Risiko
The Fund seeks to maximise total return and invest in a manner consistent with the principles of environmental, social and governance (“ESG”) investing. The Fund invests globally at least 70% of its total assets in the equity securities of companies whose predominant economic activity is in the real estate sector. This may include residential and/or commercial real estate focused companies as well as real estate operating companies and real estate holding companies (for example, real estate investment trusts).
SFDR bærekraftsmål
Artikkel 8
Morningstar-globus
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Karbonrisiko
Lav
10 største eierandeler
Equinix Inc
5,2%
Prologis Inc
4,7%
AvalonBay Communities Inc
4,6%
Welltower Inc
4,2%
Public Storage
3,5%
Iron Mountain Inc
3,4%
Simon Property Group Inc
3,3%
Mitsubishi Estate Co Ltd
3,0%
VICI Properties Inc Ordinary Shares
2,9%
Ventas Inc
2,9%
Eiendom
96,9%
Helse
1,8%
Teknologi
0,9%
Finans
0,5%
Nord-Amerika
66,9%
Asia
21,8%
Europa
11,3%
Med rebalansering
Uten rebalansering
Aksjesparekonto
Bedriftskonto
IPS
Pensjon
Avkastning pr. 14.08
Siste måned:
0,8%
Siste 6 måneder:
−6,6%
Hittil i år:
−5,0%
Siste år:
−1,8%
Siste 3 år (per år):
2,2%
Siste 5 år (per år):
6,3%
Morningstar-rating:
4
ISIN:
LU0842063264
Forvaltningskapital:
1 675 226 234 kr
Kategori:
Eiendom, Indirekte - Global
NAV/Kurs (14.08.2025):
139 kr
Aksjer:
97,4%
Annet:
1,6%
Kontanter:
1,1%
Obligasjoner:
0,0%
Startdato:
04.03.2015