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onemarkets Fidelity Longevity & Leisure Fund M

ISIN
LU3046598747
WKN
A4169A
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 SECTORS
Name Percentage
Electronics And Semiconductors
11.45%
Energy And Water Supply
11.34%
Financial - Investment - Other Diversified Comp.
1.94%
Electrical Appliances And Components
4.42%
Building Materials And Building Industry
1.31%
Insurance Companies
10.79%
Mechanical Engineering And Industrial Equip.
5.85%
Food And Soft Drinks
1.60%
Office Supplies And Computing
4.58%
Retail Trade And Department Stores
5.99%
Traffic And Transportation
0.00%
Forestry - Paper - Forest Products
1.09%
Pharmaceuticals - Cosmetics - Med. Products
10.65%
Telecommunication
4.43%
Countries And Central Governments
5.02%
Textiles - Garments - Leather Goods
1.48%
Internet - Software - It Services
14.46%
Mortgage - Funding Institutions (Mba-Abs)
0.00%
Biotechnology
1.24%
Graphics - Publishing - Printing Media
1.61%
Chemicals
0.49%
Show more
Top holdings
Name Percentage
ASTRAZENECA PLC
1.33%
SALESFORCE INC
1.76%
BAYER AG-REG
0.49%
TELUS CORP
0.01%
NEXANS SA
1.31%
BRISTOL-MYERS SQUIBB CO
0.75%
SIEMENS ENERGY AG
2.17%
AMERICAN INTERNA
0.00%
TELUS (NON CANADIAN)
1.43%
NRG ENERGY INC
2.33%
GREAT-WEST LIFECO INC
1.01%
ANTA SPORTS PRODUCTS LTD
1.48%
VEOLIA ENVIRONNEMENT
1.63%
IQVIA HOLDINGS INC
0.42%
MARSH & MCLENNAN COS
1.49%
CONTEMPORARY AMPEREX TECHN-H
2.70%
GILEAD SCIENCES INC
0.90%
CIENA CORP
1.42%
SPOTIFY TECHNOLOGY SA
1.61%
ZOOM COMMUNICATIONS INC
1.57%
APPLE INC
4.58%
ARTHUR J GALLAGHER & CO
1.16%
AALBERTS NV
0.98%
MEDTRONIC PLC
0.69%
CHINA MENGNIU DAIRY CO
1.60%
BIOMERIEUX
0.36%
NXP SEMICONDUCTORS NV
1.56%
NVIDIA CORP
4.55%
INNOVENT BIOLOGICS INC
0.39%
MICROSOFT CORP
4.52%
NORFOLK SOUTHERN
0.00%
ROCKWOOL A/S-B SHS
1.31%
NEXTERA ENERGY INC
2.30%
TENCENT HOLDINGS LTD
2.28%
PROGRESSIVE CORP
1.81%
AON PLC-CLASS A
1.30%
STELLA-JONES INC
1.09%
NOVARTIS AG-REG
1.38%
NXP SEMICONDUCTO
0.01%
ROCHE HOLDING AG
1.38%
SHIMADZU CORP
1.44%
WILLIS TOWERS WA
0.00%
SAMSUNG ELECTR-GDR REG S
2.38%
GARMIN LTD
1.50%
AVIVA PLC
0.82%
APOLLO GLOBAL MA
0.00%
CANON INC
1.51%
DEXCOM INC
0.38%
METLIFE INC
1.06%
LI NING CO LTD
1.42%
ARCH CAPITAL GROUP LTD
0.92%
SSE PLC
3.22%
CSX CORP
0.00%
LEGRAND SA
1.61%
SAMSARA INC-CL A
1.47%
INSULET CORP
0.34%
ALLSTATE CORP
0.00%
VESTAS WIND SYSTEMS A/S
1.86%
CSPC PHARMACEUTICAL GROUP LT
0.39%
TERUMO CORP
0.39%
UNITED STATES TREASURY BILL ZCP 25-06-26
5.02%
BROWN & BROWN INC
0.77%
BOSTON SCIENTIFIC CORP
0.60%
ALPHABET INC-CL A
4.43%
PRUDENTIAL PLC
0.91%
ELANCO ANIMAL HEALTH INC
1.45%
AMAZON.COM INC
4.56%
WILLIS TOWERS WATSON PLC
0.84%
STANDARD LIFE PLC
0.64%
QUEST DIAGNOSTICS INC
0.39%
QIAGEN N.V.
0.35%
META PLATFORMS-A
0.00%
Show more
FUND STRUCTURE BY REGIONS
Name Percentage
HKG
0.90%
NLD
2.89%
KOR
2.38%
CHN
10.25%
CHE
4.26%
SWE
1.61%
DNK
3.17%
BMU
0.92%
JPN
3.34%
CAN
3.55%
FRA
4.91%
USA
50.03%
GBR
8.16%
IRL
0.69%
DEU
2.66%
Show more
FUND STRUCTURE BY CURRENCY
Name Percentage
USD
60.84%
JPY
3.34%
HKD
10.25%
GBP
6.92%
DKK
3.17%
EUR
8.90%
CHF
2.76%
CAD
3.55%
INVESTMENT RATIO
Name Percentage
Cash Ratio
0.05%

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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