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SP 500   1,671   4.62  Index Moved Up 0.28%
A0ERYQ 977301 A1CXX3 A0RGWP Tech Funds Consumption Health Management Electronics 
United States GSPC USD ...  |  Check Insiders


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AXA Portfoli quote and profile

 
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135.96
  
FUND
0.00  No Change   0.00%  
May 21 2013 

Diversification Suggestion

Use AXA Portfoli to protect against small markets fluctuations. The fund experiences stable pattern. Watch out for signals
Check current 30 days AXA Portfoli correlation with market (S&P 500)
1 Month Beta 0.0  
Unless we do not have data at the moment the returns on S&P 500 and AXA Portfoli are completely uncorrelated
AXA Portfolio 3 not significant BetaAXA Portfolio 3 Beta Legend
Number of Employees1
Net Asset172.58 K
 United States SP 500   0.24 % Macroaxis: 0.24 Moved Up  
 
 Germany DAX   0.17 % Macroaxis: 0.17 Moved Up  
 
 thisGreen 978949 978949.DE agains markets  0.00 % No Change  
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AXA Portfoli Summary

AXA Portfolio 3 [978949] is traded in Germany and was established in October 7, 2001. The fund is listed under Global Emerging Markets Equity category and is part of AXA Investment Managers Deutschland GmbH family. This fund presently has accumulated 172.58 K in total net assets with minimum initial investment of . AXA Portfolio 3 is currenly generating return of 0.37%, while the total return for the last 3 years was 23.66%.

Fund Instrument Allocation for AXA Portfoli

The fund consists of 84.11% investments in stocks, with the rest of investments allocated between different money market instruments and various exotic instruments.
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AXA Portfoli Research Report

AXA Portfoli vs. AVANA

Correlation analysis and fundamentals comparison between AXA Portfolio 3 and AVANA IndexTrend Eme

AXA Portfoli Fundamentals

Three Year Return vs Five Year Return
Ten Year Return vs One Year Return
Three Year Return vs Price to Sales
Year to Date Return vs One Year Return

 
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