Lazard Active ETF Trust (IEQ)

Verwaltungsgesellschaft · ARCX · Serie S000091514 · Auf SEC EDGAR ansehen ↗

Nettovermögen
$1.5B
Bestände
251
Stand
30. Juni 2026
Gewichtung der Top-10-Positionen
25,80%
Effektive Anzahl von Positionen
83,0
Positionen über 1%
20
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Fondsflüsse (SEC-gemeldet)

Letzter Monat (Jun 2026)
+$184.7M
Quartalsende Jun 2026
+$431.4M
Letzte 12 Monate
+$1.3B

Jul 2025 – Jun 2026

Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.

Vollständige Zusammensetzung 251 Beteiligungen

NameCUSIP Wert % Bilanz Kategorie Land
Taiwan Semiconductor Manufacturing Co Ltd $77.2M 5,08 1.020.000 EC TW
Samsung Electronics Co Ltd $54.0M 3,56 250.689 EC KR
ASML Holding NV $52.2M 3,44 26.534 EC NL
SK hynix Inc $41.4M 2,72 24.176 EC KR
Vinci SA $31.5M 2,07 215.390 EC FR
BNP Paribas SA $30.5M 2,01 260.923 EC FR
GSK PLC $27.3M 1,80 1.038.357 EC GB
Roche Holding AG $26.4M 1,74 64.093 EC CH
Japan Post Holdings Co Ltd $25.6M 1,69 1.919.300 EC JP
Banco Santander SA $25.5M 1,68 1.845.022 EC ES
NatWest Group PLC $22.2M 1,47 2.513.162 EC GB
Legal & General Group PLC $20.4M 1,34 5.367.274 EC GB
Barrick Mining Corp 06849F108 $20.3M 1,34 552.497 EC CA
LAZARD GOVT MNY MMKT INS $19.2M 1,27 19.232.875 STIV US
AstraZeneca PLC $18.0M 1,19 94.967 EC GB
Petroleo Brasileiro SA - Petrobras $17.5M 1,15 2.397.517 EP BR
Loblaw Cos Ltd 539481101 $17.3M 1,14 381.120 EC CA
Mitsubishi Electric Corp $15.7M 1,04 434.975 EC JP
Suncor Energy Inc 867224107 $15.3M 1,01 284.744 EC CA
MediaTek Inc $15.2M 1,00 114.000 EC TW
Rolls-Royce Holdings PLC $15.1M 0,99 786.447 EC GB
Ipsen SA $14.9M 0,98 77.350 EC FR
ASM International NV $14.3M 0,94 12.489 EC NL
Tencent Holdings Ltd $14.2M 0,93 258.400 EC KY
ABB Ltd $14.1M 0,93 130.019 EC CH
BOC Hong Kong Holdings Ltd $13.7M 0,91 2.542.000 EC HK
Deutsche Bank AG $13.5M 0,89 400.031 EC DE
UniCredit SpA $13.2M 0,87 147.430 EC IT
Japan Tobacco Inc $12.7M 0,84 343.200 EC JP
Standard Chartered PLC $12.5M 0,82 461.595 EC GB
Prudential PLC $11.6M 0,77 873.376 EC GB
Societe Generale SA $11.2M 0,74 126.699 EC FR
Koninklijke Ahold Delhaize NV $11.0M 0,73 274.170 EC NL
Imperial Brands PLC $10.8M 0,71 291.310 EC GB
Fast Retailing Co Ltd $10.8M 0,71 21.100 EC JP
Advantest Corp $10.7M 0,71 54.000 EC JP
Canon Inc $10.6M 0,70 414.100 EC JP
International Container Terminal Services Inc $10.5M 0,69 725.890 EC PH
Delta Electronics Inc $10.5M 0,69 171.000 EC TW
Novartis AG $10.4M 0,68 66.151 EC CH
Toronto-Dominion Bank/The 891160509 $10.0M 0,66 81.887 EC CA
Japan Airlines Co Ltd $9.7M 0,64 552.300 EC JP
Sumitomo Mitsui Financial Group Inc $9.4M 0,62 242.000 EC JP
Leonardo SpA $9.1M 0,60 170.003 EC IT
Saudi Energy Co $8.9M 0,59 1.883.484 EC SA
Banco Bilbao Vizcaya Argentaria SA $8.9M 0,59 356.104 EC ES
Sony Group Corp $8.7M 0,57 431.200 EC JP
Bandai Namco Holdings Inc $8.6M 0,57 368.700 EC JP
NTT Inc $8.5M 0,56 9.478.600 EC JP
Korea Electric Power Corp $8.3M 0,55 349.075 EC KR
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Sektoraufschlüsselung

Materials
2,6%
Financials
1,6%
Energy
1,0%
Consumer Discretionary
0,9%
Communications
0,5%
Industrials
0,3%
Retail
0,2%
Technology
0,2%
Sonstige/Nicht zugeordnet
92,7%

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