Was steckt im Fonds Hamlin High Dividend Equity 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
1.543.722.422 $94,4713.467.227
CUMMINS INC.CUMMINS INC COMMON STOCKEC231021106Long88.326.205 $5,41164.169
ENTERPRISE PRODUCTS PARTNERS L.P.ENTERPRISE PRODUCTS PARTNERS PARTNERSHIP SHARESEC293792107Long81.931.282 $5,012.165.203
CME GROUP INC.CME GROUP INC COMMON STOCKEC12572Q105Long81.918.571 $5,01277.361
MORGAN STANLEYMORGAN STANLEY COMMON STOCKEC617446448Long81.259.071 $4,97493.766
CONOCOPHILLIPSCONOCOPHILLIPS COMMON STOCKEC20825C104Long76.237.260 $4,67577.555
BROADCOM INC.BROADCOM INC COMMON STOCKEC11135F101Long73.621.596 $4,51237.865
OLD REPUBLIC INTERNATIONAL CORPORATIONOLD REPUBLIC INTL CORP COMMON STOCKEC680223104Long73.126.605 $4,481.832.747
PUBLIC SERVICE ENTERPRISE GROUP INCORPORATEDPUBLIC SERVICE ENTERPRISE GP COMMON STOCKEC744573106Long70.994.769 $4,34877.020
ABBVIE INC.ABBVIE INC COMMON STOCKEC00287Y109Long70.462.410 $4,31323.980
JOHNSON & JOHNSONJOHNSON & JOHNSON COMMON STOCKEC478160104Long69.913.995 $4,28286.017
LAMAR ADVERTISING COMPANYLAMAR ADVERTISING CO-A REITEC512816109Long67.573.617 $4,14533.504
SNAP-ON INCORPORATEDSNAP-ON INC COMMON STOCKEC833034101Long65.442.800 $4,00180.174
SIMON PROPERTY GROUP, INC.SIMON PROPERTY GROUP INC REITEC828806109Long64.753.890 $3,96347.150
DARDEN RESTAURANTS, INC.DARDEN RESTAURANTS INC COMMON STOCKEC237194105Long64.269.950 $3,93327.841
THE PROCTER & GAMBLE COMPANYPROCTER & GAMBLE CO/THE COMMON STOCKEC742718109Long58.992.618 $3,61408.423
UNILEVER PLCUNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPTEC904767803Long53.203.201 $3,26933.881
THE HOME DEPOT, INC.HOME DEPOT INC COMMON STOCKEC437076102Long51.204.555 $3,13155.689
DICK'S SPORTING GOODS, INC.DICK'S SPORTING GOODS INC COMMON STOCKEC253393102Long50.505.256 $3,09254.704
WATSCO, INC.WATSCO INC COMMON STOCKEC942622200Long47.775.813 $2,92131.328
Philip Morris International Inc.PHILIP MORRIS INTERNATIONAL COMMON STOCKEC718172109Long47.763.089 $2,92288.878
CVS HEALTH CORPORATIONCVS HEALTH CORP COMMON STOCKEC126650100Long45.759.036 $2,80637.135
TEXAS INSTRUMENTS INCORPORATEDTEXAS INSTRUMENTS INC COMMON STOCKEC882508104Long41.559.744 $2,54214.071
PAYCHEX, INC.PAYCHEX INC COMMON STOCKEC704326107Long40.261.967 $2,46437.060
ARES MANAGEMENT CORPORATIONARES MANAGEMENT CORP - A COMMON STOCKEC03990B101Long39.844.302 $2,44365.209
UGI CORPORATIONUGI CORP COMMON STOCKEC902681105Long37.020.821 $2,271.016.497
1.543.722.422 $94,4713.467.227
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