NEF Pacific Equity R EUR Accumulation

Aktuelle Daten

WKN:
A0NHAY 
ISIN:
LU0140696401 
Fondstyp
Aktienfonds 
Ertragstyp
thesaurierend 
Währung:
EUR 
Kurszeit:
06.03.2026 
Aktuell:
16,66 
Vortag
17,36 
Diff (Vortag):
-0,70 
Diff % (Vortag):
-4,03 
KAG:
Nord Est AM 


Wertentwicklung Ytd 1 Jahr 3 Jahre
NEF Pacific Equity R EUR Accumulation 5,24% 26,79% 41,07%


Strategie

The objective of the Sub-Fund is to achieve long term capital appreciation by mainly investing in securities of companies of the Pacific area. The Sub-Fund is actively managed in reference to the benchmark MSCI AC Pacific Gross Total Return USD Index (EUR unhedged) (the "Benchmark"). The Benchmark is not replicated, it merely serves as a starting point for investment decisions. The investment manager seeks to outperform the Benchmark. The composition of the Fund and its performance may positively or negatively deviate significantly from the Benchmark. Besides making direct investments, the Sub-Fund may also enter into options and futures transactions. The Sub-Fund may invest up to 10% in other UCITS or UCIs. In accordance with article 7 (1) of SFDR, the principal adverse impacts on sustainability factors are not considered as the investment strategy does not pursue environmental or social characteristics and does not have sustainable investments as its investment objective.
NEF Pacific Equity R EUR Accumulation
Name:
NEF Pacific Equity R EUR Accumulation 
Ursprungsland
Luxemburg 
Fondsmanager
 
Fondsvolumen
0,00 EUR 
Auflagedatum
19.04.2002 
Geschäftsjahr
01.01. 
Ertragstyp
thesaurierend 
Fondstyp
Aktienfonds 
Region
Asien/Pazifik 
Unterkategorie
Branchenmix 
WKN:
A0NHAY 
ISIN:
LU0140696401 
Aktuell:
16,66
Währung
EUR 


Konditionen

Max. Ausgabeaufschlag Verwaltungsgebühr Mindestanlage einmalig Sparplan
3,00% 2,10% 500,00 EUR Ja

Kennzahlen per 06.03.2026

Ytd 1 Jahr 3 Jahre 5 Jahre
Performance 5,24% 26,79% 41,07% 21,61%
Volatilität 23,69% 18,67% 15,26% 15,85%
Sharpe Ratio 1,32% 1,33% 0,66% 0,12%
Bester Monat 9,43% 9,43% 9,43% 9,43%
Schlechtester Monat -7,39% -7,39% -7,39% -8,92%

Fondsstrategie

The objective of the Sub-Fund is to achieve long term capital appreciation by mainly investing in securities of companies of the Pacific area. The Sub-Fund is actively managed in reference to the benchmark MSCI AC Pacific Gross Total Return USD Index (EUR unhedged) (the "Benchmark"). The Benchmark is not replicated, it merely serves as a starting point for investment decisions. The investment manager seeks to outperform the Benchmark. The composition of the Fund and its performance may positively or negatively deviate significantly from the Benchmark. Besides making direct investments, the Sub-Fund may also enter into options and futures transactions. The Sub-Fund may invest up to 10% in other UCITS or UCIs. In accordance with article 7 (1) of SFDR, the principal adverse impacts on sustainability factors are not considered as the investment strategy does not pursue environmental or social characteristics and does not have sustainable investments as its investment objective.


Größte Positionen per

OTHERS 79,50%
TSMC 5,00%
SAMSUNG ELECTRONICS CO LTD 4,50%
TENCENT HOLDINGS LTD 3,10%
FUJIBO HOLDINGS INC 1,30%
PDD HOLDINGS INC 1,20%
ASE Technology Holding Co Ltd 1,10%
Oneview Healthcare PLC 1,10%
Unimicron Technology Corp 1,10%
Wonik Materials Co Ltd 1,10%


Fondsgesellschaft

Name Nord Est AM
Adresse: 5, Allée Scheffer, 2520, Luxemburg
Land Luxemburg
Webseite: https://www.nef.lu

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