Schroder International Selection Fund Sustainable Multi-Asset Income A Distribution HKD MF

Schroder International Selection Fund Sustainable Multi-Asset Income A Distribution HKD MF

€81.90
Dividend Yield (FWD)
5.91%
Annual Payout (FWD)
HK$43.92
Dividend Growth Rate (CAGR)
#.##%
Ex-DatePay DateAmountChange
HK$43.9165
0.56%
HK$3.6664
-2.17%
HK$3.7477
1.89%
HK$3.6783
1.11%
HK$3.638
-0.42%
HK$3.6535
1.16%
HK$3.6116
-0.62%
HK$3.634
3.21%
HK$3.5211
-3.31%
HK$3.6418
-2.5%
HK$3.735
1.12%
HK$3.6937
-0.04%
HK$3.6952
0.44%
HK$43.6738
12.81%
HK$3.6791
0.2%
HK$3.6719
0.29%
HK$3.6614
0.61%
HK$3.6391
0.35%
HK$3.6264
-0.49%
HK$3.6444
0.28%
HK$3.6342
0.82%
HK$3.6047
-1.59%
HK$3.6629
1.17%
HK$3.6207
0.32%
HK$3.6093
-0.28%
HK$3.6196
3.19%
CSV Export

Schroder International Selection Fund Sustainable Multi-Asset Income A Distribution HKD MF pays a dividend yield (FWD) of 5.91%.

ISIN
WKN
Value
€81.90
Dividend frequency
monthly
Security Type
Fund
Dividend Currency
Hong Kong Dollar
23 Countries
  • United States

    United States

    38.45%
  • Japan

    Japan

    11.76%
  • United Kingdom

    United Kingdom

    10.39%
  • Switzerland

    Switzerland

    7.38%
  • France

    France

    6.56%
  • Sweden

    Sweden

    4.06%
  • Germany

    Germany

    3.26%
  • Spain

    Spain

    3.09%
  • Italy

    Italy

    2.96%
  • Netherlands

    Netherlands

    2.54%
  • Denmark

    Denmark

    1.51%
  • Australia

    Australia

    1.18%
  • Norway

    Norway

    1.17%
  • Finland

    Finland

    1.12%
  • Singapore

    Singapore

    0.97%
  • Ireland

    Ireland

    0.84%
  • Belgium

    Belgium

    0.70%
  • Canada

    Canada

    0.67%
  • Brazil

    Brazil

    0.37%
  • Portugal

    Portugal

    0.33%
  • Poland

    Poland

    0.31%
  • Austria

    Austria

    0.20%
  • Hong Kong SAR China

    Hong Kong SAR China

    0.14%
11 Sectors
  • Information Technology

    26.14%
  • Financials

    15.45%
  • Industrials

    14.29%
  • Consumer Discretionary

    11.06%
  • Communication Services

    10.66%
  • Health Care

    9.79%
  • Consumer Staples

    5.18%
  • Materials

    3.47%
  • Utilities

    2.35%
  • Real Estate

    1.25%
  • Energy

    0.36%
Resources