Produkt Detailseite - onemarkets by UniCredit
Produkt Kurzinformationen
Ihre Anfrage
Kontakt
onemarkets Multi-Asset Value Fund MD
- ISIN LU2595013934
- WKN A3D9DT
- Auflegende Gesellschaft/KAG UniCredit Invest Lux S.A.
- Produkttyp Mischfonds
- Auflagedatum der Anteilsklasse 12.07.2023
- Rückzahlungstermin Open End
- Ertragsverwendung ausschüttend
- Auflagedatum des Teilfonds 30.06.2023
- Währung EUR
- Fondswährung EUR
- SFDR Klassifizierung Art. 6
Historische Betrachtungen stellen keinen verlässlichen Indikator für zukünftige Entwicklungen dar.
Produktdetails
Portfolio
| Name | Prozentsatz |
|---|---|
| Energy And Water Supply |
|
| Mining - Coal - Steel |
|
| Graphics - Publishing - Printing Media |
|
| Petroleum |
|
| Lodging And Catering Ind. - Leisure Facilities |
|
| Electrical Appliances And Components |
|
| Miscellaneous Consumer Goods |
|
| Financial - Investment - Other Diversified Comp. |
|
| Traffic And Transportation |
|
| Real Estate |
|
| Countries And Central Governments |
|
| Office Supplies And Computing |
|
| Banks And Other Credit Institutions |
|
| Internet - Software - It Services |
|
| Mortgage - Funding Institutions (Mba-Abs) |
|
| Insurance Companies |
|
| Electronics And Semiconductors |
|
| Telecommunication |
|
| Aeronautic And Astronautic Industry |
|
| Mehr anzeigen |
| Name | Prozentsatz |
|---|---|
| SPAIN LETRAS DEL TESORO ZCP 15-01-27 |
|
| iShares Physical Gold ETC |
|
| UBS GROUP AG 3.875% PERP |
|
| TOTALENERGIES SE FR 1.625% PERP |
|
| REPSOL INTL FINANCE BV 4.247% PERP |
|
| BRAZIL NOTAS DO TESOURO NACIONAL SERIE F 10.0% 01-01-29 |
|
| META PLATFORMS INC-CLASS A |
|
| NATW GR 4.5 PERP |
|
| IBERDROLA INTL BV 2.25% PERP |
|
| TAIWAN SEMICONDUCTOR-SP ADR |
|
| UNITED STATES TREAS INFLATION BONDS 1.875% 15-01-36 |
|
| BUNDSOBLIGATION 2.4% 19-10-28 |
|
| COOPERATIEVE RABOBANK UA 4.375% PERP |
|
| HSBC 4.75% PERP EMTN |
|
| ECOPETROL 8.375% 19-01-36 |
|
| DE'LONGHI SPA |
|
| BANCO MERCANTILE DEL NORTE SA GRAND 5.875% PERP |
|
| MEXICAN BONOS 7.75% 29-05-31 |
|
| AXA 5.75% PERP EMTN |
|
| AYDE YE 9.875 09-30 |
|
| AVIANCA MIDCO 2 9.625% 14-02-30 |
|
| NATWEST GROUP 4.5% PERP |
|
| ORANGE |
|
| RHEINMETALL AG |
|
| VOLKSWAGEN INTL FINANCE NV 3.875% PERP |
|
| VODAFONE GROUP 7.0% 04-04-79 |
|
| NEBIUS GROUP NV |
|
| INTE 5.5% PERP EMTN |
|
| AVIVA 4.0% 03-06-55 |
|
| Invesco Physical Gold ETC |
|
| INTERACTIVE BROKERS GRO-CL A |
|
| BP CAP MK 3.625% PERP |
|
| NATWEST GROUP 5.125% PERP |
|
| BP CAP MK 3.25% PERP |
|
| CTS EVENTIM AG & CO KGAA |
|
| GERMAN TREASURY BILL ZCP 13-05-26 |
|
| UNITED STATES TREASURY NOTEBOND 3.625% 31-08-30 |
|
| ECOPETROL 7.75% 01-02-32 |
|
| UNITED STATES TREASURY NOTEBOND 3.625% 31-10-30 |
|
| PIRAEUS BANK 6.75% PERP |
|
| YINSON BORONIA PRODUCTION BV 8.947% 31-07-42 |
|
| UNICREDIT 5.861% 19-06-32 |
|
| AYDEM YENILENEBILIR ENERJI AS 9.875% 30-09-30 |
|
| BRITISH TEL 8.375% 20-12-83 |
|
| UBS GROUP AG 9.25% PERP |
|
| EURO STOXX 50 20260515 P5500 |
|
| PRYSMIAN 5.25% PERP |
|
| INTE 6.375% PERP |
|
| IBERDROLA FINANZAS SAU 4.875% PERP |
|
| NORSKE OLJESELSKAP 9.25% 04-06-29 |
|
| AVIO SPA |
|
| BUNDSOBLIGATION 2.1% 12-04-29 |
|
| PIRAEUS BANK 7.25% 17-04-34 |
|
| BANCO DE BADELL 9.375% PERP |
|
| TAIWAN SEMIC-ADR |
|
| NORDDEUTSCHE LANDESBANK GIROZENTRALE 4.375% 10-12-35 |
|
| ALDAR PROPERTIES 6.6227% 15-04-55 |
|
| NATW GR 5.125 PERP |
|
| EUROBANK S A 6.625% PERP |
|
| INTE 9.125% PERP |
|
| NORSKE OLJESELSKAP 8.5% 27-03-30 |
|
| EUROBANK SA |
|
| UNITED STATES TREAS INFLATION BONDS 1.875% 15-07-35 |
|
| SAMSUNG ELECTRON |
|
| NINTENDO CO LTD |
|
| NATL BANK OF GREECE 8.0% 03-01-34 |
|
| REPSOL EUROPE FINANCE SARL 4.5% PERP |
|
| UBS GROUP AG 4.875% PERP |
|
| VODAFONE GROUP 6.5% 30-08-84 |
|
| SAIPEM SPA |
|
| NATL BANK OF GREECE 5.8% PERP |
|
| EURO STOXX 50 20260515 P5000 |
|
| ALPHA BANK 7.5% PERP |
|
| INTE 7.75% PERP |
|
| ZORLU ENERJI ELEKTRIK UERETIMI OTOPRODUE 11.0% 23-04-30 |
|
| H WORLD GROUP LTD |
|
| BBVA 8.375% PERP |
|
| BRAZIL NOTAS DO TESOURO NACIONAL SERIE B 6.0% 15-08-30 |
|
| VAR ENERGI A 7.862% 15-11-83 |
|
| TERNA RETE ELETTRICA NAZIONALE 2.375% PERP |
|
| ADVANTEST CORP |
|
| TENCENT HOLDINGS LTD |
|
| BAWAG BK 3.375% 02-09-33 EMTN |
|
| COMMERZBANK AKTIENGESELLSCHAFT 6.5% PERP |
|
| ALPHA BANK 11.875% PERP |
|
| DRESDNER FUNDING TRUST I 8.151% 30-06-31 |
|
| PIRAEUS BANK SA |
|
| UNICREDIT 4.45% PERP EMTN |
|
| AIR FR KLM 5.75% PERP |
|
| BANCO DE BADELL 5.0% PERP |
|
| IVANHOE ELECTRIC INC / US |
|
| VOLKSWAGEN INTL FINANCE NV 7.875% PERP |
|
| UNICREDIT 3.875% PERP EMTN |
|
| AMERICA MOVIL BV 3.0% 30-09-30 |
|
| ENI 3.375% PERP |
|
| MEXICO REMITTANCES FDG FID EST MGT SARL 12.5% 15-10-31 |
|
| ENEL 6.375% PERP EMTN |
|
| MEXICAN BONOS 8.5% 28-02-30 |
|
| ITALY BUONI POLIENNALI DEL TESORO 2.95% 01-07-30 |
|
| BRAZIL NOTAS DO TESOURO NACIONAL SERIE F 10.0% 01-01-31 |
|
| YELLOW CAKE PLC |
|
| REPLY SPA |
|
| UNICREDIT SPA |
|
| AIA GROUP LTD |
|
| SAMSUNG ELECTRONICS CO LTD |
|
| UNITED STATES TREAS INFLATION BONDS 1.5% 15-02-53 |
|
| BARCLAYS 9.25% PERP |
|
| PRYSMIAN SPA |
|
| ORANGE 1.75% PERP EMTN |
|
| MERSIN ULUSLARARASI LIMANI ISLETMECILIG 8.25% 15-11-28 |
|
| ECOPETROL 8.875% 13-01-33 |
|
| Mehr anzeigen |
| Name | Prozentsatz |
|---|---|
| JPN |
|
| BRA |
|
| ARE |
|
| KOR |
|
| FRA |
|
| GRC |
|
| GBR |
|
| NOR |
|
| LUX |
|
| ITA |
|
| CHN |
|
| DEU |
|
| TWN |
|
| CHE |
|
| HKG |
|
| TUR |
|
| NLD |
|
| IRL |
|
| USA |
|
| COL |
|
| ESP |
|
| AUT |
|
| MEX |
|
| Mehr anzeigen |
| Name | Prozentsatz |
|---|---|
| KRW |
|
| JPY |
|
| MXN |
|
| BRL |
|
| EUR |
|
| GBP |
|
| USD |
|
| HKD |
|
| Name | Prozentsatz |
|---|---|
| Cash Ratio |
|
Note on the composition
Marketingmitteilung. Diese Informationen dienen ausschließlich zu illustrativen Zwecken und können ohne vorherige Ankündigung geändert werden. Obwohl die Informationen zum angegebenen Datum als zuverlässig erachtet werden, wird keine Gewähr für deren Richtigkeit oder Vollständigkeit übernommen. Die hierin enthaltenen Informationen stellen eine Marketingmitteilung dar und sind weder ein Angebot noch eine Aufforderung zum Kauf oder Verkauf eines Finanzinstruments. Für weitere Informationen zum Fonds, insbesondere zu seiner Anlagepolitik, wird auf den Prospekt sowie das Basisinformationsblatt (KID) verwiesen.
_260px.png)


















