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AQR Style Premia Global Equity UCITS Fund - A2 USD ACC Fonds
WKN: A1431B ISIN: LU1285432016
Verkaufsunterlagen (PDF)
Stammdaten
Fondskategorie | Aktien Intern.. | ||
---|---|---|---|
Währung | US DOLLAR | ||
Ausgabeaufschlag Fondsgesellschaft | -- | ||
Laufende
Kosten
Kosten der Fondsgesellschaft im letzten Geschäftsjahr. Die Kennzahl "Laufende Kosten" ersetzt die bisherige Kennzahl "TER". |
-- | ||
|
|||
Fondsvolumen | -- EUR | ||
Symbol | -- | ||
ISIN | LU1285432016 | ||
|
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Portrait |
Indexvergleich (in Euro)
Performance | ||
---|---|---|
Volatilität | 1 Jahr | 5 Jahre |
18,00 | +7,1 % | +87,0 % |
17,86 | +4,6 % | +88,5 % |
Zusammensetzung
Nach Bestandteilen | |
23,5 % | Information Technology |
23,2 % | Financials |
14,8 % | Health Care |
12,7 % | Industrials |
7,5 % | Communication Services |
Nach Ländern | |
70,9 % | United States |
6,3 % | Japan |
4,7 % | United Kingdom |
3,6 % | Canada |
3,2 % | France |
Alle Handelsplätze im Vergleich Fonds
LiveTrading | Geld | Brief | Datum | Zeit | Gestellte Kurse |
---|---|---|---|---|---|
-- | -- | -- | -- | -- | -- |
Börse | Aktuell | Datum | Zeit | Volumen | Anzahl Kurse |
---|---|---|---|---|---|
Fondsges. in EUR |
223,4856
|
20.06.25 | 08:00 | -- | 4 |
Fondsges. in USD |
257,65
|
20.06.25 | 08:00 | -- | 4 |
Strategie
The Fund seeks to outperform the MSCI World Index (total return net dividends, unhedged) ('Benchmark') on a risk adjusted basis. A risk-adjusted return defines return on the Fund's investment by measuring how much risk is involved in producing that return. The Fund is actively managed and invests mainly equity or equity related securities of global issuers. The Fund promotes environmental, social and governance ('ESG') characteristics and takes ESG factors into account, such as by excluding approximately 10% of companies with the weakest ESG scores and excluding fossil-fuels related stock from the long side of the portfolio. In light of the integration of ESG factors applied to the investment strategy, the Fund discloses in accordance with Article 8 of the Regulation (EU) 2019/2088 on sustainability-related disclosures in the financial services sector. The Fund uses a series of investment styles (value, momentum and defensive) when selecting its investments. 'Value investing' involves investing in companies the value of which, at the time of purchase, is low compared to the accounting value of the company. 'Momentum investing' involves investing in companies the value of which has performed well over the medium-term and which is likely to continue to perform well in the near future. 'Defensive investing' involves investing in lower risk and higher quality investments.
Portrait
Fondsgesellschaft
Name | FundRock Management Com.. |
---|---|
Anschrift |
33, rue de Gasperich
L-5826 Hesperange , LU |
Internet | www.fundrock.com |
Verwahrstelle | J.P. Morgan SE, Luxembo.. |
Bestandteile
Anteil | Bestandteil | |
---|---|---|
23,500 % | Information Technology | |
23,200 % | Financials | |
14,800 % | Health Care | |
12,700 % | Industrials | |
7,500 % | Communication Services | |
6,600 % | Consumer Staples | |
6,000 % | Consumer Discretionary | |
2,500 % | Utilities | |
1,500 % | Energy | |
1,100 % | Materials | |
0,600 % | Real Estate | |
0,000 % | übrige Bestandteile |
Größte Positionen
Anteil | Position | |
---|---|---|
4,410 % | Apple | |
3,320 % | Microsoft | |
3,300 % | Nvidia | |
2,980 % | Alphabet | |
1,530 % | Rtx Corp | |
84,460 % | übrige Positionen |
Länder
Anteil | Land | |
---|---|---|
70,900 % | United States | |
6,300 % | Japan | |
4,700 % | United Kingdom | |
3,600 % | Canada | |
3,200 % | France | |
2,700 % | Germany | |
2,000 % | Netherlands | |
1,900 % | Switzerland | |
1,600 % | Italy | |
0,900 % | Sweden | |
0,600 % | Australia | |
0,500 % | Belgium | |
0,400 % | Hong Kong | |
0,400 % | Denmark | |
0,400 % | Finland |
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