Protea Fund - Lapis Global Top 50 Dividend Yield Fund EUR Ca/  LU2584110998  /

Fonds
NAV16.10.2024 Diff.+0,7800 Ertragstyp Ausrichtung Fondsgesellschaft
119,5300EUR +0,66% ausschüttend Aktien weltweit FundPartner Sol.(EU) 

Investmentstrategie

The investment objective of the Sub-Fund is to achieve long term capital growth through the investment of its assets in a portfolio of shares and other equity securities or equity rights of - in principle - 50 corporations having their registered office or the major part of their business activities in recognised countries. Notwithstanding the above, the Sub-Fund may at any time hold in its portfolio more than 50 or less than 50 shares and other equity securities or equity rights as described above. In principle, the corporations must be so-called large-cap companies. The Sub-Fund may acquire securities which either are issued by issuers incorporated in so-called emerging market countries and/or which are denominated in the currencies of emerging market countries or which are economically linked to the currencies of emerging market countries. The term "emerging markets" is generally taken to mean the markets of countries that are in the process of developing into modern industrialised countries and thus display a high degree of potential but also involve a greater degree of risk. This applies, in particular, to the countries included in the S&P Emerging Broad Market Index or in the MSCI Emerging Market Index. Up to 20% of the Sub-Fund's assets may be invested in money market UCIs and/or UCITs and in money market instruments such as treasury bills (T-Bills). The Sub-Fund will not invest more than 10% of its net assets in other UCIs and/or UCITS.
 

Investmentziel

The investment objective of the Sub-Fund is to achieve long term capital growth through the investment of its assets in a portfolio of shares and other equity securities or equity rights of - in principle - 50 corporations having their registered office or the major part of their business activities in recognised countries.
 

Stammdaten

Ertragstyp: ausschüttend
Fondskategorie: Aktien
Region: weltweit
Branche: Branchenmix
Benchmark: -
Geschäftsjahresbeginn: 01.01
Letzte Ausschüttung: 14.05.2024
Depotbank: Bank Pictet & Cie (Europe) AG
Ursprungsland: Luxemburg
Vertriebszulassung: Schweiz, Luxemburg, Tschechien
Fondsmanager: VALORI ASSET MANAGEMENT S.A.
Fondsvolumen: 183,82 Mio.  USD
KESt-Meldefonds: Ja
Auflagedatum: 20.03.2023
Investmentfokus: Large Cap

Konditionen

Ausgabeaufschlag: 3,00%
Max. Verwaltungsgebühr: 0,45%
Mindestveranlagung: 25.000,00 EUR
Weitere Gebühren: -
Tilgungsgebühr: 1,00%
Wesentliche Anlegerinformation: -
 

Fondsgesellschaft

KAG: FundPartner Sol.(EU)
Adresse: 15A, avenue J. F. Kennedy, 1855, Luxemburg
Land: Luxemburg
Internet: www.group.pictet/de
 

Veranlagungen

Aktien
 
98,61%
Barmittel und sonstiges Vermögen
 
1,39%

Länder

USA
 
62,60%
Kanada
 
11,85%
Schweiz
 
6,41%
Vereinigtes Königreich
 
6,13%
Japan
 
5,53%
Frankreich
 
4,13%
Irland
 
1,97%
Sonstige
 
1,38%

Branchen

Konsumgüter
 
21,85%
Gesundheitswesen
 
19,68%
IT/Telekommunikation
 
15,46%
Energie
 
14,36%
Finanzen
 
11,73%
Versorger
 
7,78%
Industrie
 
3,95%
Rohstoffe
 
3,81%
Barmittel und sonst. VM
 
1,38%