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onemarkets UC European Equity Stars Fund M

ISIN
LU3046606607
WKN
A416BD
VIEW MORE INFO

No history available
Product
No history available

Historical considerations do not give reliable indications for future performances.

Historical considerations do not give reliable indications for future performances.

Product

Composition

Last update: 15.04.2026
FUND STRUCTURE BY REGIONS
Name Percentage
ITA
8.41%
NOR
0.92%
SWE
5.38%
IRL
2.05%
DEU
13.71%
FIN
1.81%
CHL
1.80%
FRA
17.21%
BEL
2.09%
AUT
0.30%
ESP
5.02%
GBR
19.52%
NLD
5.85%
DNK
1.28%
CHE
13.75%
Show more
FUND STRUCTURE BY SECTORS
Name Percentage
Healthcare And Social Services
1.51%
Non-Ferrous Metals
1.80%
Electronics And Semiconductors
5.44%
Petroleum
7.80%
Financial - Investment - Other Diversified Comp.
3.99%
Chemicals
3.01%
Lodging And Catering Ind. - Leisure Facilities
0.49%
Electrical Appliances And Components
5.78%
Energy And Water Supply
6.89%
Miscellaneous Consumer Goods
1.92%
Graphics - Publishing - Printing Media
1.73%
Building Materials And Building Industry
3.23%
Pharmaceuticals - Cosmetics - Med. Products
12.37%
Mechanical Engineering And Industrial Equip.
5.50%
Internet - Software - It Services
2.67%
Miscellaneous Services
0.92%
Textiles - Garments - Leather Goods
0.72%
Insurance Companies
6.43%
Banks And Other Credit Institutions
12.90%
Food And Soft Drinks
4.42%
Retail Trade And Department Stores
2.00%
Telecommunication
3.12%
Watch And Clock Industry - Jewellery
0.76%
Vehicles
2.59%
Traffic And Transportation
1.08%
Show more
Top holdings
Name Percentage
MONCLER SPA
0.72%
NOVO NORDISK A/S-B
0.69%
SOCIETE GENERALE SA
1.58%
SMITH NEPHE
0.01%
ANDRITZ AG
0.30%
COMPASS GROUP PLC
0.49%
BP PLC
2.54%
ANTOFAGASTA PLC
1.80%
ALCON INC
0.78%
VEOLIA ENVIRONNEMENT
0.77%
VODAFONE GROUP PLC
1.04%
NESTLE SA-REG
1.82%
DSV A/S
0.56%
ESSILORLUXOTTICA
0.76%
UBS GROUP AG-REG
1.96%
MERCK KGAA
0.57%
NOVO NORDISK-B
0.02%
GIVAUDAN-REG
0.90%
AIR LIQUIDE SA
2.11%
ENEL SPA
0.73%
KBC GROUP NV
1.24%
ALFA LAVAL AB
0.91%
SIEMENS AG-REG
2.35%
ASML HOLDING NV
3.72%
UCB SA
0.85%
NATIONAL GRID PLC
1.78%
DEUTSCHE TELEKOM AG-REG
1.02%
ENI SPA
1.53%
SHELL PLC
2.06%
PUBLICIS GROUPE
0.59%
IBERDROLA SA
1.71%
UNILEVER PLC
0.89%
MERCEDES-BENZ GROUP AG
1.10%
TOTALENERGIES SE
1.67%
VINCI SA
1.80%
BANCO BPM SPA
0.62%
LVMH MOET HENNESSY LOUIS VUI
0.92%
SANOFI
1.49%
TERNA-RETE ELETTRICA NAZIONA
0.98%
ROCHE HOLDING AG
1.81%
INDUSTRIA DE DISENO TEXTIL
1.04%
SAP SE
1.31%
NORSK HYDRO ASA
0.92%
KION GROUP AG
0.57%
KONINKLIJKE AHOLD DELHAIZE N
0.96%
DHL GROUP
0.52%
GENERALI
0.64%
NOKIA OYJ
1.07%
LONDON STOCK EXCHANGE GROUP
1.20%
LLOYDS BANKING GROUP PLC
1.69%
BANCO SANTANDER SA
2.27%
CAPGEMINI SE
0.60%
DEUTSCHE BOERSE AG
1.55%
SMITH & NEPHEW PLC
0.73%
KONE OYJ-B
0.74%
CIE FINANCIERE RICHEMO-A REG
0.76%
ALLIANZ SE-REG
2.16%
PRYSMIAN SPA
0.91%
SANDVIK AB
1.96%
VOLVO AB-B SHS
1.49%
SCHNEIDER ELECTRIC SE
1.70%
KERRY GROUP PLC-A
0.61%
ZURICH INSURANCE GROUP AG
1.37%
ATLAS COPCO AB-B SHS
1.03%
CHOCOLADEFABRIKEN LINDT-PC
0.55%
RELX PLC
1.14%
DANONE
0.55%
INTESA SANPAOLO
1.35%
L'OREAL
0.97%
AXA SA
1.34%
COMPAGNIE DE SAINT GOBAIN
0.39%
POSTE ITALIANE SPA
0.93%
CRH PLC
1.43%
PROSUS NV
0.77%
ABB LTD-REG
1.73%
HSBC HOLDINGS PLC
3.04%
HENKEL AG & CO KGAA VOR-PREF
0.76%
NOVARTIS AG-REG
2.06%
RECKITT BENCKISER GROUP PLC
0.75%
FRESENIUS SE & CO KGAA
1.00%
ASTRAZENECA PLC
2.14%
INFINEON TECHNOLOGIES AG
0.82%
UNIVERSAL MUSIC GROUP NV
0.41%
Show more
FUND STRUCTURE BY CURRENCY
Name Percentage
SEK
5.38%
EUR
55.90%
USD
0.11%
CHF
13.75%
NOK
0.92%
DKK
1.28%
GBP
21.74%
INVESTMENT RATIO
Name Percentage
Cash Ratio
1.24%

Note on the composition

Marketing communication. This information is provided for illustrative purposes only and may change without prior notice. While the information is deemed reliable as of the date indicated, no guarantee is given as to its accuracy or completeness. The information contained herein constitutes marketing communication and does not constitute an offer or solicitation to buy or sell any financial instrument. For further details on the fund, in particular its investment policy, please refer to the prospectus and the Key Information Document (KID).

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THIS IS A MARKETING COMMUNICATION. Please refer to the prospectus of this fund and to the Key Information Document (KID) before making any final investment decisions. This past performance calculator is based on historical data. Past performance does not predict future returns. Markets could develop very differently in the future. Note: The calculation does not meet the requirements of a regulatory cost disclosure. It does not contain ongoing fund costs, entry or exist costs. Custody fees are also not taken into account. Fees and expenses reduce investment returns. This information is not intended to be relied upon as a forecast, research or investment advice and is not a recommendation or offer to buy or sell any securities or to adopt any investment strategy and it is intended for informational purposes only. This information is also automatically shown for funds for which subscriptions may no longer be possible. A summary of the information on investor rights as well as the instruments of collective redress can be found in English at: https://www.structuredinvest.lu/lu/en/fund-platform/about-us.html. The Management Company may decide to terminate the arrangements made for the marketing of its collective investment undertakings in accordance with Article 93a of Directive 2009/65/EC. For questions about our fund products or possible costs, please contact your personal banker or your depositary bank.

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