Dimensional Global Core Equity $

Rating e Score  (al 30/06/2026)
Rating
FIDA
Rating
ESG
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Anagrafica
Nome
Dimensional Global Core Equity $
Tipologia
Fondi e Sicav
Codice Isin
IE00B2PC0153
Sicav
DIMENSIONAL FUNDS PLC
Domicilio
-
Paese autorizzato alla vendita
Società di gestione
Indirizzo
20 TRITON STREET, REGENT'S PLACE NW1-3BF London
Telefono
Sito WEB
Categoria FIDA
Categoria Assogestioni
Categoria EFAMA
Equity Global Advanced Markets
PRIIPS
Benchmark ufficiale
-
Data inizio collocamento
03/09/2008
Valuta di denominazione
USD - Dollaro Stati Uniti
Valuta di quotazione
USD - Dollaro Stati Uniti
Stato
Quotato
Distribuzione dei proventi
No
Patrimonio al 31/10/2024
-
Patrimonio Comparto al 31/10/2024
5.364,75 mln USD
Documentazione
Andamento della quotazione (Dal 17/07/2023 al 17/07/2026)
47,13
60,85
%
17/07/2026
Caricamento dati
Quota
Valuta di quotazione
USD - Dollaro Stati Uniti
Frequenza di quotazione
Giornaliero
Ultima quotazione
47,13 USD (17/07/2026)
Variazione %
-0,67%
Ultima quotazione in euro
41,22 €
Obiettivo di investimento
The aim is to increase the value of your investment over the long term and to earn income within the Fund. The Fund is actively managed which means that the Investment Manager is actively making investment decisions for the Fund. The Fund is not managed in reference to a benchmark. The Fund primarily invests in shares of companies listed on the principal stock exchanges in developed countries around the world. The Fund's portfolio is generally overweighted in shares of smaller sized companies and value companies. Value companies are companies where, at the time of purchase, the Investment Manager believes that the share price is low compared to the accounting value of the company. The composition of the Fund may be adjusted based on considerations such as the number of outstanding shares of public companies that are freely available to the investing public, the tendency of the price of a security/share to continue movement in a single direction, how readily available the shares are to buy and sell, liquidity management, size, value, profitability and investment characteristics. No more than 20% of the Fund's net assets will be invested in countries that the Investment Manager considers to be emerging markets. The Fund may use financial contracts or instruments (derivatives) to manage risk, reduce costs or improve returns. Fund returns are primarily determined by the returns of the securities the Fund invests in, after fees. The performance of an investment in the Fund will be driven by the performance of the equity markets which the Fund focuses on, by the characteristics that the Fund emphasizes— such as exposure to the size, value and profitability premiums—as well as by implementation costs.
Regime fiscale
PIR compliant
No
PEA compliant
No
PEA-PME compliant
No
Anagrafica società
Società di gestione
Telefono
Sito WEB
Indirizzo
20 TRITON STREET, REGENT'S PLACE NW1-3BF London
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