AB I - Emerging Markets Multi-Asset Portfolio S1 H Fonds
				
					
						8.678,00
					
					JPY
				
				
					
						+4,00
					
					JPY
				
				
					
						+0,05
					
					%
				
			
			NAV
							
						
                            
        Werbung
    
                        
                            
                                
                            
                        
                    
                Zusammensetzung nach Ländern
Chart
						Tabelle
				| Name | Anteil | 
|---|---|
| China | 20,35% | 
| Taiwan | 10,92% | 
| South Korea | 8,66% | 
| India | 7,85% | 
| Brazil | 4,86% | 
| Mexico | 4,49% | 
| United Arab Emirates | 3,45% | 
| Poland | 2,71% | 
| South Africa | 2,29% | 
| Chile | 2,00% | 
| Colombia | 1,90% | 
| Turkey | 1,79% | 
| Hong Kong | 1,42% | 
| Greece | 1,41% | 
| Dominican Republic | 0,97% | 
| Romania | 0,79% | 
| Egypt | 0,78% | 
| Hungary | 0,76% | 
| Argentina | 0,75% | 
| Nigeria | 0,72% | 
| Ecuador | 0,60% | 
| Saudi Arabia | 0,59% | 
| El Salvador | 0,58% | 
| Peru | 0,54% | 
| Côte d'Ivoire | 0,47% | 
| Ukraine | 0,45% | 
| Angola | 0,45% | 
| Malaysia | 0,43% | 
| Indonesia | 0,42% | 
| Sri Lanka | 0,41% | 
| Ghana | 0,37% | 
| Senegal | 0,37% | 
| Uzbekistan | 0,35% | 
| Morocco | 0,31% | 
| Panama | 0,27% | 
| Trinidad & Tobago | 0,26% | 
| Jordan | 0,26% | 
| Oman | 0,25% | 
| Costa Rica | 0,22% | 
| Bahrain | 0,22% | 
| Philippines | 0,16% | 
| Netherlands | 0,16% | 
| Israel | 0,16% | 
| Paraguay | 0,16% | 
| Czechia | 0,14% | 
| Pakistan | 0,14% | 
| Jamaica | 0,14% | 
| Spain | 0,12% | 
| Singapore | 0,11% | 
| Thailand | 0,10% | 
| Zambia | 0,08% | 
| United States | 0,08% | 
| Azerbaijan | 0,06% | 
| Kuwait | 0,06% | 
| Guatemala | 0,05% | 
| United Kingdom | 0,04% | 
| Luxembourg | 0,04% | 
| Serbia | 0,04% | 
| Qatar | 0,01% | 
| Venezuela | 0,01% | 
| Sonstige | 11,45% | 
 
                                