AB I - Global Value Portfolio SD Fonds
				
					
						133,05
					
					USD
				
				
					
						-0,91
					
					USD
				
				
					
						-0,68
					
					%
				
			
			NAV
							
						
                            
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                Top Holdings
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						Tabelle
				| Name | ISIN | Anteil | 
|---|---|---|
| Shell PLC | GB00BP6MXD84 | 3,48% | 
| Toyota Industries Corp | JP3634600005 | 3,44% | 
| Microsoft Corp | US5949181045 | 3,24% | 
| Taiwan Semiconductor Manufacturing Co Ltd | TW0002330008 | 2,69% | 
| Alphabet Inc Class C | US02079K1079 | 2,68% | 
| Oracle Corp | US68389X1054 | 2,59% | 
| Samsung Electronics Co Ltd | KR7005930003 | 2,49% | 
| BAE Systems PLC | GB0002634946 | 2,48% | 
| Melrose Industries PLC | GB00BNGDN821 | 2,39% | 
| Sony Group Corp | JP3435000009 | 2,36% | 
| Sonstige | 72,16% | 
 
                                