abrdn I - Emerging Markets Equity Fund C Fonds

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26,25 USD +1,78 USD +7,27 %
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Top Holdings

Chart Asset Allocation
Name ISIN Anteil
Taiwan Semiconductor Manufacturing Co Ltd TW0002330008 9,92%
Samsung Electronics Co Ltd Participating Preferred KR7005931001 9,50%
SK Hynix Inc KR7000660001 8,66%
MediaTek Inc TW0002454006 4,26%
Tencent Holdings Ltd KYG875721634 4,24%
Grupo Mexico SAB de CV Class B MXP370841019 3,33%
HDFC Bank Ltd INE040A01034 3,08%
NAURA Technology Group Co Ltd Class A CNE100000ML7 2,93%
Contemporary Amperex Technology Co Ltd Class A CNE100003662 2,41%
Chroma Ate Inc TW0002360005 2,39%
Sonstige 49,27%