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RU000A103EX2 - BCS East-West (RU000A103EX2)

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(%)
Fonds d’investissement à capital fixe
Type de fonds
Formed
Status
BrokerCreditService Asset Management
Fournisseur
5.22 %
Ratio de coût total
Multi Asset
Objet d'investissement
Undefined
Secteur
Global
Géographie
Non
Qualified investor
169,15 RUB
valeur liquidative par action | 29/05/2026
56,21 mln RUB
Volume des actits de classe "actions" | 29/05/2026
13/08/2021
Date de lancement
RU000A103EX2
RU000A103EX2 ISIN
Non
Paiement de dividendes
CICXLU
CFI
RU000A103EX2
Ticker
Active
Management Style
Non
UCITS

Dernières données pour
Dernières données pour 29/05/2026
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Cotations (RU000A103EX2)

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1 000 000

obligations

80 234

actions

167 970

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80 000

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Fund profile

At the current moment the strategy of active fund management is primarily to sale the financial instruments, the dispose of which is limited, however the sale is based on their actual liquidity. The fund's assets may include: blocked assets of the former open-end fund of the same name, assets included in the fund in the process of the sale (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, claims to a credit institution to pay the cash equivalent of precious metals at the current rate, as well as assets included in the fund in connection with the implementation of trust management of property or investment rights.

RU000A103EX2 profile

The BCS East-West is a(n) Multi Asset Closed-End Investment Funds (CIF) seeks to invest in Undefined sector located in Global. The BrokerCreditService Asset Management fund’s base currency is USD and the share class was registered 13.08.2021 with unique ISIN - RU000A103EX2. Main exchange is Moscow Exchange and ticker symbol is RU000A103EX2. The total expense ratio is 5.22%. The BCS East-West pays dividends 0 time(s) per year.

Structure RU000A103EX2 au 30/04/2026

Titre Valeur
iShares Edge MSCI World Minimum Volatility UCITS ETF 44,52%
Xiaomi, ord. [KYG9830T1067] 6,73%
NetEase, ord. [KYG6427A1022] 3,93%
iShares China Large-Cap ETF (USD) [US4642871846] 3,54%
MTR Corporation, ord. [HK0066009694] 3,48%
Nongfu Spring, ord. [CNE100004272] 2,76%
Alibaba, ord. [KYG017191142] 2,68%
Bank of China (Hong Kong), ord. [HK2388011192] 2,59%
AIA Group, ord. [HK0000069689] 2,31%
Baidu, ord. [KYG070341048] 1,64%
Li Auto, ADR [US50202M1027] 1,49%
JD Health International, ord. [KYG5074A1004] 1,44%
Budweiser Brewing Company APAC, ord. [KYG1674K1013] 1,3%
JD.com, ord. [KYG8208B1014] 1,28%
Sun Hung Kai Properties, ord. [HK0016000132] 1,12%
ANTA Sports Products, ord. [KYG040111059] 1,01%
WuXi Biologics (Cayman), ord. [KYG970081173] 0,94%
Sands China, ord. [KYG7800X1079] 0,88%
Tencent Holdings, ord. [KYG875721634] 0,77%
China Construction Bank, ord. [CNE1000002H1] 0,74%
China Life Insurance, ord. [CNE1000002L3] 0,74%
Bank of China, ord. [CNE1000001Z5] 0,73%
ICBC, ord. [CNE1000003G1] 0,69%
Shenhua Energy Company, ord. [CNE1000002R0] 0,66%
Hong Kong Exchanges and Clearing, ord. [HK0388045442] 0,49%
PetroChina, ord. [CNE1000003W8] 0,49%
Galaxy Entertainment, ord. [HK0027032686] 0,44%
CITIC Ltd, ord. [HK0267001375] 0,43%
China Merchants Bank, ord. [CNE1000002M1] 0,38%
Ping An Insurance (Group), ord. [CNE1000003X6] 0,31%
China Petroleum and Chemical, ord. [CNE1000002Q2] 0,3%
China Overseas Land & Investment, ord. [HK0688002218] 0,27%
China Resources Beer (Holdings), ord. [HK0291001490] 0,24%
Aluminum Corporation of China Limited (Chalco), ord. [CNE1000001T8] 0,01%
Autres - %

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