Franklin Income Fund I Fonds

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10,20 USD ±0,00 USD ±0,00 %
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Top Holdings

Chart Asset Allocation
Name ISIN Anteil
Procter & Gamble Co US7427181091 1,80%
The Home Depot Inc US4370761029 1,61%
Federal Home Loan Banks 0% US313385YU40 1,59%
United States Treasury Notes 4.5% US91282CJJ18 1,24%
PepsiCo Inc US7134481081 1,24%
Southern Co US8425871071 1,06%
ExxonMobil Holdings Corp US30233Q1085 1,05%
Wells Fargo Bank, National Association 8.5% US95005A1108 1,04%
Citigroup Global Markets Holdings Inc. 8% XS3077251851 0,99%
Verizon Communications Inc US92343V1044 0,97%
Sonstige 87,40%