SEB Asienfond ex Japan D vs Avanza Auto 2

SEB Asienfond ex Japan D vs Avanza Auto 2

1. SEB Asienfond ex Japan D

  • Security

    SEB Asienfond ex Japan D USD Utd

  • Fee

    2.31%

  • ISIN

    SE0021150174

  • Holdings

    12

2. Avanza Auto 2

  • Security

    Avanza Auto 2

  • Fee

    0.35%

  • ISIN

    SE0009779663

  • Holdings

    14

Fund Holdings

We have information about 12 holdings in SEB Asienfond ex Japan D, where the largest holding is TSMC (9.48), followed by Meituan Class B (3.09) and MediaTek (2.95). In comparison with Avanza Auto 2, we have 17 holdings where AMF Räntefond Mix is the largest holding (24.53), followed by Amundi Global AGG SRI UCITS I13HSK C (23.13) and Avanza Global (7.68).

All Holdings

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

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

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