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4Q-Growth Fonds

4Q-Growth Fonds

ISIN DE000A0D9PG7 | WKN A0D9PG | Mnemonic WXIY | Type fund
19/01/2018 12:45
Bid Ask
This product is subject to quotation restrictions.
Change from Prev. Day -0.40 EUR / -0.37%
Spread absolute / relative 1,60 / 1,49%

Net Asset Value

Previous Day 132.49 USD Date 17/01/2018

Price Information

Last Price 107.340
Date / Time 19.01.2018 / 12:45:28
Price -
Volume in euro -
Volume Size -
High 107.340
Low 107.200
52 week High 113.540
52 week Low 87.450
Trading Hours 09:00 - 18:00


Management Fee 1.80 %
Custodian Fee 0.05 %
Capital forming savings possible? no
Savings Plan yes
Distribution Non Distributing

Frankfurt Trading Parameters

Continous Quotation no
Minimum tradeable Unit 1

Rating for 4Q-Growth Fonds

€uro FondsNote 3
Lipper Leaders, 3 years
Lipper Leaders, 5 years
Lipper Leaders, 10 years
Lipper Leaders, overall


Fundamental Data

Name 4Q-Growth Fonds
Investment Company HANSAINVEST (D)
Issued in Deutschland
Issue Date 06/05/2005
Category Aktienfonds Technologie
currency USD
Volume 49,313,000.00
Depositary Bank H&A Privatbankiers KGaA, Frankfurt
Paying Agent UniCredit Bank AG
Fund Management Peter Dreide
Fiscal Year-End 31.12.
Last Update 20/03/2015

Investment policy

invest like 4Q-Growth Fonds: Der Fonds investiert schwerpunktmäßig in Aktien von Technologieunternehmen im amerikanischen Raum. Die Umsetzung der Anlagestrategie erfolgt unter Zuhilfenahme eines mathematischen Bewertungsmodells. Damit sollen Marktphasen der Über- oder Unterbewertung erkannt werden. Zusätzlich kann ein fundamental-analytischer Filter eingesetzt werden, welcher die Vorauswahl der Einzeltitel unterstützt. Die durch das mathematische Bewertungsmodell vorgeschlagenen Anlageentscheidungen werden durch eine Auswertung spezifischer Unternehmensdaten überprüft. Das Fondsmanagement behält sich jedoch vor, situationsbedingt in den datenbankgesteuerten Anlageprozess korrigierend einzugreifen. Aufgrund des datenbankgesteuerten Ansatzes können die Umschichtungshäufigkeiten des Sondervermögens schwanken und über ein durchschnittliches Maß stark hinausgehen. Die Fondswährung ist US-Dollar. Nicht in US-Dollar notierte Vermögensgegenstände werden daher mit dem aktuellen Devisenkurs der jeweiligen Währung im Verhältnis zum US-Dollar umgerechnet.

The following Disclaimer and Information has been prepared by Voltabox AG (the “Issuer”) for the purpose of publishing THE securities prospectus by the issuer. Deutsche Boerse AG does not assume any responsibility for the content of the issuer`s Disclaimer and information.


Important Information


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