Kursinformationen zu AQR Emerging Equity Extension UCITS Fund IAU1F USD

AQR Emerging Equity Extension UCITS Fund IAU1F USD
Valor 47348707
218.47USD-2.95USD-1.33%
28.09.2026
Kursdaten28.09.2026
NAV in CHF
218.47
Tagesveränderung relativ
-1.33%
Tagesveränderung absolut
-2.95
NAV Vortag
221.42
Letzter Handel
28.09.2026
Konditionen
Ausgabekommissionen
+0.00%
Verwaltungsgebühr
+0.85%
OGC
0.00 %
Dokumente
Monatsbericht
-
Halbjahresbericht
-
Jahresbericht
-
Vollständiger Fondsprospekt
-
Gesetzl. Publikationen
PDF
Fondsstrategie

The Fund´s investment objective is to outperform the MSCI Emerging Markets Total Return Index with Net Dividends Unhedged in USD Index (the "Benchmark"). The Fund aims to have a longterm average forecasted tracking error (measure of the deviation from the Benchmark) of 3% to 5% relative to the Benchmark. To achieve its objective, the Fund will use various strategies based on value, momentum and additional economic factors based on stock and industry selection models. "Value" strategies seek investments that seem to be incorrectly valued by the market and therefore have the potential to increase in value when the market corrects its error in valuation. "Momentum" strategies seek to capture the tendency that an asset´s recent performance will continue in the near future. The Fund will invest mainly in equity securities either directly or indirectly using financial instruments (derivatives). The Fund promotes environmental, social and governance ("ESG") characteristics and takes ESG factors into account, such as by excluding approximately 10% of companies with the weakest ESG scores and fossil-fuels related stock from the long side of the portfolio. In light of the integration of ESG factors applied to the investment strategy, the Fund discloses in accordance with Article 8 of the Regulation (EU) 2019/2088 on sustainability-related disclosures in the financial services sector. A portion of the Fund´s assets may be held in cash or cash-equivalent investments, including short-term investment funds. The Fund generally invests in large and medium companies included in the Benchmark or located in countries included in the Benchmark at the time of purchase. The Fund may hold long and short positions. This means that the Fund may hold positions directly, the value of which will rise or fall based on their market value (long positions) and use financial instruments (derivatives) in order to benefit from the decline in value of investments (short positions).

Kursentwicklung / Kennzahlen
ZeitraumPerformanceVolatilitätSharpe RatioBester MonatSchlecht. MonatMax Verlust
YTD+36.68%+25.62%+1.94%+14.23%-10.86%-13.30%
6 Monate+33.56%+25.95%+2.93%+14.23%-10.86%-12.95%
1 Jahr+44.19%+23.49%+1.78%+14.23%-10.86%-13.30%
3 Jahre---+14.23%-10.86%-
5 Jahre------
Stammdaten
ISIN
LU1978636410
Valor
47348707
Währung
USD
Fondstyp
Alternative Investm.
Ertragsart
thesaurierend
Anlageschwerpunkt
AI Hedgefonds Single Strategy
Anlageregion
Emerging Markets
Domizil
-
Vertriebszulassung
Luxemburg
Auflagedatum
02.05.2019
Fondsvolumen
-
Geschäftsjahresbeginn
01.04.2026
Benchmark
-
Fondsgesellschaft
FundRock M. Co.
Grösste Positionen
TSMC
8.95 %
Samsung Elec
8.68 %
SK Hynix
4.89 %
KBFinancialGroup
2.00 %
Sinotruk HK
1.79 %
Fondszusammensetzung nach Branchen
Informationstechnologie
35.06 %
Finanzen
28.88 %
Telekomdienste
10.36 %
Industrie
8.86 %
Konsumgüter zyklisch
8.47 %
Energie
2.99 %
Rohstoffe
1.99 %
Konsumgüter
1.39 %
Versorger
1.20 %
Immobilien
0.80 %