Estrategia del fondo
To increase the value of your investment over time through capital growth. The Investment Manager invests in equity securities that it believes align with and are positively exposed to Chinas policies to transition towards a net zero carbon economy, these equity securities being China Net Zero Solutions. Under normal market conditions, the Portfolio typically invests at least 80% of its assets in equity securities that the Investment Manager believes are China Net Zero Solutions. The issuers of China Net Zero Solutions are organised or have substantial business activities in China and may be of any market capitalisation and industry.
Evolución
Comisiones
Rentabilidades
Detalles del fondo
Distribución Geográfica
Distribución de cartera en las distintas regiones geográficas.
China | 96,74% | |
Hong kong | 3,26% |
Por inversiones
Distribución de las inversiones de este fondo.
Byd Co Ltd Ord | 4,62% |
Ganfeng Lithium Co Ltd Ord | 4,42% |
China Longyuan Power Group Corp Ltd Ord | 4,17% |
Shanghai Putailai New Energy Technology Co Ltd Ord | 3,86% |
China Yangtze Power Co Ltd Ord | 3,84% |
Nari Technology Co Ltd Ord | 3,60% |
Contemporary Amperex Technology Co Ltd Ord | 3,54% |
Nio Inc Ord | 3,50% |
Xinyi Energy Holdings Ltd Ord | 3,38% |
Kunlun Energy Company Ltd Ord | 3,26% |
Por sectores
Distribución de las posiciones de este fondo según el sector al que corresponden.
Industrials | 19,95% |
Utilities | 19,28% |
Consumer Cyclicals | 16,55% |
Basic Materials | 14,00% |
Energy | 13,38% |
Technology | 11,21% |
Non Classified Equity | 5,63% |