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Northern Trust | Northern Trust Emerging Markets Screened Equity Index DIS

For the investment objective please check the Key Investor Information Document, Factsheet and/or the Prospectus.

Available documents (NL)

Quote
Quote
€11,96
Quote date
31-03-2026
Performance in EUR
Date
30-03-2026
This year
3,09%
1 week
0,52%
1 month
-9,80%
3 months
3,17%
6 months
8,36%
1 year
22,40%
3 years (annualised)
-
5 years (annualised)
-
Since start (annualised)
18,38%
Indicators
Standard deviation (3yr)
-
Share ratio (3yr)
-
Beta (3yr)
-
Alpha (3yr)
-
Tracking error (3yr)
-
Top 10 holdings (28-02-2026)
Taiwan Semiconductor Manufacturing Co Ltd
14,02 %
Samsung Electronics Co Ltd
6,36 %
Tencent Holdings Ltd
3,77 %
SK Hynix Inc
3,59 %
Alibaba Group Holding Ltd Ordinary Shares
2,80 %
HDFC Bank Ltd
0,99 %
China Construction Bank Corp Class H
0,88 %
Hon Hai Precision Industry Co Ltd
0,87 %
MediaTek Inc
0,85 %
Reliance Industries Ltd
0,83 %
Fees
Entry fee
-->Tarievenkaart / Cost information sheet
Exit charges
-->Tarievenkaart / Cost information sheet
Estimated ongoing charges
0,15%
Dividend
Dividend paying
Yes
Dividend
€0,06
Ex-dividend date
06-11-2025
Payment date
19-11-2025
Dividend frequency
Semi-Annually
Characteristic
Asset Manager
Northern Trust
Asset class
Equities
Investment category
Equities - Emerging Markets Global
Active/Passive
Passive
Fund code
217592
Fund code fractional orders
96001
Fund manager name
Nicholas Dymond
ISIN
NL0014040289
Sustainable Classification
Art. 8, ESG integration
Sustainability Rating
Domicile
Netherlands
Currency
EUR
Fund size (mio)
5.154,89 (30-03-2026)
Cut-off time
-
Execution date
-
Inception date
24-01-2025
Benchmark
MSCI Emerging Markets NTC Screened Index
Minimum investment amount
-
Assortiment
Self Directed Investing Basic, Self Directed Investing Plus, Discretionary Portfolio Management, Investment advice