Branchenfonds • Branche: Technologie & Telekom Aktien
Anlageschwerpunkt Sycomore Fund Sicav - SYCOMORE SUSTAINABLE TECH - RD EUR DIS
- WKN
- A2P73U
- ISIN
- LU2181906699
• KVG
276,360 EUR
+1,100 EUR+0,40 %
Geld
276,360 EUR
Brief
276,360 EUR
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Fondsvolumen
798,38 Mio. EUR
Ausgabeaufschlag
3,00 %
Laufende Kosten
1,95 %
Morningstar-Rating
Ertragsverwendung
Ausschüttend
Morningstar ESG-Rating
Zusammensetzung nach Branchen
Stand:
- Halbleiterelektronik (24,5 %)
- Halbleiter Ausstattung (21,2 %)
- Software (15,5 %)
- Elektrokomponenten (12,3 %)
Zusammensetzung nach Land
Stand:
- USA (42,5 %)
- Südkorea (13,8 %)
- Taiwan (12,2 %)
- China (10,8 %)
Zusammensetzung nach Instrument
Stand:
- Aktien (99,9 %)
Zusammensetzung nach Währung
Stand:
- US-Dollar (54,4 %)
- Südkoreanischer Won (13,8 %)
- Euro (13,7 %)
- Neuer Taiwan-Dollar (12,2 %)
Top Holdings zu Sycomore Fund Sicav - SYCOMORE SUSTAINABLE TECH - RD EUR DIS
| Wertpapiername | Anteil |
|---|---|
Broadcom Aktie · WKN A2JG9Z · ISIN US11135F1012 | 7,75 % |
ASML Holding Aktie · WKN A1J4U4 · ISIN NL0010273215 | 7,67 % |
Microsoft Aktie · WKN 870747 · ISIN US5949181045 | 7,63 % |
Baidu Aktie · WKN A0YCQ6 · ISIN KYG070341048 | 7,09 % |
Nvidia Aktie · WKN 918422 · ISIN US67066G1040 | 5,07 % |
| Samsung Electro-Mechan.Co.Ltd. Aktie · WKN 956197 · ISIN KR7009150004 | 4,93 % |
| SK Square Co. Ltd. Aktie · WKN A3C60A · ISIN KR7402340004 | 4,46 % |
| Eugene Technology Co. Ltd. Aktie · WKN A1CV8S · ISIN KR7084370006 | 4,31 % |
| Delta Electronics Inc. Aktie · WKN 956766 · ISIN TW0002308004 | 3,64 % |
Applied Materials Aktie · WKN 865177 · ISIN US0382221051 | 3,36 % |
| Summe: | 55,91 % |
Stand:
Fondsstrategie zu Sycomore Fund Sicav - SYCOMORE SUSTAINABLE TECH - RD EUR DIS
The investment objective of SYCOMORE SUSTAINABLE TECH (denominated in EUR) is to outperform the MSCI AC World Information Technology Index Total Return (denominated in EUR) over a minimum investment horizon of five years, through a socially responsible investment strategy in listed equities. The Sub-Fund has Sustainable Investment as its objective according to Article 9 of the SFDR, by investing in companies valuing the responsible use of technology as a core pillar for sustainable development. The net assets of the Sub-Fund will be exposed from 70% to 100% to listed equities of companies whose activities are based on the delivery of goods and/or services in any application areas of technology, or whose activities are notably linked to technology (such as suppliers, distributors and other stakeholders). Those companies will be selected without constraints as to the fields and sectors of application of these technological goods or services such as: information and communication, banking, insurance and financial services, consumption, industry, health, security, transportation
The selection of the investments is based on a rigorous process of evaluation. This process aims to identify companies to a quality constraint (assessed through the analysis of the management team, the sustainability of the business model and the consistency of the financial structure) and to a price constraint (assessed through the difference between the intrinsic value estimated by the Management Company and the market value).