Ef Active Allocation X Cap

€ 129,91 -0,19% 
LU1769712073 24/07/2025

Status

  • Status Quotato
  • Periodicità Giornaliero

Asset allocation

  • +100,00% Equities
  • +0,95% Fixed Income
  • +0,30% Altre Attivita

Ripartizione Geografica

  • +21,57% Isole Cayman
  • +16,18% Taiwan
  • +15,55% India
  • +9,03% Cina
  • +9,02% Corea del Sud
  • +5,77% Brasile
  • +3,72% Australia
  • +3,18% Arabia Saudita
  • +2,63% Hong Kong
  • +2,56% Emirati Arabi Uniti

Società di Gestione

  • Alliance Bernstein (Lux) S.A.
  • - Lussemburgo

Politiche di gestione

Under normal circumstances, the Fund invests mainly in equity of issuers situated in emerging market countries. The Fund aims to invest in securities that have the potential to achieve superior earnings growth.


Fonte dati: Fida