Storebrand Global Low Volatility B SEK vs iShares EM Dividend

Storebrand Global Low Volatility B SEK vs iShares EM Dividend

1. Storebrand Global Low Volatility B SEK

  • Security

    Storebrand Global Low Volatility B SEK

  • Fee

    0.72%

  • ISIN

    SE0006964649

  • Holdings

    25

2. iShares EM Dividend

  • Security

    iShares EM Dividend UCITS ETF USD Dist

  • Fee

    0.65%

  • ISIN

    IE00B652H904

  • Holdings

    26

Fund Holdings

We have information about 25 holdings in Storebrand Global Low Volatility B SEK, where the largest holding is CME (2.54), followed by Fox (2.53) and Cisco (2.46). In comparison with iShares EM Dividend, we have 26 holdings where Petróleo Brasileiro is the largest holding (5.91), followed by Vale (3.61) and Evergreen Marine Corp (3.39).

All Holdings

Here we compare the holdings in Storebrand Global Low Volatility B SEK and iShares EM Dividend.

Storebrand Global Low Volatility B SEK iShares EM Dividend
1. CME Group Inc
USA
2.54 %
1. Petróleo Brasileiro SA
Brazil
5.91 %
2. Fox Corp
USA
2.53 %
2. Vale SA ADR
Brazil
3.61 %
3. Cisco Systems Inc
USA
2.46 %
3. Evergreen Marine Corp
Taiwan
3.39 %
4. Check Point Software Technologies Ltd
Israel USA
2.43 %
4. Industrial and Commercial Bank of China Ltd Class H
China
3.31 %
5. Juniper Networks Inc
USA
2.4 %
5. China Construction Bank Corp Class H
China
3.17 %
6. Cognizant Technology Solutions Corp
USA
2.37 %
6. Bank Rakyat ADR
Indonesia
3 %
7. Cencora Inc
USA
2.36 %
7. Orlen SA
Poland
2.51 %
8. DBS Group Holdings Ltd
Singapore
2.31 %
8. Bank Pekao SA
Poland
2.25 %
9. Redeia Corporacion SA
Spain
2.3 %
9. Bank of China Ltd Class H
China
2.22 %
10. Verizon Communications Inc
USA
2.18 %
10. Vedanta Ltd
India
2.08 %
11. Illinois Tool Works Inc
USA
2.18 %
11. Astra International Tbk
Indonesia
2.07 %
12. Hartford Insurance Group Inc
USA
2.18 %
12. JBS SA
Brazil
1.98 %
13. Japan Real Estate Investment Corp
Japan
2.09 %
13. Coal India Ltd
India
1.9 %
14. Novartis AG
Switzerland
2.06 %
14. China Shenhua Energy Co Ltd Class H
China
1.87 %
15. Visa Inc
USA
2.04 %
15. Malayan Banking Berhad
Malaysia
1.81 %
16. Pfizer Inc
USA
2.03 %
16. BB Seguridade Participacoes SA
Brazil
1.77 %
17. Automatic Data Processing Inc
USA
2.02 %
17. China Petroleum & Chemical Corp Class H
China
1.7 %
18. Merck & Co Inc
Germany
1.98 %
18. Yankuang Energy Group Co Ltd Class H
China
1.42 %
19. Gilead Sciences Inc
USA
1.88 %
19. OPAP SA
Greece
1.41 %
20. Accenture Plc
Ireland
1.82 %
20. Star Bulk Carriers
Greece
1.39 %
21. Linde Plc
Ireland
1.8 %
21. Indian Oil Corp Ltd
India
1.39 %
22. Electronic Arts Inc
USA
1.77 %
22. Bancolombia SA ADR
Colombia
1.33 %
23. Western Union Company
USA
1.76 %
23. Komerční Banka AS
Czech Republic
1.33 %
24. HP Inc
USA
1.75 %
24. Banco del Bajio SA
Mexico
1.32 %
25. Microsoft Corp
USA
1.69 %
25. Novatek Microelectronics Corp
Taiwan
1.31 %
- 26. ČEZ AS
Czech Republic
1.3 %

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