KLP AksjeAsia Indeks N
Index fund
1 year
Japan
Largest region
Medium
Risk
Cost
Morningstar
Partial
Sustainability
Development
Last 5 years
( ann.)
Description
- KLP AksjeAsia Indeks har som mål å oppnå en avkastning tilnærmet lik i avkastningen i utviklede aksjemarkeder i Asia og Oseania.
Investment horizon
- KLP AksjeAsia Indeks N is a Index 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
04 Jun 2025
- Start date07 Jun 2022
- ISINNO0012445362
Risk
- Medium (4 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
- SustainabilityPartial
Costs
- Ongoing costs
Includes management fees of 0,10 %
- 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 99%Interest 1%
Portfolio
Shows the fund's largest investments.
- Toyota Motor Corp3.2%
- Commonwealth Bank of Australia3.1%
- Sony Group Corp2.7%
- Mitsubishi UFJ Financial Group Inc2.7%
- Hitachi Ltd2.3%
- BHP Group Ltd2.1%
- Sumitomo Mitsui Financial Group Inc1.6%
- AIA Group Ltd1.6%
- Nintendo Co Ltd1.5%
- Mitsubishi Heavy Industries Ltd1.4%