Asset allocation


Total NAV 539.41 mln (Euro)

Update date: 4/30/2026

Currency allocation

  United States Dollar 55.61%
  Euro 22.56%
  Japanese Yen 8.46%
  British Pound 2.70%
  Swiss Franc 2.49%
  Danish Krone 1.86%
  Hong Kong Dollar 1.77%
  Swedish Krona 1.46%
  Non definito 1.13%
  South Korean Won 0.74%
  Canadian Dollar 0.49%
  Australian Dollar 0.39%
  Singapore Dollar 0.19%
  Norwegian Krone 0.14%

Update date: 3/31/2026

Geographical allocation

North America 52.73%
Europe 34.59%
Asia Pacific 9.00%
World / Multiple areas 3.66%

Update date: 3/31/2026


Sector allocation

  INDUSTRIALS 28.32%
  Health Care 17.08%
  INFORMATION TECHNOLOGY 13.30%
  Consumer Discretionary 11.87%
  Service - utilities 7.50%
  TELECOMMUNICATION 4.94%
  MATERIALS & COMMODITIES 3.97%
  Consumer Staples 3.80%
  Cash 3.66%
  Not Available 2.38%
  Real Estate 1.18%
  SOVEREIGN BONDS 0.88%
  FINANCIALS 0.74%
  CONSTRUCTION 0.37%

Update date: 3/31/2026

Top Ten holdings

NVIDIA Corp   7.85%
Mastercard Inc   2.25%
Visa Inc   2.25%
JPY   1.97%
AbbVie Inc   1.45%
USD   1.32%
Home Depot Inc/The   1.25%
Salesforce Inc   1.25%
Merck & Co Inc   1.21%
Allineamento NAV   -3.14%

Update date: 3/31/2026


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