AB - International Technology Portfolio A Acc

Equity fund

1 year

Region

USA

Largest region

High

Risk

Cost

Morningstar

 

Partial 

Sustainability

Development

Last 5 years
( ann.)

Description

  • Under normale omstendigheter investerer Fondet i hovedsak i aksjer i selskaper som forventes å dra nytte av teknologiske fremskritt. Formålet er å investere i verdipapirer som har potensial til å oppnå fremragende inntjeningsvekst. Fondet kan investere i aksjer i selskaper hvor som helst i verden, inklusiv i vekstland. Fondet kan benytte derivater (i) for effektiv porteføljeforvaltning og (ii) i arbeidet med å redusere potensielle risiki.

Investment horizon

  • AB - International Technology Portfolio A Acc is a Equity fund. This mutual fund type is suitable for those who plan to save for at least 6 years.

Characteristics

  • Minimum amount
  • Sharpe 3 years
  • Price/NAV

    05 Jun 2025

  • Start date
    01 Oct 1995
  • ISIN
    LU0060230025

Risk

  • High (6 of 7)

Morningstar rating

  • The Morningstar Rating is an objective standard that tells us how well a fund has done compared to similar funds. If a fund performs better than other funds it is compared with, it receives a high rating. Correspondingly, a fund receives a low rating if it performs worse than similar funds.

Sustainability

Costs

  • Ongoing costs

    Includes management fees of 1,75 %

  • Platform fee
  • Kickback fee
  • Annual running costs
  • Performance-based fee
  • Any transaction costs to the manager are not included in the cost overview. These are stated under cost details on the summary page before you purchase the fund. Costs for any currency exchanges are not included.

Allocation

  • Stocks 100%
    Interest 0%

Portfolio

Shows the fund's largest investments.

  • NVIDIA Corp
    5.3%
  • Broadcom Inc
    4.1%
  • Meta Platforms Inc Class A
    3.6%
  • Alphabet Inc Class A
    3.0%
  • Microsoft Corp
    2.6%
  • Palantir Technologies Inc Ordinary Shares - Class A
    2.4%
  • Netflix Inc
    2.3%
  • Amazon.com Inc
    2.2%
  • Apple Inc
    2.0%
  • Tesla Inc
    2.0%