Multi Asset Value Invest Fonds
115,67
EUR
-0,97
EUR
-0,83
%
NAV
Werbung
Zusammensetzung nach Ländern
Chart
Tabelle
| Name | Anteil |
|---|---|
| United States | 25,10% |
| Germany | 12,84% |
| Netherlands | 9,28% |
| France | 9,03% |
| United Kingdom | 6,69% |
| Italy | 4,91% |
| Switzerland | 4,83% |
| Czechia | 3,67% |
| Ireland | 3,38% |
| Luxembourg | 3,32% |
| Spain | 2,49% |
| Sweden | 1,59% |
| Denmark | 1,58% |
| Supranational | 1,53% |
| Finland | 1,05% |
| Belgium | 0,92% |
| Japan | 0,81% |
| Austria | 0,70% |
| Canada | 0,56% |
| Norway | 0,55% |
| Australia | 0,43% |
| Brazil | 0,27% |
| China | 0,22% |
| Portugal | 0,20% |
| Poland | 0,18% |
| Israel | 0,16% |
| Greece | 0,15% |
| Singapore | 0,10% |
| India | 0,07% |
| Romania | 0,07% |
| South Korea | 0,06% |
| Hong Kong | 0,05% |
| Hungary | 0,04% |
| Mexico | 0,04% |
| United Arab Emirates | 0,04% |
| Slovakia | 0,02% |
| Estonia | 0,02% |
| Iceland | 0,02% |
| South Africa | 0,02% |
| New Zealand | 0,01% |
| Slovenia | 0,01% |
| Lithuania | 0,01% |
| Cyprus | 0,00% |
| Turkey | 0,00% |
| Moldova, Republic of | 0,00% |
| Nigeria | 0,00% |
| Sonstige | 2,98% |