Was steckt im Fonds Edgewood Growth Fund?

Welche Aktien und Anleihen hält dieser ETF/Fonds? Alle gemeldeten Bestände der Gesellschaft ADVISORS' INNER CIRCLE FUND 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
6.090.147.615 $98,4826.512.021
NETFLIX, INC.NETFLIX INC COMMON STOCKEC64110L106Long542.648.870 $8,775.643.774
ASML Holding N.V.ASML HOLDING NV-NY REG SHS DEPOSITARY RECEIPTECN07059210Long500.838.924 $8,10379.185
NVIDIA CORPORATIONNVIDIA CORP COMMON STOCKEC67066G104Long460.795.843 $7,452.642.178
BROADCOM INC.BROADCOM INC COMMON STOCKEC11135F101Long430.871.966 $6,971.392.110
SYNOPSYS, INC.SYNOPSYS INC COMMON STOCKEC871607107Long364.686.665 $5,90919.811
VISA INC.VISA INC-CLASS A SHARES COMMON STOCKEC92826C839Long361.727.179 $5,851.196.821
AXON ENTERPRISE, INC.AXON ENTERPRISE INC COMMON STOCKEC05464C101Long348.760.949 $5,64821.213
MSCI INC.MSCI INC COMMON STOCKEC55354G100Long298.698.321 $4,83554.161
TRANSDIGM GROUP INCORPORATEDTRANSDIGM GROUP INC COMMON STOCKEC893641100Long290.603.425 $4,70250.745
SHOPIFY INC.SHOPIFY INC - CLASS A COMMON STOCKEC82509L107Long288.827.719 $4,672.434.899
INTUITIVE SURGICAL, INC.INTUITIVE SURGICAL INC COMMON STOCKEC46120E602Long285.584.688 $4,62619.503
ELI LILLY AND COMPANYELI LILLY & CO COMMON STOCKEC532457108Long254.400.104 $4,11276.591
SPOTIFY TECHNOLOGY S.A.SPOTIFY TECHNOLOGY SA COMMON STOCKECL8681T102Long248.100.807 $4,01511.643
AMPHENOL CORPORATIONAMPHENOL CORP-CL A COMMON STOCKECUS0320951017Long231.849.218 $3,751.834.976
FAIR ISAAC CORPORATIONFAIR ISAAC CORP COMMON STOCKEC303250104Long228.332.928 $3,69213.887
INTUIT INC.INTUIT INC COMMON STOCKEC461202103Long197.642.195 $3,20457.103
BOSTON SCIENTIFIC CORPORATIONBOSTON SCIENTIFIC CORP COMMON STOCKEC101137107Long191.030.202 $3,093.044.306
SERVICENOW, INC.SERVICENOW INC COMMON STOCKEC81762P102Long176.777.218 $2,861.690.839
VERTEX PHARMACEUTICALS INCORPORATEDVERTEX PHARMACEUTICALS INC COMMON STOCKEC92532F100Long162.259.240 $2,62363.370
BLACKSTONE INC.BLACKSTONE INC COMMON STOCKEC09260D107Long115.713.977 $1,871.006.296
S&P GLOBAL INC.S&P GLOBAL INC COMMON STOCKEC78409V104Long109.997.177 $1,78258.610
6.090.147.615 $98,4826.512.021
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