Aktienfonds • Aktien USA

Anlageschwerpunkt HC Snyder US All Cap Equity Fund - I USD ACC

WKN
ISIN
KVG
Harrington Cooper LLP
WKN
KVG
Harrington Cooper LLP
ISIN

106,632 EUR
-0,459 EUR-0,43 %
Geld
106,632 EUR
Brief
106,632 EUR
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Fondsvolumen
874,35 Mio. USD
Ausgabeaufschlag
Laufende Kosten
0,87 %
Morningstar-Rating
Ertrags­ver­wendung
Thesaurierend
Morningstar ESG-Rating

Zusammensetzung nach Branchen

IndustrieFinanzenIT/TelekommunikationGesundheitswesenVersorgerKonsumgüterImmobilienRohstoffeBarmittel
Stand:
  • Industrie (33,9 %)
  • Finanzen (20,1 %)
  • IT/ Telekommunikation (18,8 %)
  • Gesundheitswesen (12,8 %)

Zusammensetzung nach Land

USAKanadaBarmittel
Stand:
  • USA (90,7 %)
  • Kanada (8,2 %)
  • Barmittel (1,1 %)

Zusammensetzung nach Instrument

AktienBarmittel
Stand:
  • Aktien (98,9 %)
  • Barmittel (1,1 %)

Zusammensetzung nach Währung

US-DollarKanadische Dollar
Stand:
  • US-Dollar (90,8 %)
  • Kanadische Dollar (8,2 %)

Top Holdings zu HC Snyder US All Cap Equity Fund - I USD ACC

WertpapiernameAnteil
Amphenol
Aktie · WKN 882749 · ISIN US0320951017
5,82 %
BWX Technologies
Aktie · WKN A14V4U · ISIN US05605H1005
5,55 %
Charles Schwab
Aktie · WKN 874171 · ISIN US8085131055
5,46 %
SS&C Technologies
Aktie · WKN A1CV38 · ISIN US78467J1007
5,38 %
Intercontinental Exchange
Aktie · WKN A1W5H0 · ISIN US45866F1049
5,18 %
Clean Harbors
Aktie · WKN 876514 · ISIN US1844961078
5,05 %
UGI
Aktie · WKN 887836 · ISIN US9026811052
4,96 %
Mastercard
Aktie · WKN A0F602 · ISIN US57636Q1040
4,79 %
Visa
Aktie · WKN A0NC7B · ISIN US92826C8394
4,68 %
Analog Devices
Aktie · WKN 862485 · ISIN US0326541051
4,51 %
Summe:51,38 %
Stand:

Fondsstrategie zu HC Snyder US All Cap Equity Fund - I USD ACC

The investment objective of the Fund is long-term growth of capital by targeting companies whose share price can appreciate 35-50% in value over a 3-year time horizon. The Fund will seek to achieve its investment objective by investing in companies that, in the opinion of the Investment Manager, exhibit a set of high quality characteristics. The Fund will invest in equity securities listed on U.S. stock exchanges and issued by companies that, in the Investment Manager's opinion, exhibit a set of high quality characteristics. These characteristics include: (i) unique market leading products or services based on proprietary technology or patents and which cannot easily be copied or replaced by competitors, (ii) being a dominant player in an economic sector which has long lasting and high barriers to entry. The Fund will generally invest in securities of companies listed on U.S. stock exchanges and which have market capitalizations when their securities are first purchased by the Fund of approximately $200 million and over. The Fund will seek to generate excess returns relative to the Russell 3000® Index. The Investment Manager believes that the Russell 3000® Index is the most appropriate benchmark against which to compare the Fund's performance because it contains such a diversified portfolio of U.S. stocks. However, the Fund will not be managed to replicate the performance of the Russell 3000® Index. The Russell 3000® Index is provided for comparative and information purposes only. No account will be taken of the Russell 3000® Index in the management of the Fund or in the stock selection process and the investment strategy pursued by the Fund will not be constrained in any fashion by the Russell 3000® Index. The Fund is actively managed. This means that the Investment Manager applies a detailed fundamental analysis in order to selectively pick companies in a discretionary manner. The Fund may use currency forwards, futures or options with the aim of limiting the effect that changes in foreign exchange rates may have on the value of the Fund .