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SBSP - The First - The American Stocks Fund (RU000A1006W1)

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(%)
Kapalı Uçlu Yatırım Fonları
Fon türü
Formed
Status
First Asset Management
Sağlayıcı
1.02 %
Toplam Maliyet Oranı
Equity
Yatırım kategorisi
Broad Market
Sektör
USA
Coğrafya
Hayır
Qualified investor
862,68 RUB
Hisse başına net varlık değeri | 30.04.2026
2.911,13 milyon RUB
Hisse senedi sınıfı varlıkları | 30.04.2026
03.04.2019
Başlangıç ​​tarihi
RU000A1006W1
SBSP ISIN
Hayır
Temettü ödemeleri
CICXLU
CFI
SBSP
Menkul değer sembolü
Active
Management Style
Hayır
UCITS

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1 000 000

tahvi̇ller

80 234

hisse senetleri

167 970

ETF & Funds

80 000

endeksler

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Fund profile

At the present moment the Providers aim is to sale of the Fund's portfolio at the best available price for the partial redemption of funds shares. The Fund may include only the assets acquired before the date of changing the Fund type to "closed-end", assets included in the Fund as the part of exchange of blocked assets, cash in rubles and foreign currency in accounts and deposits in Russian credit institutions and foreign banks, deposit certificates of Russian credit institutions and foreign banks, government securities of the Russian Federation and foreign states, and other assets included in the process of payments of funds expenses or implementation of investment rights.

SBSP profile

The The First - The American Stocks Fund is a(n) Equity Closed-End Investment Funds (CIF) seeks to invest in Broad Market sector located in USA. The First Asset Management fund’s base currency is RUB and the share class was registered 03.04.2019 with unique ISIN - RU000A1006W1. Main exchange is Moscow Exchange T+ and ticker symbol is SBSP. The total expense ratio is 1.02%. The The First - The American Stocks Fund pays dividends 0 time(s) per year.

Yapı SBSP on 31.03.2026

Menkul kıymet Değer
NVIDIA, ord. [US67066G1040] 8,51%
Apple, ord. [US0378331005] 7,93%
Microsoft, ord. [US5949181045] 7,24%
Amazon.com, ord. [US0231351067] 3,83%
Alphabet, ord. [US02079K1079] 3,53%
Alphabet, ord. [US02079K3059] 3,13%
Broadcom Inc, ord. [US11135F1012] 2,61%
Berkshire Hathaway, ord. [US0846707026] 2,39%
Tesla, ord. [US88160R1014] 2,28%
Meta Platforms, ord. [US30303M1027] 1,84%
JP Morgan, ord. [US46625H1005] 1,68%
Eli Lilly, ord. [US5324571083] 1,56%
Exxon Mobil, ord. [US30231G1022] 1,32%
Johnson&Johnson, ord. [US4781601046] 1,21%
Visa, ord. [US92826C8394] 1,07%
Walmart, ord. [US9311421039] 1%
Costco Wholesale, ord. [US22160K1051] 0,87%
Mastercard, ord. [US57636Q1040] 0,82%
Procter & Gamble, ord. [US7427181091] 0,77%
Chevron, ord. [US1667641005] 0,76%
The Home Depot, ord. [US4370761029] 0,74%
Bank of America Corporation, ord. [US0605051046] 0,69%
NetFlix, ord. [US64110L1061] 0,66%
Wells Fargo, ord. [US9497461015] 0,62%
AbbVie, ord. [US00287Y1091] 0,61%
Cisco Systems, ord. [US17275R1023] 0,6%
The Coca-Cola Company, ord. [US1912161007] 0,59%
Advanced Micro Devices, ord. [US0079031078] 0,59%
Merck & Co, ord. [US58933Y1055] 0,56%
UnitedHealth Group, ord. [US91324P1021] 0,55%
Goldman Sachs, ord. [US38141G1040] 0,55%
Micron Technology, ord. [US5951121038] 0,55%
Philip Morris International, ord. [US7181721090] 0,52%
Caterpillar, ord. [US1491231015] 0,48%
Oracle, ord. [US68389X1054] 0,47%
McDonalds, ord. [US5801351017] 0,46%
GE Aerospace, ord. [US3696043013] 0,45%
Morgan Stanley, ord. [US6174464486] 0,43%
PepsiCo, ord. [US7134481081] 0,43%
Lam Research, ord. [US5128073062] 0,42%
IBM, ord. [US4592001014] 0,42%
Applied Materials, ord. [US0382221051] 0,4%
Citigroup, ord. [US1729674242] 0,4%
Verizon Communications, ord. [US92343V1044] 0,38%
Pfizer, ord. [US7170811035] 0,38%
Intel, ord. [US4581401001] 0,36%
Walt Disney, ord. [US2546871060] 0,35%
Linde plc, ord. [IE000S9YS762] 0,34%
Salesforce, ord. [US79466L3024] 0,34%
QUALCOMM, ord. [US7475251036] 0,31%
GE Vernova, ord. [US36828A1016] 0,31%
Abbott Laboratories, ord. [US0028241000] 0,3%
AT&T Inc, ord. [US00206R1023] 0,3%
ServiceNow, ord. [US81762P1021] 0,29%
Thermo Fisher Scientific, ord. [US8835561023] 0,29%
ConocoPhillips, ord. [US20825C1045] 0,28%
S&P Global Inc, ord. [US78409V1044] 0,28%
RTX, ord. [US75513E1010] 0,26%
American Express Co, ord. [US0258161092] 0,24%
Adobe, ord. [US00724F1012] 0,24%
Amgen, ord. [US0311621009] 0,24%
Texas Instruments, ord. [US8825081040] 0,23%
Deere&Company, ord. [US2441991054] 0,23%
T-Mobile US, ord. [US8725901040] 0,23%
Booking Holdings, ord. [US09857L1089] 0,22%
Analog Devices, ord. [US0326541051] 0,22%
Intuitive, ord. [US46120E6023] 0,22%
NextEra Energy, ord. [US65339F1012] 0,22%
Gilead Sciences, ord. [US3755581036] 0,21%
Lockheed Martin, ord. [US5398301094] 0,2%
Honeywell International, ord. [US4385161066] 0,2%
Bristol Myers Squibb, ord. [US1101221083] 0,19%
Lowe's, ord. [US5486611073] 0,19%
Eaton Corp, ord. [IE00B8KQN827] 0,19%
3M Company, ord. [US88579Y1010] 0,19%
BlackRock, ord. [US09290D1019] 0,18%
Chubb Corp, ord. [CH0044328745] 0,18%
McKesson, ord. [US58155Q1031] 0,18%
Union Pacific, ord. [US9078181081] 0,18%
Medtronic Plc, ord. [IE00BTN1Y115] 0,17%
KLA Corporation, ord. [US4824801009] 0,17%
Comcast, ord. [US20030N1019] 0,17%
Stryker, ord. [US8636671013] 0,17%
Starbucks, ord. [US8552441094] 0,16%
Accenture, ord. [IE00B4BNMY34] 0,16%
Danaher, ord. [US2358511028] 0,16%
Progressive Corp, ord. [US7433151039] 0,16%
Parker-Hannifin, ord. [US7010941042] 0,16%
Freeport-McMoRan, ord. [US35671D8570] 0,16%
NIKE, ord. [US6541061031] 0,15%
HCA Healthcare, ord. [US40412C1018] 0,15%
Boeing, ord. [US0970231058] 0,15%
Corning, ord. [US2193501051] 0,15%
Altria Group, ord. [US02209S1033] 0,15%
Trane Technologies, ord. [IE00BK9ZQ967] 0,14%
Vertex Pharmaceutical, ord. [US92532F1003] 0,14%
TJX, ord. [US8725401090] 0,14%
Automatic Data Processing, ord. [US0530151036] 0,14%
Intuit, ord. [US4612021034] 0,14%
Northrop Grumman, ord. [US6668071029] 0,14%
Other - %

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