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Acticrece Sa De Cv S.i.r.v. Ff (0P0000HGD3)

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34.714 -0.120    -0.35%
25/06 - Closed. Currency in MXN ( Disclaimer )
Type:  Fund
Market:  Mexico
ISIN:  MX52AC0V0003 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 59.36M
Acticrece FF 34.714 -0.120 -0.35%

0P0000HGD3 Holdings

 
Comprehensive information about top holdings and Key Holding Information for the Acticrece FF (0P0000HGD3) fund. Our Acticrece FF portfolio information includes stock holdings, annual turnover, top 10 holdings, sector and asset allocation.

Asset Allocation

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Name  Net %  Long %  Short %
Cash 1.950 1.950 0.000
Shares 98.050 98.050 0.000

 Style Box

Value & Growth Measures

Ratios Value Category Average
P/E Ratio 7.126 12.625
Price to Book 0.674 1.781
Price to Sales 0.651 1.235
Price to Cash Flow 5.255 7.571
Dividend Yield 0.791 4.094
5 Years Earnings Growth 14.539 12.058

Sector Allocation

Name  Net % Category Average
Real Estate 35.140 6.590
Communication Services 20.910 11.448
Financial Services 20.360 16.171
Basic Materials 8.030 19.325
Consumer Cyclical 7.680 6.549
Consumer Defensive 4.440 28.174
Industrials 3.440 13.519

Region Allocation

  • Latin America
  • Emerging Markets

Top Holdings

Number of long holdings: 17

Number of short holdings: 0

Name ISIN Weight % Last Change %
  Grupo Sports World MX01SP020001 19.34 4.700 0.00%
  Administradora de Activos Fibra MXCFFI0V0001 15.97 5.000 +0.20%
  Vinte Viviendas Integrales MX01VI050002 13.58 33.500 0.00%
  Corporacion Actinver MX01AC0Q0007 12.54 16.000 0.00%
  Cemex MXP225611567 7.87 11.550 +0.61%
  Hoteles City Express SAB de CV MX01HC000001 7.25 4.310 +0.71%
  Alterna Asesoria Internacional MX01AL2G0008 4.79 1.50 0.00%
  Grupo Bafar MXP100901018 4.35 108.000 +0.96%
  Cadu Inmobiliaria SA de CV MX01CA130029 3.81 3.70 -2.63%
  Grupo Traxion MX01TR0H0006 3.37 28.110 +4.56%

Top Equity Funds by Operadora Actinver SA de CV

  Name Rating Total Assets YTD% 3Y% 10Y%
  Fondo Actinver Acciones Mediana y P 6.68B 10.08 -4.06 -
  Actinver Acciones Mediana Pequena A 6.52B 13.64 6.98 1.72
  Fondo Prudential Internacional A 5.97B 10.15 2.80 14.92
  MX52AC0Z0090 5.97B 9.35 1.02 12.25
  Fondo Prudential Internacional FF 546.56M - - -
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