AMF Aktiefond Tillväxtmarknader SE0013110798
ägs av AMF Fonder AB
Snabbtitt
Förmögenhet
2 087 071 252,00 krLikvida medel
77 037 803,00 krAntal innehav
151Risk
-Avgift
0.40Innehav
- Namn Antal Förmögenhet Andel förmögenhet
- ALIBABA GROUP HOLDING LTD KYG017191142 816700 197 866 170,38 kr 8.87%
- TAIWAN SEMICONDUCTOR MANUFAC TW0002330008 981000 179 160 061,24 kr 8.03%
- TENCENT HOLDINGS LTD KYG875721634 275900 177 439 726,51 kr 7.96%
- MEITUAN-CLASS B KYG596691041 189300 66 792 766,70 kr 2.99%
- RELIANCE INDUSTRIES LTD INE002A01018 243297 59 083 217,09 kr 2.65%
- NASPERS LTD-N SHS ZAE000015889 28042 50 356 235,14 kr 2.26%
- MEDIATEK INC TW0002454006 169000 49 901 891,29 kr 2.24%
- CHAILEASE HOLDING CO LTD KYG202881093 656000 40 774 072,99 kr 1.83%
- TAIWAN SEMICONDUCTOR-SP ADR US8740391003 38143 39 196 751,64 kr 1.76%
- INFOSYS LTD INE009A01021 210409 38 269 465,65 kr 1.72%
- CHINA CONSTRUCTION BANK-H CNE1000002H1 5534000 37 236 313,40 kr 1.67%
- LG CHEM LTD KR7051910008 5756 37 155 138,29 kr 1.67%
- WUXI BIOLOGICS CAYMAN INC KYG970081173 208500 32 673 621,31 kr 1.46%
- HOUSING DEVELOPMENT FINANCE INE001A01036 109658 31 229 896,77 kr 1.4%
- NAVER CORP KR7035420009 8656 27 444 346,80 kr 1.23%
- TATA CONSULTANCY SVCS LTD INE467B01029 68787 26 479 575,25 kr 1.19%
- NIO INC - ADR US62914V1061 54882 24 969 903,92 kr 1.12%
- PING AN INSURANCE GROUP CO-H CNE1000003X6 293000 24 538 790,37 kr 1.1%
- SK HYNIX INC KR7000660001 23237 22 499 321,10 kr 1.01%
- KB FINANCIAL GROUP INC KR7105560007 49995 21 185 559,73 kr 0.95%
- XINJIANG GOLDWIND SCI&TEC-H CNE100000PP1 1549800 20 719 566,04 kr 0.93%
- SAMSUNG ELECTRONICS CO LTD KR7005930003 33639 20 615 590,68 kr 0.92%
- LUKOIL PJSC RU0009024277 25800 20 408 280,16 kr 0.92%
- CHUNGHWA TELECOM CO LTD TW0002412004 560000 19 595 128,12 kr 0.88%
- MOBILE TELESYSTEMS-SP ADR US6074091090 237823 18 833 895,20 kr 0.84%
- ALIBABA GROUP HOLDING-SP ADR US01609W1027 9443 18 314 288,46 kr 0.82%
- TENCENT HOLDINGS LTD-UNS ADR US88032Q1094 27487 17 700 992,91 kr 0.79%
- LG ELECTRONICS INC KR7066570003 13942 17 310 994,03 kr 0.78%
- DELTA ELECTRONICS INC TW0002308004 186000 17 298 593,84 kr 0.78%
- GEELY AUTOMOBILE HOLDINGS LT KYG3777B1032 637000 17 151 598,73 kr 0.77%
- TAIWAN MOBILE CO LTD TW0003045001 542000 16 968 938,96 kr 0.76%
- LI NING CO LTD KYG5496K1242 157500 16 442 778,53 kr 0.74%
- BANCO BRADESCO SA-PREF BRBBDCACNPR8 373912 16 397 091,69 kr 0.74%
- CATHAY FINANCIAL HOLDING CO TW0002882008 952000 15 750 013,95 kr 0.71%
- HINDUSTAN UNILEVER LTD INE030A01027 54849 15 595 716,86 kr 0.7%
- KAKAO CORP KR7035720002 12520 15 497 837,55 kr 0.69%
- SHENZHOU INTERNATIONAL GROUP KYG8087W1015 66300 14 317 837,66 kr 0.64%
- BYD CO LTD-H CNE100000296 55000 14 064 076,39 kr 0.63%
- HCL TECHNOLOGIES LTD INE860A01027 123039 13 922 855,50 kr 0.62%
- SAMSUNG SDI CO LTD KR7006400006 2598 13 771 261,99 kr 0.62%
- FUBON FINANCIAL HOLDING CO TW0002881000 587000 13 314 895,70 kr 0.6%
- AB IGNITIS GRUPE - REG S GDR US66981G2075 63730 13 314 796,01 kr 0.6%
- B3 SA-BRASIL BOLSA BALCAO BRB3SAACNOR6 458000 13 129 527,74 kr 0.59%
- QATAR NATIONAL BANK QA0006929895 284700 12 003 462,79 kr 0.54%
- E.SUN FINANCIAL HOLDING CO TW0002884004 1470908 11 873 984,77 kr 0.53%
- PRESIDENT CHAIN STORE CORP TW0002912003 136000 10 978 673,91 kr 0.49%
- POLYMETAL INTERNATIONAL PLC JE00B6T5S470 58985 10 927 431,31 kr 0.49%
- CHINA MERCHANTS BANK-H CNE1000002M1 147500 10 761 287,02 kr 0.48%
- AXIS BANK LTD INE238A01034 122562 10 552 193,42 kr 0.47%
- COUNTRY GARDEN SERVICES HOLD KYG2453A1085 114000 10 533 025,22 kr 0.47%
- HELLENIC TELECOMMUN ORGANIZA GRS260333000 72985 10 474 020,77 kr 0.47%
- TRIP.COM GROUP LTD-ADR US89677Q1076 33966 10 300 503,31 kr 0.46%
- NOVATEK PJSC-SPONS GDR REG S US6698881090 5456 10 232 654,32 kr 0.46%
- WIPRO LTD INE075A01022 155704 9 775 187,31 kr 0.44%
- FOMENTO ECONOMICO MEXICA-UBD MXP320321310 130500 9 424 294,91 kr 0.42%
- OOREDOO QPSC QA0007227737 547143 9 375 205,04 kr 0.42%
- REMGRO LTD ZAE000026480 129563 8 893 049,91 kr 0.4%
- HOTAI MOTOR COMPANY LTD TW0002207008 46000 8 669 248,10 kr 0.39%
- LG HOUSEHOLD & HEALTH CARE KR7051900009 606 8 108 820,73 kr 0.36%
- BANK CENTRAL ASIA TBK PT ID1000109507 455200 8 087 868,42 kr 0.36%
- FIRST ABU DHABI BANK PJSC AEN000101016 205563 7 992 783,77 kr 0.36%
- PUBLIC BANK BERHAD MYL1295OO004 940500 7 962 893,16 kr 0.36%
- UNITED MICROELECTRONICS CORP TW0002303005 486000 7 921 109,55 kr 0.36%
- KGHM POLSKA MIEDZ SA PLKGHM000017 18649 7 861 339,46 kr 0.35%
- SM INVESTMENTS CORP PHY806761029 44365 7 768 645,23 kr 0.35%
- NESTLE (MALAYSIA) BERHAD MYL4707OO005 27300 7 496 577,98 kr 0.34%
- COCA-COLA FEMSA SAB DE CV MX01KO000002 163490 7 406 504,36 kr 0.33%
- LOCALIZA RENT A CAR BRRENTACNOR4 67450 7 357 318,61 kr 0.33%
- LI AUTO INC - ADR US50202M1027 24500 7 320 896,96 kr 0.33%
- CEMEX SAB-CPO MXP225611567 1010100 7 297 657,98 kr 0.33%
- LENOVO GROUP LTD HK0992009065 722000 7 100 271,71 kr 0.32%
- KINGDEE INTERNATIONAL SFTWR KYG525681477 243000 7 051 365,15 kr 0.32%
- FIRSTRAND LTD ZAE000066304 215636 6 921 339,31 kr 0.31%
- CHINA STEEL CORP TW0002002003 565000 6 867 503,08 kr 0.31%
- ENEL AMERICAS SA CLP371861061 5262870 6 663 763,39 kr 0.3%
- SINO BIOPHARMACEUTICAL KYG8167W1380 765500 6 423 718,16 kr 0.29%
- CHINA OVERSEAS LAND & INVEST HK0688002218 330000 6 410 602,26 kr 0.29%
- CP ALL PCL-NVDR TH0737010R15 396100 6 339 687,92 kr 0.28%
- AIRPORTS OF THAILAND PC-NVDR TH0765010R16 382300 6 322 775,69 kr 0.28%
- TENCENT MUSIC ENTERTAINM-ADR US88034P1093 47148 6 241 795,57 kr 0.28%
- CHINA MENGNIU DAIRY CO KYG210961051 120000 6 204 448,08 kr 0.28%
- VIPSHOP HOLDINGS LTD - ADR US92763W1036 35580 6 110 052,78 kr 0.27%
- UNILEVER INDONESIA TBK PT ID1000095706 2058100 6 008 643,53 kr 0.27%
- ANGLO AMERICAN PLATINUM LTD ZAE000013181 5911 5 839 487,04 kr 0.26%
- GOLD FIELDS LTD ZAE000018123 75324 5 792 733,05 kr 0.26%
- NAN YA PLASTICS CORP TW0001303006 222000 5 669 327,29 kr 0.25%
- GENSCRIPT BIOTECH CORP KYG3825B1059 150000 5 599 861,28 kr 0.25%
- ALIBABA HEALTH INFORMATION T BMG0171K1018 294000 5 575 281,36 kr 0.25%
- CHINA VANKE CO LTD-H CNE100001SR9 207000 5 539 402,60 kr 0.25%
- SK INNOVATION CO LTD KR7096770003 2434 5 462 069,61 kr 0.24%
- INFOSYS LTD-SP ADR US4567881085 29959 5 429 171,73 kr 0.24%
- CTBC FINANCIAL HOLDING CO LT TW0002891009 769000 5 358 058,19 kr 0.24%
- ENN ENERGY HOLDINGS LTD KYG3066L1014 32900 5 354 965,09 kr 0.24%
- MALAYAN BANKING BHD MYL1155OO000 316873 5 293 907,60 kr 0.24%
- FALABELLA SA CLP3880F1085 137672 5 285 978,85 kr 0.24%
- LOJAS RENNER S.A. BRLRENACNOR1 69400 5 231 594,15 kr 0.23%
- PTT GLOBAL CHEMICAL PCL-NVDR TH1074010R12 331300 5 214 170,58 kr 0.23%
- BID CORP LTD ZAE000216537 27858 5 165 948,00 kr 0.23%
- KLABIN SA - UNIT BRKLBNCDAM18 113200 5 081 826,50 kr 0.23%
- SM PRIME HOLDINGS INC PHY8076N1120 782500 5 003 791,62 kr 0.22%
- TITAN CO LTD INE280A01028 24758 4 935 145,49 kr 0.22%
- UNI-PRESIDENT ENTERPRISES CO TW0001216000 219000 4 920 513,47 kr 0.22%
- EICHER MOTORS LTD INE066A01021 15601 4 794 704,78 kr 0.21%
- GREAT WALL MOTOR COMPANY-H CNE100000338 169500 4 685 217,27 kr 0.21%
- MULTICHOICE GROUP LTD ZAE000265971 66546 4 676 846,93 kr 0.21%
- VODACOM GROUP LTD ZAE000132577 60026 4 629 554,66 kr 0.21%
- KOMERCNI BANKA AS CZ0008019106 15238 4 586 382,00 kr 0.21%
- POLYUS PJSC RU000A0JNAA8 2753 4 565 155,48 kr 0.2%
- CENTRAL PATTANA PCL-NVDR TH0481010R10 321400 4 501 082,39 kr 0.2%
- TELEFONICA BRASIL S.A. BRVIVTACNOR0 59900 4 287 792,38 kr 0.19%
- CIMB GROUP HOLDINGS BHD MYL1023OO000 448401 4 258 314,81 kr 0.19%
- LEE & MAN PAPER MANUFACTURIN KYG5427W1309 618000 4 022 187,09 kr 0.18%
- WEG SA BRWEGEACNOR0 68200 3 916 003,05 kr 0.18%
- XPENG INC - ADR US98422D1054 10100 3 836 853,68 kr 0.17%
- AMOREPACIFIC CORP KR7090430000 1945 3 722 196,68 kr 0.17%
- BANCO SANTANDER BRASIL-UNIT BRSANBCDAM13 53700 3 706 695,79 kr 0.17%
- CYFROWY POLSAT SA PLCFRPT00013 54807 3 686 211,58 kr 0.17%
- NEDBANK GROUP LTD ZAE000004875 35756 3 659 315,58 kr 0.16%
- HARTALEGA HOLDINGS BHD MYL5168OO009 236900 3 586 928,06 kr 0.16%
- OTP BANK PLC HU0000061726 7775 3 585 048,61 kr 0.16%
- ADVANCED INFO SERVICE-NVDR TH0268010R11 78500 3 580 779,30 kr 0.16%
- STANDARD BANK GROUP LTD ZAE000109815 46684 3 568 107,13 kr 0.16%
- AAC TECHNOLOGIES HOLDINGS IN KYG2953R1149 54500 3 487 056,20 kr 0.16%
- ABU DHABI COMMERCIAL BANK AEA000201011 216540 3 463 630,18 kr 0.16%
- IMPALA PLATINUM HOLDINGS LTD ZAE000083648 24139 3 404 684,40 kr 0.15%
- ADANI GREEN ENERGY LTD INE364U01010 25803 3 339 606,35 kr 0.15%
- SANLAM LTD ZAE000070660 89729 3 298 177,83 kr 0.15%
- KASIKORNBANK PCL-NVDR TH0016010R14 102500 3 226 395,92 kr 0.14%
- GROWTHPOINT PROPERTIES LTD ZAE000179420 352740 3 147 937,46 kr 0.14%
- POWSZECHNY ZAKLAD UBEZPIECZE PLPZU0000011 37827 3 118 605,18 kr 0.14%
- SIAM CEMENT PCL-NVDR TH0003010R12 26900 3 099 900,93 kr 0.14%
- NOTRE DAME INTERMED PAR SA BRGNDIACNOR2 20900 3 025 276,31 kr 0.14%
- THAI OIL PCL-NVDR TH0796010R11 207500 3 016 660,18 kr 0.14%
- ASIAN PAINTS LTD INE021A01026 8715 3 000 832,36 kr 0.13%
- SHOPRITE HOLDINGS LTD ZAE000012084 32198 2 997 621,54 kr 0.13%
- YADEA GROUP HOLDINGS LTD KYG9830F1063 162000 2 979 324,43 kr 0.13%
- CCR SA BRCCROACNOR2 128900 2 954 832,30 kr 0.13%
- POLSKI KONCERN NAFTOWY ORLEN PLPKN0000018 17061 2 942 693,45 kr 0.13%
- SICHUAN CHUANTOU ENERGY CO-A CNE000000BQ0 175025 2 856 595,94 kr 0.13%
- MINOR INTERNATIONAL PCL-NVDR TH0128010R17 354087 2 833 629,23 kr 0.13%
- SINOTRANS LIMITED-A CNE100003GS8 416200 2 782 140,80 kr 0.12%
- CLICKS GROUP LTD ZAE000134854 18528 2 726 472,61 kr 0.12%
- MOL HUNGARIAN OIL AND GAS PL HU0000153937 36750 2 504 372,85 kr 0.11%
- COMMERCIAL INTERNATIONAL BAN EGS60121C018 86986 2 472 788,69 kr 0.11%
- SAMSUNG FIRE & MARINE INS KR7000810002 1380 2 310 823,90 kr 0.1%
- ABSA GROUP LTD ZAE000255915 28241 2 295 667,78 kr 0.1%
- CHINA GAS HOLDINGS LTD BMG2109G1033 81200 2 119 291,46 kr 0.1%
- BANGKOK DUSIT MED SERVI-NVDR TH0264010R10 285800 1 753 484,16 kr 0.08%
- UPL LTD INE628A01036 17204 1 569 392,68 kr 0.07%
- BHARAT PETROLEUM CORP LTD INE029A01011 19031 1 024 970,60 kr 0.05%