Swedbank Robur Technology A
All about the fund Swedbank Robur Technology A, which stocks or funds the fund owns, and how much the fund owns of each holding.
Details
Recent performance of Swedbank Robur Technology:
1M | 12.77% |
3M | -15.49% |
YTD | -16.95% |
Similar Funds
Find funds with similar holdings as Swedbank Robur Technology here:
Security |
Fee |
1
 |
Finserve Chelverton Global Tech Fund A The fund's holdings match to 56% The fund's fee of 1,70% is 0,45 higher |
(i) |
1,70 % |
2
 |
Nordnet Indexfond Teknologi SEK The fund's holdings match to 37% The fund's fee of 0,40% is 0,85 lower |
(i) |
0,40 % |
3
 |
VanEck Semiconductor UCITS ETF USD Acc The fund's holdings match to 37% The fund's fee of 0,35% is 0,9 lower |
(i) |
0,35 % |
4
 |
Nordnet Teknologi Indeks The fund's holdings match to 37% The fund's fee of 0,50% is 0,75 lower |
(i) |
0,50 % |
5
 |
Nordnet Teknologi Indeks NOK The fund's holdings match to 37% The fund's fee of 0,29% is 0,96 lower |
(i) |
0,29 % |
6
 |
Nordnet Teknologia Indeksi The fund's holdings match to 37% The fund's fee of 0,49% is 0,76 lower |
(i) |
0,49 % |
Holdings
The fund Swedbank Robur Technology A has 33 holdings, with the largest being Microsoft at 9.57%, followed by Nvidia at 8.68% and Broadcom at 6.83%.
All Holdings
Here are all holdings in Swedbank Robur Technology:
# |
Security |
|
Share |
1 |
 |
Microsoft Corp US5949181045 |
(i) |
9.57 % |
2 |
 |
Nvidia Corp US67066G1040 |
(i) |
8.68 % |
3 |
 |
Broadcom Inc US11135F1012 |
(i) |
6.83 % |
4 |
 |
Apple Inc US0378331005 |
(i) |
6.63 % |
5 |
 |
Salesforce.com Inc US79466L3024 |
(i) |
4.3 % |
6 |
 |
Taiwan Semiconductor Manufacturing Company US8740391003 |
(i) |
3.61 % |
7 |
 |
ServiceNow Inc US81762P1021 |
(i) |
3.48 % |
8 |
 |
Analog Devices Inc US0326541051 |
(i) |
3.38 % |
9 |
 |
Amazon.com Inc US0231351067 |
(i) |
3.19 % |
10 |
 |
Motorola Solutions Inc US6200763075 |
(i) |
3.03 % |
11 |
 |
Meta Platforms A US30303M1027 |
(i) |
2.94 % |
12 |
 |
Arista Networks Inc US0404131064 |
(i) |
2.76 % |
13 |
 |
Keysight Technologies Inc US49338L1035 |
(i) |
2.73 % |
14 |
 |
Synopsys Inc US8716071076 |
(i) |
2.65 % |
15 |
 |
Applied Materials Inc US0382221051 |
(i) |
2.54 % |
16 |
 |
Accenture Plc IE00B4BNMY34 |
(i) |
2.5 % |
17 |
 |
KLA Corp US4824801009 |
(i) |
2.35 % |
18 |
 |
Cadence Design Systems Inc US1273871087 |
(i) |
2.04 % |
19 |
 |
Bentley Systems Inc US08265T2087 |
(i) |
2.01 % |
20 |
 |
Fortinet Inc US34959E1091 |
(i) |
1.75 % |
21 |
 |
Micron Technology Inc US5951121038 |
(i) |
1.71 % |
22 |
 |
Tyler Technologies Inc US9022521051 |
(i) |
1.48 % |
23 |
 |
Keyence Corp JP3236200006 |
(i) |
1.42 % |
24 |
 |
Amphenol Corp US0320951017 |
(i) |
1.38 % |
25 |
 |
Netflix Inc US64110L1061 |
(i) |
1.15 % |
26 |
 |
Spotify Technology SA LU1778762911 |
(i) |
1.13 % |
27 |
 |
Marvell Technology Inc US5738741041 |
(i) |
1.13 % |
Ireland
2.5% of the fund's holdings are from Ireland.
 | Accenture Plc 2.5% |
Sweden
1.1% of the fund's holdings are from Sweden.
 | Spotify Technology SA 1.13% |
Taiwan
3.6% of the fund's holdings are from Taiwan.
 | Taiwan Semiconductor Manufacturing Company 3.61% |
The list of fund holdings was last updated on June 1, 2025.