Was steckt im Fonds SA Columbia Focused Value Portfolio?

Welche Aktien und Anleihen hält dieser ETF/Fonds? Alle gemeldeten Bestände der Gesellschaft SEASONS SERIES TRUST zum Stichtag 2026-03-31, jeweils mit Wert und Anteil am Portfolio. Datenquelle ist SEC Form N-PORT — der Bericht, mit dem US-Fonds ihre Portfolios gegenüber der US-Börsenaufsicht offenlegen. Erfasst sind Wertpapiere der Klassen Aktie und Anleihe — nicht Derivate, Repos oder Cash. Keine Anlageberatung.
Fonds-Verzeichnis
EmittentGattungTypCUSIP/ISINRichtungBestand ($)% NAVStück / Nennwert
232.201.378 $75,393.360.272
Verizon Communications IncVerizon Communications IncEC92343V104Long13.349.234 $4,33265.921
Constellation Brands IncConstellation Brands IncEC21036P108Long11.712.900 $3,8078.086
Salesforce IncSalesforce IncEC79466L302Long11.192.920 $3,6359.961
Freeport-McMoRan IncFreeport-McMoRan IncEC35671D857Long10.665.161 $3,46181.442
American Tower CorpAmerican Tower CorpEC03027X100Long10.610.564 $3,4561.482
EPAM Systems IncEPAM Systems IncEC29414B104Long9.960.024 $3,2373.560
Williams Cos Inc/TheWilliams Cos Inc/TheEC969457100Long9.747.644 $3,16133.933
CVS Health CorpCVS Health CorpEC126650100Long9.696.346 $3,15135.009
Lowe's Cos IncLowe's Cos IncEC548661107Long9.622.267 $3,1240.724
PG&E CorpPG&E CorpEC69331C108Long9.460.654 $3,07538.455
AES Corp/TheAES CorpEC00130H105Long9.428.605 $3,06669.170
Boeing Co/TheBoeing Co/TheEC097023105Long9.199.167 $2,9946.220
Morgan StanleyMorgan StanleyEC617446448Long8.951.785 $2,9154.395
Chevron CorpChevron CorpEC166764100Long8.931.045 $2,9043.166
Philip Morris International IncPhilip Morris International IncEC718172109Long8.842.879 $2,8753.483
Applied Materials IncApplied Materials IncEC038222105Long8.823.651 $2,8625.816
Corning IncCorning IncEC219350105Long8.442.105 $2,7462.088
Cigna Group/TheCigna Group/TheEC125523100Long8.311.130 $2,7031.157
TechnipFMC PLCTechnipFMC PLCECGB00BDSFG982Long8.238.706 $2,68119.177
Wells Fargo & CoWells Fargo & CoEC949746101Long8.186.456 $2,66102.832
Citigroup IncCitigroup IncEC172967424Long7.906.492 $2,5769.716
Bank of America CorpBank of America CorpEC060505104Long7.827.056 $2,54160.555
Bristol-Myers Squibb CoBristol-Myers Squibb CoEC110122108Long7.797.225 $2,53128.561
RTX CorpRTX CorpEC75513E101Long7.680.699 $2,4939.817
CSX CorpCSX CorpEC126408103Long7.616.663 $2,47185.546
232.201.378 $75,393.360.272
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