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onemarkets Pictet Global Opportunities Allocation Fund M

ISIN
LU2595021283
WKN
A3D9BN
ZOBRAZIT VÍCE INFORMACÍ

Historie není k dispozici
Produkt
Historie není k dispozici

Historické úvahy neposkytují spolehlivé ukazatele pro budoucí výkonnost.

Historické úvahy neposkytují spolehlivé ukazatele pro budoucí výkonnost.

Produkt

Složení

Poslední aktualizace:15.04.2026
STRUKTURA FONDŮ PODLE MĚN
Jméno Procento
CAD
0.30%
SGD
0.79%
HKD
0.58%
DKK
0.08%
USD
45.80%
NOK
0.07%
JPY
1.95%
GBP
3.30%
CHF
2.50%
EUR
43.32%
AUD
0.09%
SEK
0.12%
Zobrazit více
STRUKTURA FONDŮ PODLE SEKTORŮ
Jméno Procento
Retail Trade And Department Stores
2.73%
Building Materials And Building Industry
1.15%
Mortgage - Funding Institutions (Mba-Abs)
0.08%
Lodging And Catering Ind. - Leisure Facilities
0.92%
Investment Trusts / Funds And Provisioning Inst.
9.46%
Watch And Clock Industry - Jewellery
0.12%
Electrical Appliances And Components
1.36%
Mechanical Engineering And Industrial Equip.
2.64%
Internet - Software - It Services
8.63%
Real Estate
1.96%
Graphics - Publishing - Printing Media
1.03%
Rubber And Tires
0.10%
Miscellaneous Trading Companies
0.26%
Forestry - Paper - Forest Products
0.28%
Banks And Other Credit Institutions
3.01%
Financial - Investment - Other Diversified Comp.
3.30%
Petroleum
0.20%
Tobacco And Alcoholic Beverages
0.16%
Electronics And Semiconductors
8.15%
Pharmaceuticals - Cosmetics - Med. Products
7.86%
Insurance Companies
1.80%
Biotechnology
1.96%
Chemicals
1.46%
Vehicles
0.15%
Traffic And Transportation
0.23%
Textiles - Garments - Leather Goods
0.48%
Telecommunication
0.20%
Packaging Industries
0.33%
Energy And Water Supply
2.21%
Miscellaneous Consumer Goods
0.95%
Office Supplies And Computing
4.55%
Countries And Central Governments
28.27%
Food And Soft Drinks
1.29%
Precious Metals And Precious Stones
0.26%
Environmental Services - Recycling
1.01%
Miscellaneous Services
0.18%
Healthcare And Social Services
0.15%
Zobrazit více
Největší podíly
Jméno Procento
NVIDIA CORP
2.69%
ARISTA NETWORKS INC
0.19%
LOWE'S COS INC
0.29%
KONINKLIJKE AHOLD DELHAIZE N
0.37%
MS&AD INSURANCE GROUP HOLDIN
0.28%
FIRST SOLAR INC
0.10%
CLEAN HARBORS INC
0.29%
THOMSON REUTERS CORP
0.09%
INFINEON TECHNOLOGIES AG
0.37%
QUEST DIAGNOSTICS INC
0.09%
L'OREAL
0.43%
SPAIN GOVERNMENT BOND 5.9% 30-07-26
0.15%
LATTICE SEMICONDUCTOR CORP
0.29%
INTL FLAVORS & FRAGRANCES
0.22%
AGILENT TECHNOLOGIES INC
0.57%
REPUBLIQUE FEDERALE D GERMANY 6.5% 04-07-27
1.68%
NEXTPOWER INC-CL A
0.23%
HOLOGIC INC
0.14%
EQUINIX INC
0.26%
OPEN TEXT CORP
0.05%
SWEDBANK
0.00%
ASTRAZENECA PLC
0.42%
ECOLAB INC
0.53%
REPUBLIC SERVICES INC
0.30%
ITALY BUONI POLIENNALI DEL TESORO 5.0% 01-08-39
1.52%
JPMORGAN CHASE & CO
0.41%
STRYKER CORP
0.06%
MARVELL TECHNOLOGY INC
0.18%
PACKAGING CORP OF AMERICA
0.33%
INSMED INC
0.27%
CORE & MAIN INC-CLASS A
0.14%
ATLASSIAN CORP-CL A
0.12%
REPUBLIQUE FEDERALE D GERMANY 0.0% 15-05-36
0.92%
ITALY BUONI POLIENNALI DEL TESORO 6.5% 01-11-27
1.49%
BOOKING HOLDINGS INC
0.73%
BELGIUM GOVERNMENT BOND 0.8% 22-06-28
0.32%
RELIANCE INC
0.13%
FRANCE GOVERNMENT BOND OAT 2.75% 25-02-30
1.73%
CROWDSTRIKE HOLDINGS INC - A
0.20%
ALLSTATE CORP
0.47%
ITALY BUONI POLIENNALI DEL TESORO 3.85% 01-09-49
0.67%
TOROMONT INDUSTRIES LTD
0.10%
HILTON WORLDWIDE HOLDINGS IN
0.19%
SYNCHRONY FINANCIAL
0.16%
INSURANCE AUSTRALIA GROUP
0.09%
GSK PLC
0.62%
APPLIED MATERIALS INC
0.31%
ISUZU MOTORS LTD
0.05%
CROWN CASTLE INC
0.16%
WORKDAY INC-CLASS A
0.17%
HCA HEALTHCARE INC
0.15%
PFIZER INC
0.08%
DIGITAL REALTY TRUST INC
0.29%
BOOKING HOLDINGS
0.00%
PULTEGROUP INC
0.19%
STERIS PLC
0.31%
FRANCE GOVERNMENT BOND OAT 4.0% 25-04-55
1.05%
ASM INTERNATIONAL NV
0.11%
BELG GO 4.0 03-32
0.02%
TOKIO MARINE HD
0.00%
THERMO FISHER SCIENTIFIC INC
0.81%
SOMPO HOLDINGS I
0.00%
KLA CORP
0.52%
APPLE INC
2.40%
TAPESTRY INC
0.21%
SNAP-ON INC
0.16%
HOME DEPOT INC
0.32%
WABTEC CORP
0.07%
TAIWAN SEMICONDUCTOR-SP ADR
0.49%
AXA SA
0.09%
IPSEN
0.05%
UNITED UTILITIES GROUP PLC
0.25%
GILEAD SCIENCES INC
0.66%
ABBOTT LABORATORIES
0.22%
NETHERLANDS GOVERNMENT 0.5% 15-01-40
0.13%
COMPAGNIE DE SAINT GOBAIN
0.34%
CK ASSET HOLDINGS LTD
0.09%
INTL FLVR & FRAG
0.00%
IDEXX LABORATORIES INC
0.17%
NETHERLANDS GOVERNMENT 0.5% 15-07-32
0.34%
Pictet Multi Asset Global Opportunities ZX EUR
9.46%
HARTFORD INSURANCE GROUP INC
0.32%
INTUITIVE SURGICAL INC
0.26%
REPUBLIQUE FEDERALE D GERMANY 1.7% 15-08-32
0.74%
METRO INC/CN
0.06%
CANON INC
0.20%
SPAIN GOVERNMENT BOND 2.7% 31-10-48
0.40%
CARLSBERG AS-B
0.08%
SCREEN HOLDINGS
0.00%
AMAZON.COM INC
0.60%
TE CONNECTIVITY PLC
0.14%
ENDEAVOUR MINING PLC
0.05%
HARTFORD INSURAN
0.00%
SAMPO OYJ-A SHS
0.10%
UNITED OVERSEAS BANK LTD
0.18%
DECKERS OUTDOOR CORP
0.11%
NETFLIX INC
0.17%
ITALY BUONI POLIENNALI DEL TESORO 0.95% 01-08-30
1.97%
NETHERLANDS GOVERNMENT 0.75% 15-07-27
0.39%
TRANE TECHNOLOGI
0.00%
BOSTON SCIENTIFIC CORP
0.28%
GFL ENVIRONMENTAL INC-SUB VT
0.16%
LASERTEC CORP
0.15%
MEDTRONIC PLC
0.73%
RECRUIT HOLDINGS CO LTD
0.16%
NATWEST GROUP PLC
0.09%
GARMIN LTD
0.26%
MCKESSON CORP
0.69%
COCA-COLA CO/THE
0.62%
TETRA TECH INC
0.18%
DEERE & CO
0.28%
PALO ALTO NETWORKS INC
0.30%
OTIS WORLDWIDE CORP
0.63%
BELG GO 4.25 03-41
0.02%
CISCO SYSTEMS INC
0.86%
JOHNSON CONTROLS INTERNATION
0.55%
BELGIUM GOVERNMENT BOND 4.0% 28-03-32
0.54%
3I GROUP PLC
0.23%
JACK HENRY & ASSOCIATES INC
0.10%
GALDERMA GROUP AG
0.33%
TOPBUILD CORP
0.30%
NATWEST GROUP PL
0.00%
SYSCO CORP
0.26%
HSBC HOLDINGS PLC
0.08%
ABBVIE INC
0.53%
NEXT PLC
0.16%
SERVICENOW INC
0.17%
PACKAGING CORP
0.00%
WW GRAINGER INC
0.22%
BRIDGESTONE CORP
0.10%
ALLEGION PLC
0.11%
ITALY BUONI POLIENNALI DEL TESORO 5.75% 01-02-33
1.31%
ILLINOIS TOOL WORKS
0.61%
BANCO BILBAO VIZCAYA ARGENTA
0.64%
SALESFORCE INC
0.28%
DANONE
0.34%
AUTODESK INC
0.14%
KONE OYJ-B
0.10%
COMPASS GROUP PLC
0.50%
FERRARI NV
0.11%
QIAGEN N.V.
0.06%
BELGIUM GOVERNMENT BOND 1.4% 22-06-53
0.11%
SOMPO HOLDINGS INC
0.28%
BAIDU INC-CLASS A
0.21%
ACCENTURE PLC-CL A
0.18%
NOVARTIS AG-REG
0.80%
PROCTER & GAMBLE CO/THE
0.18%
ANALOG DEVICES INC
0.22%
ELASTIC NV
0.18%
AENA SME SA
0.05%
TOKYO ELECTRON
0.00%
SHIONOGI & CO
0.00%
MICROSOFT CORP
2.05%
ADIDAS AG
0.11%
XYLEM INC
0.40%
JOHNSON & JOHNSON
0.25%
RELX PLC
0.50%
DYNATRACE INC
0.24%
INTUIT INC
0.15%
META PLATFORMS INC-CLASS A
0.16%
BELGIUM GOVERNMENT BOND 0.65% 22-06-71
0.01%
SNOWFLAKE INC
0.13%
FOX CORP - CLASS A
0.11%
BELGIUM GOVERNMENT BOND 4.25% 28-03-41
0.60%
BANK OF NEW YORK MELLON CORP
0.20%
EXPEDITORS INTL WASH INC
0.17%
SUN HUNG KAI PROPERTIES
0.08%
WALMART INC
0.07%
SWEDBANK AB - A SHARES
0.11%
PUBLICIS GROUPE
0.17%
FERGUSON ENTERPR
0.00%
THERMO FISHER
0.00%
EQUITY RESIDENTI
0.00%
UBER TECHNOLOGIES INC
0.25%
INTERCONTINENTAL HOTELS GROU
0.06%
AGILENT TECH INC
0.00%
TOROMONT INDS
0.00%
MARSH & MCLENNAN COS
0.28%
DNB BANK ASA
0.07%
TRANE TECHNOLOGIES PLC
0.41%
NESTLE SA-REG
0.23%
FRANCE GOVERNMENT BOND OAT 4.0% 25-10-38
1.80%
ASTELLAS PHARMA
0.00%
FERGUSON ENTERPRISES INC
0.75%
OVERSEA-CHINESE BANKING CORP
0.49%
TOKYO ELECTRON LTD
0.17%
ARGENX SE - ADR
0.34%
CIE FINANCIERE RICHEMO-A REG
0.12%
SAP SE
0.29%
EMCOR GROUP INC
0.28%
CARDINAL HEALTH INC
0.29%
SPAIN GOVERNMENT BOND 4.9% 30-07-40
1.15%
ILLINOIS TOOL WO
0.00%
SHIONOGI & CO LTD
0.15%
SAGE GROUP PLC/THE
0.09%
ON SEMICONDUCTOR
0.26%
DELL TECHNOLOGIES -C
0.44%
TECHTRONIC INDUSTRIES CO LTD
0.11%
NETHERLANDS GOVERNMENT 2.75% 15-01-47
0.32%
VISA INC-CLASS A SHARES
1.35%
CUMMINS INC
0.16%
DSM-FIRMENICH AG
0.17%
LAM RESEARCH CORP
0.40%
ON HOLDING AG-CLASS A
0.11%
EQUITY RESIDENTIAL
0.19%
SCREEN HOLDINGS CO LTD
0.06%
FRANCE GOVERNMENT BOND OAT 2.75% 25-10-27
1.55%
ULTA BEAUTY INC
0.37%
TAIWAN SEMIC-ADR
0.00%
CF INDUSTRIES HOLDINGS INC
0.19%
NXP SEMICONDUCTO
0.00%
TOLL BROTHERS INC
0.30%
WASTE MANAGEMENT INC
0.08%
AMERICAN EXPRESS CO
0.40%
IBERDROLA SA
0.36%
BRISTOL-MYERS SQUIBB CO
0.18%
PTC INC
0.35%
ZURICH INSURANCE GROUP AG
0.45%
RECRUIT HOLDINGS
0.00%
UPM-KYMMENE OYJ
0.28%
WH GROUP LTD
0.10%
NXP SEMICONDUCTORS NV
0.35%
SPAIN GOVERNMENT BOND 5.75% 30-07-32
1.47%
EXTRA SPACE STORAGE INC
0.36%
MASTERCARD INC - A
0.19%
TESCO PLC
0.31%
EIFFAGE
0.09%
SIKA AG-REG
0.24%
UNITED THERAPEUTICS CORP
0.16%
LONZA GROUP AG-REG
0.33%
AUTOMATIC DATA
0.00%
ISUZU MOTORS
0.00%
HUBSPOT INC
0.18%
SPAIN GOVERNMENT BOND 5.15% 31-10-28
1.48%
TOKIO MARINE HOLDINGS INC
0.12%
SINGAPORE EXCHANGE LTD
0.12%
LAM RESEARCH
0.00%
JOHNSON CONTROLS
0.00%
MS&AD INSURANCE
0.00%
BLACKROCK INC
0.76%
AUTOZONE INC
0.19%
REPUBLIQUE FEDERALE D GERMANY 0.0% 15-08-30
1.68%
WP CAREY INC
0.12%
AMERICAN WATER WORKS CO INC
0.31%
COGNIZANT TECH SOLUTIONS-A
0.25%
NETHERLANDS GOVERNMENT 4.0% 15-01-37
0.15%
ASML HOLDING NV
0.50%
MARRIOTT INTERNATIONAL -CL A
0.17%
BROADCOM INC
0.85%
ANHEUSER-BUSCH INBEV SA/NV
0.08%
SCHNEIDER ELECTRIC SE
0.40%
WELLTOWER INC
0.40%
ZOETIS INC
0.23%
NEWMONT CORP
0.21%
LINDE PLC
0.20%
T ROWE PRICE GROUP INC
0.08%
FRANCE GOVERNMENT BOND OAT 5.75% 25-10-32
1.63%
ASTELLAS PHARMA INC
0.23%
REPUBLIQUE FEDERALE D GERMANY 1.25% 15-08-48
0.95%
ALPHABET INC-CL A
1.46%
LULULEMON ATHLETICA INC
0.06%
Zobrazit více
STRUKTURA FONDŮ PODLE REGIONŮ
Jméno Procento
TWN
0.49%
CHE
3.05%
CAN
0.52%
LUX
9.46%
BEL
1.70%
ITA
7.06%
USA
42.27%
NLD
3.04%
FRA
9.68%
HKG
0.38%
CHN
0.21%
ESP
5.69%
DEU
6.73%
AUS
0.21%
SGP
0.79%
NOR
0.07%
SWE
0.12%
IRL
1.57%
GBR
3.37%
JPN
1.95%
FIN
0.47%
DNK
0.08%
Zobrazit více
INVESTIČNÍ POMĚR
Jméno Procento
Cash Ratio
-0.07%

Note on the composition

Marketingová komunikace. Tyto informace jsou poskytovány pouze pro ilustrační účely a mohou se změnit bez předchozího upozornění. Přestože jsou informace považovány k uvedenému datu za spolehlivé, není zaručena jejich přesnost nebo úplnost. Informace zde obsažené představují marketingovou komunikaci a nepředstavují nabídku ani výzvu k nákupu či prodeji jakéhokoli finančního nástroje. Další podrobnosti o fondu, zejména o jeho investiční politice, naleznete v prospektu a v dokumentu Klíčové informace (KID).

Vložte prosím alespoň 3 znaky

Alternativní produkty

Na základě tohoto produktu níže naleznete až 6 alternativních produktů se stejným podkladovým aktivem, stejným typem produktu, ale s různou splatností/pákou.

Investiční kalkulačka

Historická data dostupná od  do 

Celková hodnota

0 EUR


calendar-icon

Opravte prosím zadání

0 EUR

až do 250.000 EUR

Počáteční investice představuje volitelný jednorázový vklad na začátku investičního období.

Opravte prosím zadání

0 EUR

až do 10.000 EUR

Pravidelná investice je pravidelný vklad v závislosti na vámi zadaném intervalu realizace vašeho investičního plánu.

Opravte prosím zadání

Dynamický nárůst investic představuje postupné procentuální zvyšování míry hodnoty – například za účelem vyrovnání působení inflace nebo urychlení tvorby bohatství.

Celková hodnota

Celková investice

Počáteční investice

Celková hodnota

0 EUR

Poznámka k modelovému výpočtu

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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