Titelia

Fonds détenteurs d'AFIS Growth-Income Fund

10 fonds déclarent une position · 0 ETF et 10 autres fonds · 16,1 Md $ · US0303723045

Autres lignes du même émetteur : AFIS Growth Fund (US0303724035)American Funds Insurance Series - Asset Allocation Fund (US0303726014)American Funds Insurance Series - Washington Mutual Investors Fund (US0303726923)American Funds Insurance Series - Global Growth Fund (US0303728820)International Fund/VIT (US0303727004)American Funds Insurance Series - New World Fund (US0303728663)AMERICAN FUNDS INSURANCE - CAPITAL INCOME BUILDER (VICIB) (US02630E5906)American Funds Insurance Series (US0303728747)American Funds Insurance Series - Capital World Bond Fund (US0303725776)American Funds Insurance Series (US0303725024)

Chaque ligne porte la date de son rapport.

FondsTitresValeurPoids
JNL/American Funds Growth-Income Fund JNL Series Trust 180 640 19611,7 Md $100,06 %au 31 mars 2026 · Document d'origine
LVIP American Growth-Income Fund LINCOLN VARIABLE INSURANCE PRODUCTS TRUST 30 910 4752 Md $100,05 %au 31 mars 2026 · Document d'origine
American Growth-Income Trust John Hancock Variable Insurance Trust 14 354 562931,9 M $100,01 %au 31 mars 2026 · Document d'origine
SA American Funds Growth-Income Portfolio SUNAMERICA SERIES TRUST 8 030 969521,4 M $100,01 %au 31 mars 2026 · Document d'origine
American Funds Balanced Allocation Portfolio Brighthouse Funds Trust I 5 280 799342,8 M $9,06 %au 31 mars 2026 · Document d'origine
American Funds Aggressive Allocation Portfolio Brighthouse Funds Trust I 4 235 121274,9 M $10,08 %au 31 mars 2026 · Document d'origine
American Funds Moderate Allocation Portfolio Brighthouse Funds Trust I 2 236 535145,2 M $7,99 %au 31 mars 2026 · Document d'origine
MML American Funds Core Allocation Fund MML SERIES INVESTMENT FUND 1 561 491101,4 M $19,76 %au 31 mars 2026 · Document d'origine
Portfolio Series - American Funds Growth and Income Portfolio AMERICAN FUNDS INSURANCE SERIES 650 68242,2 M $9,99 %au 31 mars 2026 · Document d'origine
Global Atlantic American Funds Managed Risk Portfolio Forethought Variable Insurance Trust 284 88018,5 M $14,39 %au 31 mars 2026 · Document d'origine