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Plus Mikrobolag Sverige Index (0P0001BMJT)

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158.608 +0.030    +0.02%
04/07 - Closed. Currency in SEK ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 471.24M
Type:  Fund
Market:  Sweden
Issuer:  FCG Fonder AB
ISIN:  SE0010323634 
Asset Class:  Equity
PLUS Mikrobolag Sverige Index 158.608 +0.030 +0.02%

0P0001BMJT Holdings

 
Comprehensive information about top holdings and Key Holding Information for the PLUS Mikrobolag Sverige Index (0P0001BMJT) fund. Our PLUS Mikrobolag Sverige Index portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

Asset Allocation

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Name  Net %  Long %  Short %
Cash 0.180 0.180 0.000
Shares 99.820 99.820 0.000

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio 13.616 21.595
Price to Book 1.033 2.621
Price to Sales 0.379 1.819
Price to Cash Flow 5.633 13.929
Dividend Yield 1.680 1.679
5 Years Earnings Growth 2.282 12.616

Sector Allocation

Name  Net % Category Average
Industrials 22.630 36.967
Healthcare 19.130 13.827
Real Estate 12.900 11.194
Consumer Cyclical 12.650 7.700
Technology 11.270 14.060
Financial Services 9.230 6.280
Communication Services 5.230 4.978
Utilities 2.610 0.699
Basic Materials 2.080 5.900
Energy 1.560 0.540
Consumer Defensive 0.700 5.480

Region Allocation

  • Europe Developed
  • Developed Markets

Top Holdings

Number of long holdings: 150

Number of short holdings: 0

Name ISIN Weight % Last Change %
  ITAB Shop Concept B SE0015962097 3.58 25.3 +0.40%
  Fastighets Trianon SE0018013658 2.41 20.10 +1.01%
Viaplay Group AB Class B SE0012116390 2.35 - -
  Fastighetsbolaget Emilshus AB SE0016785786 2.02 39.40 +2.34%
  Nobia AB SE0000949331 2.02 4.56 0.00%
  VNV Global AB SE0014428835 2.00 26.72 -0.67%
  Logistea AB SE0017131337 1.94 15.10 -0.40%
  Vestum AB SE0017134125 1.92 9.190 -0.54%
  Bonava B SE0008091581 1.74 8.31 -0.72%
  Rejlers AB SE0000123671 1.73 155.00 0.00%

Top Equity Funds by FCG Fonder AB

  Name Rating Total Assets YTD% 3Y% 10Y%
  SE0014991535 2.08B 12.24 5.86 -
  SE0010323642 1.28B 11.57 0.51 -
  FondNavigator 0-100 1.07B 15.33 3.97 -
  SE0016798805 526.68M 0.37 - -
  SP Aktiv - Offensiv 201.72M -5.48 6.10 -
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