Avanza Auto 2 vs SEB Asienfond ex Japan D

Avanza Auto 2 vs SEB Asienfond ex Japan D

1. Avanza Auto 2

  • Security

    Avanza Auto 2

  • Fee

    0.35%

  • ISIN

    SE0009779663

  • Holdings

    14

2. SEB Asienfond ex Japan D

  • Security

    SEB Asienfond ex Japan D USD Utd

  • Fee

    2.31%

  • ISIN

    SE0021150174

  • Holdings

    12

Fund Holdings

We have information about 17 holdings in Avanza Auto 2, where the largest holding is AMF Räntefond Mix (24.53), followed by Amundi Global AGG SRI UCITS I13HSK C (23.13) and Avanza Global (7.68). In comparison with SEB Asienfond ex Japan D, we have 16 holdings where TSMC is the largest holding (9.48), followed by Meituan Class B (3.09) and MediaTek (2.95).

All Holdings

Here we compare the holdings in Avanza Auto 2 and SEB Asienfond ex Japan D.

Avanza Auto 2 SEB Asienfond ex Japan D
1. AMF Räntefond Mix
Sweden
24.53 %
1. Taiwan Semiconductor Manufacturing Company
Taiwan
9.48 %
2. Amundi Global AGG SRI UCITS I13HSK C
Luxembourg
23.13 %
2. Meituan Class B
China
3.09 %
3. Avanza Global
Sweden
7.68 %
3. MediaTek Inc
Taiwan
2.95 %
4. Storebrand Global Plus A SEK
Sweden
7.51 %
4. SK Hynix Inc
South Korea
2.95 %
5. Öhman Marknad Global A
Sweden
7.49 %
5. Samsung Electronics Co Ltd
South Korea
2.73 %
6. Handelsbanken Developed Markets Index Criteria A1 SEK
Sweden
7.32 %
6. Tencent
China
2.73 %
7. Captor Aster Global Credit A
Sweden
5.05 %
7. China Construction Bank Corp Class H
China
2.68 %
8. Captor Aster Global Credit Short-Term A
Sweden
5.05 %
8. KB Financial Group Inc
South Korea
2.18 %
9. Avanza Sverige
Sweden
3.44 %
9. Bank of China Hong Kong Holdings Ltd
Hong Kong
2.14 %
10. Storebrand Global Företagsobligation A SEK
Sweden
2.59 %
10. Geely Automobile Holdings Ltd
China
2.12 %
11. Öhman Emerging Markets A
Sweden
2.25 %
11. Wistron Corp
Taiwan
2.06 %
12. Storebrand Emerging Markets Plus A SEK
Sweden
2.14 %
12. Shanghai Pudong Development Bank Co Ltd
China
2 %
13. FE Småbolag Sverige A
Sweden
0.36 %
-
14. Humle Småbolagsfond A
Sweden
0.34 %
-

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