Nordnet Nye Markeder Indeks DKK vs Storebrand Global Low Volatility B SEK

Nordnet Nye Markeder Indeks DKK vs Storebrand Global Low Volatility B SEK

1. Nordnet Nye Markeder Indeks DKK

  • Security

    Nordnet Nye Markeder Indeks DKK

  • Fee

    0.40%

  • ISIN

    IE00BMTD2T68

  • Holdings

    24

  • Number of owning funds

    3

2. Storebrand Global Low Volatility B SEK

  • Security

    Storebrand Global Low Volatility B SEK

  • Fee

    0.72%

  • ISIN

    SE0006964649

  • Holdings

    25

Fund Holdings

We have information about 30 holdings in Nordnet Nye Markeder Indeks DKK, where the largest holding is TSMC (15.52), followed by Tencent (8.82) and Alibaba Group Holding Ltd (5.44). In comparison with Storebrand Global Low Volatility B SEK, we have 25 holdings where CME is the largest holding (2.54), followed by Fox (2.53) and Cisco (2.46).

All Holdings

Here we compare the holdings in Nordnet Nye Markeder Indeks DKK and Storebrand Global Low Volatility B SEK.

Nordnet Nye Markeder Indeks DKK Storebrand Global Low Volatility B SEK
1. Taiwan Semiconductor Manufacturing Company
Taiwan
15.52 %
1. CME Group Inc
USA
2.54 %
2. Tencent Holdings Ltd
China
8.82 %
2. Fox Corp
USA
2.53 %
3. Alibaba Group Holding Ltd
China
5.44 %
3. Cisco Systems Inc
USA
2.46 %
4. HDFC Bank Ltd ADR
India
2.86 %
4. Check Point Software Technologies Ltd
Israel USA
2.43 %
5. Reliance Industries Ltd
India
2.25 %
5. Juniper Networks Inc
USA
2.4 %
6. China Construction Bank Corp Class H
China
1.76 %
6. Cognizant Technology Solutions Corp
USA
2.37 %
7. MediaTek Inc
Taiwan
1.43 %
7. Cencora Inc
USA
2.36 %
8. Infosys Ltd
India
1.31 %
8. DBS Group Holdings Ltd
Singapore
2.31 %
9. BYD Co Ltd Class H
China
1.3 %
9. Redeia Corporacion SA
Spain
2.3 %
10. Bharti Airtel Ltd
India
1.26 %
10. Verizon Communications Inc
USA
2.18 %
11. Industrial and Commercial Bank of China Ltd Class H
China
1.06 %
11. Illinois Tool Works Inc
USA
2.18 %
12. Naspers Ltd
South Africa
0.99 %
12. Hartford Insurance Group Inc
USA
2.18 %
13. NetEase ADR
China
0.92 %
13. Japan Real Estate Investment Corp
Japan
2.09 %
14. Saudi Ceramic Co
Saudi Arabia
0.87 %
14. Novartis AG
Switzerland
2.06 %
15. Itau Unibanco Banco SA
Brazil
0.74 %
15. Visa Inc
USA
2.04 %
16. Mahindra & Mahindra Ltd
India
0.72 %
16. Pfizer Inc
USA
2.03 %
17. Axis Bank Ltd
India
0.71 %
17. Automatic Data Processing Inc
USA
2.02 %
18. Kotak Mahindra Bank Ltd
India
0.63 %
18. Merck & Co Inc
Germany
1.98 %
19. Kuwait Finance House Plc
Kuwait
0.58 %
19. Gilead Sciences Inc
USA
1.88 %
20. Baidu Inc
China
0.56 %
20. Accenture Plc
Ireland
1.82 %
21. KB Financial Group Inc
South Korea
0.53 %
21. Linde Plc
Ireland
1.8 %
22. Emaar Properties PJSC
United Arab Emirates
0.52 %
22. Electronic Arts Inc
USA
1.77 %
23. Hindustan Unilever Ltd
India
0.51 %
23. Western Union Company
USA
1.76 %
24. Grupo Financiero Banorte SAB de CV
Mexico
0.5 %
24. HP Inc
USA
1.75 %
- 25. Microsoft Corp
USA
1.69 %

The list of fund holdings was last updated on June 5, 2025.