1051 | 3,45 % |
Stifel Financial Aktie · WKN 873773 · ISIN US8606301021 | 3,05 % |
Medpace Holdings Aktie · WKN A2APTV · ISIN US58506Q1094 | 2,29 % |
MYR Group Aktie · WKN A0Q9UM · ISIN US55405W1045 | 2,27 % |
Lincoln Electric Aktie · WKN 908231 · ISIN US5339001068 | 2,13 % |
Cactus Aktie · WKN A2JC5K · ISIN US1272031071 | 2,01 % |
Abercrombie & Fitch Aktie · WKN 903016 · ISIN US0028962076 | 2,01 % |
Tetra Tech Aktie · WKN 902888 · ISIN US88162G1031 | 1,99 % |
Terex Aktie · WKN 884072 · ISIN US8807791038 | 1,96 % |
Shake Shack Aktie · WKN A14MVX · ISIN US8190471016 | 1,95 % |
Summe: | 23,11 % |
Fondsstrategie zu Fisher Investments Institutional US Small Cap Core Equity Selection Fund - A2 EUR ACC
The investment objective of this actively managed Fund is to outperform the Russell 2000 Index (the 'Benchmark'). There is no guarantee that the investment objective will be achieved. The Fund is actively managed by the Investment Manager, meaning that investment decisions are made on a fully discretionary basis. Accordingly, the portfolio holdings may deviate from the Benchmark. This deviation may be significant. The Fund invests: Primarily in equities and equity-related securities of, or linked to, issuers located in the United States. Up to 10% of its total assets in unlisted equities. The Fund may for liquidity, hedging and/or cash management purposes, in circumstances of extreme volatility or if market factors require and if considered appropriate to the investment objective, invest on a short-term basis in cash, cash equivalents, money market instruments or government or corporate bonds. Investments in other funds will not be more than 10% of the Fund's total assets. The Fund promotes environmental and social characteristics. This includes, but is not limited to, the Investment Manager seeking to have at least 5% of the Fund's portfolio composed of sustainable investments, and the Investment Manager applying a comprehensive set of exclusionary screens to prevent the Fund from investing in companies that do not meet the Investment Manager's minimum environmental, social and governance criteria.