Wealth Invest AKL SEB Emerging Market Equities (Hermes) DKK P logo

Wealth Invest AKL SEB Emerging Market Equities (Hermes) DKK P (0P0000X097)

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Summary

0P0000X097 is not paying dividends to its shareholders.
The stock of the company had never split.
The company's stock is traded on one exchange.

0P0000X097 Chart

Wealth Invest AKL SEB Emerging Market Equities (Hermes) DKK P (0P0000X097) FAQ

What is the stock price today?

The current price is kr0.00.

On which exchange is it traded?

Wealth Invest AKL SEB Emerging Market Equities (Hermes) DKK P is listed on XCSE.

What is its stock symbol?

The ticker symbol is 0P0000X097.

Does it pay dividends? What is the current yield?

It does not pay dividends to its shareholders.

What is its market cap?

As of today, no market cap data is available.

Has Wealth Invest AKL SEB Emerging Market Equities (Hermes) DKK P ever had a stock split?

No, there has never been a stock split.

Wealth Invest AKL SEB Emerging Market Equities (Hermes) DKK P Profile

XCSE Exchange
US Country

Overview

This fund operates with a diversified investment strategy, focusing on allocating its assets across various types of securities to achieve a balanced risk-reward ratio for its investors. It specifically targets a dynamic allocation of assets, distributing investments mainly between equity securities, debt securities, commodity-linked instruments, and maintaining a reserve of cash and cash equivalents. The fund's strategy is designed to adapt under normal market conditions, depending on the performance and outlook of these different asset classes. The investment strategy emphasizes not only diversification but also value investment in equities, selecting those securities that are believed to be undervalued by the market.

Products and Services

  • Equity Securities Investment
  • This product focuses on investing 50-80% of the fund's assets in equities. The selection process for equities primarily targets undervalued securities, aiming to capitalize on their potential for growth. This approach seeks to maximize returns for investors through careful analysis and selection of stocks that are poised for a rebound or have been overseen by the broader market.

  • Fixed Income and Cash Equivalents
  • Allocating 20-50% of its assets, this area of the fund targets fixed income securities and cash equivalents. This aspect of the portfolio aims to provide stability and reduce overall investment risk. By investing in fixed income securities, the fund seeks to generate steady income, while cash equivalents offer liquidity and safety, ensuring that the fund can respond quickly to market changes or opportunities.

  • Commodity-Linked Instruments Investment
  • The fund allocates up to 15% of its assets in commodity-linked instruments. This segment is designed to diversify the fund's holdings beyond traditional stocks and bonds. By investing in commodities, the fund can hedge against inflation and benefit from price movements in physical markets, such as metals, energy, and agricultural products. This approach adds an extra layer of diversification, potentially enhancing returns while managing risk.

Contact Information

Address: 900 Middlefield Road
Phone: 844 995 8437