Allianz Global Artificial Intelligence vs Avanza Auto 1

Allianz Global Artificial Intelligence vs Avanza Auto 1

1. Allianz Global Artificial Intelligence

  • Security

    Allianz Global Artificial Intelligence AT EUR

  • Fee

    2.10%

  • ISIN

    LU1548497699

  • Holdings

    10

2. Avanza Auto 1

  • Security

    Avanza Auto 1

  • Fee

    0.35%

  • ISIN

    SE0009779655

  • Holdings

    15

Fund Holdings

We have information about 20 holdings in Allianz Global Artificial Intelligence, where the largest holding is Nvidia (8.56), followed by Broadcom (5.85) and Microsoft (5.63). In comparison with Avanza Auto 1, we have 18 holdings where AMF Räntefond Mix is the largest holding (14.72), followed by Danske Invest Sverige Kort Ränta SA (14.51) and Swedbank Robur Räntefond Kort A (14.5).

All Holdings

Here we compare the holdings in Allianz Global Artificial Intelligence and Avanza Auto 1.

Allianz Global Artificial Intelligence Avanza Auto 1
1. Nvidia Corp
USA
8.56 %
1. AMF Räntefond Mix
Sweden
14.72 %
2. Broadcom Inc
USA
5.85 %
2. Danske Invest Sverige Kort Ränta SA
Luxembourg
14.51 %
3. Microsoft Corp
USA
5.63 %
3. Swedbank Robur Räntefond Kort A
Sweden
14.5 %
4. Meta Platforms A
USA
3.78 %
4. Amundi Global AGG SRI UCITS I13HSK C
Luxembourg
13.47 %
5. Taiwan Semiconductor Manufacturing Company
Taiwan
3.57 %
5. Captor Aster Global Credit A
Sweden
8.88 %
6. Boston Scientific Corp
3.5 %
6. Captor Aster Global Credit Short-Term A
Sweden
8.71 %
7. Oracle Corp
3.45 %
7. Storebrand Global Företagsobligation A SEK
Sweden
4.37 %
8. JP Morgan Chase & Co
USA
3.04 %
8. Storebrand Global Plus A SEK
Sweden
4.22 %
9. Walt Disney Co
2.99 %
9. Avanza Global
Sweden
4.11 %
10. Tesla Inc
USA
2.63 %
10. Öhman Marknad Global A
Sweden
4.08 %
- 11. Handelsbanken Developed Markets Index Criteria A1 SEK
Sweden
4.07 %
- 12. Avanza Sverige
Sweden
2.01 %
- 13. Handelsbanken Amerika Små Tema A1 SEK
Sweden
0.55 %
- 14. Storebrand Emerging Markets Plus A SEK
Sweden
0.21 %
- 15. Öhman Emerging Markets A
Sweden
0.21 %

The list of fund holdings was last updated on July 27, 2025.