Invesco FTSE Emerging Markets High Dividend Low Volatility vs Länsförsäkringar Multistrategi

Invesco FTSE Emerging Markets High Dividend Low Volatility vs Länsförsäkringar Multistrategi

1. Invesco FTSE Emerging Markets High Dividend Low Volatility

  • Security

    Invesco FTSE Emerging Markets High Dividend Low Volatility UCITS ETF Dist

  • Fee

    0.49%

  • ISIN

    IE00BYYXBF44

  • Holdings

    6

2. Länsförsäkringar Multistrategi

  • Security

    Länsförsäkringar Multistrategi

  • Fee

    1.20%

  • ISIN

    SE0008962914

  • Holdings

    7

Fund Holdings

We have information about 7 holdings in Invesco FTSE Emerging Markets High Dividend Low Volatility, where the largest holding is Vedanta (3.17), followed by ČEZ (2.44) and CEMIG (1.91). In comparison with Länsförsäkringar Multistrategi, we have 7 holdings where Schroder Investment Fund Flexible Cat Bond A Acc USD is the largest holding (10.58), followed by SEB FRN Fond A (8.96) and Enter Cross Credit A (7.96).

All Holdings

Here we compare the holdings in Invesco FTSE Emerging Markets High Dividend Low Volatility and Länsförsäkringar Multistrategi.

Invesco FTSE Emerging Markets High Dividend Low Volatility Länsförsäkringar Multistrategi
1. Vedanta Ltd
India
3.17 %
1. Schroder Investment Fund Flexible Cat Bond A Acc USD
UK
10.58 %
2. ČEZ AS
Czech Republic
2.44 %
2. SEB FRN Fond A
Sweden
8.96 %
3. Companhia Energética de Minas Gerais ADR
Brazil
1.91 %
3. Enter Cross Credit A
Sweden
7.96 %
4. China Shenhua Energy Co Ltd Class H
China
1.9 %
4. iShares Physical Gold ETC
Ireland
3.21 %
5. China Petroleum & Chemical Corp Class H
China
1.73 %
5. Rheinmetall AG
Germany
0.66 %
6. Bancolombia SA ADR
Colombia
1.52 %
6. Roche Holding AG
Switzerland
0.65 %
- 7. Iberdrola SA
Spain
0.6 %

The list of fund holdings was last updated on April 17, 2025.