Anlageschwerpunkt Stewart Investors Asia Pacific and Japan All Cap Fund - B GBP DIS
- WKN
- A0YDD7
- ISIN
- GB00B57XX416
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Zusammensetzung nach Instrument
Zusammensetzung nach Währung
Top Holdings zu Stewart Investors Asia Pacific and Japan All Cap Fund - B GBP DIS
Wertpapiername | Anteil |
---|---|
MonotaRO Aktie · WKN A0M7HP · ISIN JP3922950005 | 6,47 % |
JAPAN ELEVATOR SVCS HLDGS Aktie · WKN A2DM2H · ISIN JP3389510003 | 4,68 % |
CHOL.FIN.HLDG./PART.RESTR Aktie · WKN A2DWHK · ISIN INE974X01010 | 4,25 % |
MAHINDRA+MAHI.DEMAT. IR 5 Aktie · WKN A1CVUE · ISIN INE101A01026 | 3,84 % |
AAVAS FINANCIERS IR 10 Aktie · WKN A2N7MM · ISIN INE216P01012 | 3,79 % |
ELGI EQUIPMENTS LTD IR 1 Aktie · WKN A1CV8L · ISIN INE285A01027 | 3,49 % |
TSMC Taiwan Semiconductor Aktie · WKN 893066 · ISIN TW0002330008 | 3,37 % |
Mainfreight Aktie · WKN A0CATD · ISIN NZMFTE0001S9 | 3,12 % |
AIRTAC INTL GROUP TA 10 Aktie · WKN A1H5YN · ISIN KYG014081064 | 3,11 % |
Mani Aktie · WKN 693539 · ISIN JP3869920003 | 3,08 % |
Summe: | 39,20 % |
Fondsstrategie zu Stewart Investors Asia Pacific and Japan All Cap Fund - B GBP DIS
The Fund aims to achieve capital growth over the long term (at least five years). The Fund invests in shares of companies based in or where the majority of their activities take place in the Asia Pacific region (including Japan) and that are listed on exchanges worldwide. The Fund invests in shares of high quality companies which are positioned to contribute to, and benefit from, sustainable development. Investment decisions around high quality companies are based on three key points: Quality of management including integrity, attitude to environmental and social impacts, corporate management, long term performance and risk. Quality of the company including its social usefulness, their environmental impacts and efficiency and responsible business practices. Quality of the company's finances and their financial performance. Sustainability is a key part of the approach. The Fund may invest up to 10% in other funds. The Fund will only use derivatives to reduce risk or to manage the Fund more efficiently in limited cases.