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onemarkets J.P. Morgan US Equities Fund M

ISIN
LU2595018149
WKN
A3D899
VIEW MORE INFO

No history available
Product
No history available

Historical considerations do not give reliable indications for future performances.

Historical considerations do not give reliable indications for future performances.

Product

Composition

Last update: 15.04.2026
Top holdings
Name Percentage
BOSTON SCIENTIFIC CORP
0.68%
HILTON WORLDWIDE HOLDINGS IN
1.13%
AMPHENOL CORP-A
0.00%
MEDTRONIC PLC
0.00%
DANAHER CORP
0.92%
BRISTOL-MYERS SQUIBB CO
1.28%
CHURCH & DWIGHT CO INC
0.88%
WARNER MUSIC GROUP CORP-CL A
0.33%
EMERSON ELECTRIC CO
1.04%
LOWE'S COS INC
1.74%
BROADCOM INC
3.20%
TRACTOR SUPPLY COMPANY
0.55%
MICROSOFT CORP
6.15%
WELLS FARGO & CO
1.45%
ARTHUR J GALLAGHER & CO
1.34%
AMERICAN TOWER CORP
1.16%
PROCTER & GAMBLE CO/THE
1.38%
ROPER TECHNOLOGIES INC
0.37%
ECOLAB INC
1.17%
CADENCE DESIGN SYS INC
0.65%
CORPAY INC
0.90%
AON PLC-CLASS A
0.98%
CHIPOTLE MEXICAN GRILL INC
0.75%
LAM RESEARCH CORP
0.83%
UNITEDHEALTH GROUP INC
1.14%
DOORDASH INC - A
0.58%
US BANCORP
0.59%
WALT DISNEY CO/THE
1.25%
HOWMET AEROSPACE INC
1.49%
EDWARDS LIFESCIENCES CORP
0.50%
NEXTERA ENERGY INC
1.90%
SCHWAB (CHARLES) CORP
1.23%
UNITED RENTALS INC
0.72%
MASTERCARD INC - A
3.06%
ELI LILLY & CO
0.77%
TAIWAN SEMICONDUCTOR-SP ADR
0.82%
ANALOG DEVICES INC
1.02%
AMAZON.COM INC
5.69%
INTUIT INC
1.09%
BANK OF AMERICA CORP
1.17%
TRANE TECHNOLOGIES PLC
1.70%
TRANE TECHNOLOGI
0.00%
COGNIZANT TECH SOLUTIONS-A
0.76%
AUTODESK INC
0.57%
STRYKER CORP
1.19%
AT&T INC
1.44%
TESLA INC
1.42%
BURLINGTON STORES INC
1.09%
TEXAS INSTRUMENTS INC
0.99%
LINDE PLC
1.57%
FIFTH THIRD BANC
0.00%
NVIDIA CORP
9.10%
APPLE INC
5.35%
REGENERON PHARMACEUTICALS
1.03%
AMERICAN EXPRESS CO
0.72%
AFFIRM HOLDINGS INC
0.27%
ABBVIE INC
2.67%
VENTAS INC
0.82%
ORACLE CORP
0.73%
TOAST INC-CLASS A
0.28%
VERTEX PHARMACEUTICALS INC
1.02%
MORGAN STANLEY
0.76%
EQUINIX INC
0.95%
TAIWAN SEMIC-ADR
0.00%
AUTOZONE INC
0.70%
WATERS CORP
0.46%
FIFTH THIRD BANCORP
0.70%
INGERSOLL-RAND INC
1.20%
ALPHABET INC-CL A
4.81%
WESTERN DIGITAL CORP
0.71%
FIDELITY NATIONAL INFO SERV
0.85%
MICRON TECHNOLOGY INC
0.36%
EATON CORP PLC
0.95%
NXP SEMICONDUCTO
0.00%
AMPHENOL CORP-CL A
1.12%
NXP SEMICONDUCTORS NV
0.88%
Show more
FUND STRUCTURE BY SECTORS
Name Percentage
Food And Soft Drinks
1.33%
Telecommunication
1.44%
Lodging And Catering Ind. - Leisure Facilities
1.13%
Graphics - Publishing - Printing Media
1.58%
Office Supplies And Computing
9.26%
Miscellaneous Consumer Goods
2.26%
Electronics And Semiconductors
15.58%
Chemicals
1.17%
Real Estate
2.93%
Retail Trade And Department Stores
10.49%
Non-Ferrous Metals
1.49%
Biotechnology
2.05%
Financial - Investment - Other Diversified Comp.
2.20%
Petroleum
1.57%
Electrical Appliances And Components
1.04%
Internet - Software - It Services
16.18%
Banks And Other Credit Institutions
9.35%
Mechanical Engineering And Industrial Equip.
5.14%
Insurance Companies
1.34%
Healthcare And Social Services
1.14%
Pharmaceuticals - Cosmetics - Med. Products
7.09%
Vehicles
1.42%
Energy And Water Supply
1.90%
Show more
FUND STRUCTURE BY REGIONS
Name Percentage
IRL
2.65%
TWN
0.82%
NLD
0.88%
USA
93.75%
GBR
0.98%
INVESTMENT RATIO
Name Percentage
Cash Ratio
0.95%
FUND STRUCTURE BY CURRENCY
Name Percentage
USD
99.08%

Note on the composition

Marketing communication. This information is provided for illustrative purposes only and may change without prior notice. While the information is deemed reliable as of the date indicated, no guarantee is given as to its accuracy or completeness. The information contained herein constitutes marketing communication and does not constitute an offer or solicitation to buy or sell any financial instrument. For further details on the fund, in particular its investment policy, please refer to the prospectus and the Key Information Document (KID).

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