Fonditalia Fidelity Equity Low Volatility - Classe T

Dati aggiornati al 27/02/2026

Tipologia Strumento Peso
HEALTH CARE JOHNSON & JOHNSON 2.78%
INFORMATION TECHNOLOGY MOTOROLA SOLUTIONS 2.16%
COMMUNICATION SERVICES ORANGE 2.15%
CONSUMER STAPLES PROCTER & GAMBLE 2.08%
CONSUMER STAPLES COCA-COLA 2.07%
COMMUNICATION SERVICES T-MOBILE US INC 2.01%
MATERIALS NEWMONT MINING 1.85%
INFORMATION TECHNOLOGY MICROSOFT 1.84%
CONSUMER STAPLES KROGER 1.58%
ENERGY EXXON MOBIL 1.53%
INFORMATION TECHNOLOGY FUJIFILM HOLDINGS 1.46%
MATERIALS WHEATON PRECIOUS METALS 1.45%
COMMUNICATION SERVICES DEUTSCHE TELEKOM 1.43%
HEALTH CARE BOSTON SCIENTIFIC 1.41%
CONSUMER STAPLES KEURIG DR PEPPER 1.41%
INFORMATION TECHNOLOGY NVIDIA 1.35%
FINANCIALS VISA 1.31%
HEALTH CARE GILEAD SCIENCES 1.30%
INFORMATION TECHNOLOGY INTERNATIONAL BUS MACH 1.29%
CONSUMER STAPLES PHILIP MORRIS INTERNATIONAL 1.29%
HEALTH CARE CIGNA GROUP (THE) 1.28%
CONSUMER STAPLES KIMBERLY CLARK 1.27%
INFORMATION TECHNOLOGY AUTODESK 1.26%
HEALTH CARE AMERISOURCEBERGEN 1.19%
MATERIALS SHERWIN WILLIAMS 1.18%
HEALTH CARE FRESENIUS 1.17%
UTILITIES NEXTERA ENERGY 1.16%
CONSUMER DISCRETIONARY FAST RETAILING 1.11%
UTILITIES IBERDROLA (FORMERLY IBERDUERO) 1.11%
INFORMATION TECHNOLOGY IT HOLDINGS 1.11%
COMMUNICATION SERVICES OMNICOM GROUP 1.04%
CONSUMER STAPLES TSURUHA HOLDINGS 1.04%
HEALTH CARE ROCHE HOLDINGS (GENUSSCHEINE) CHF 1.03%
CONSUMER DISCRETIONARY TOYOTA MOTOR 1.03%
HEALTH CARE ARGENX SE 1.02%
HEALTH CARE CVS HEALTH 1.02%
HEALTH CARE ROYALTY PHARMA 1.02%
FINANCIALS TRAVELERS COMPANIES 1.00%
FINANCIALS ADMIRAL GROUP 0.99%
FINANCIALS LLOYDS BANKING GROUP 0.99%
FINANCIALS TORONTO-DOMINION BANK 0.98%
FINANCIALS AIA GROUP 0.97%
INDUSTRIALS PACCAR 0.97%
MATERIALS AIR LIQUIDE 0.95%
FINANCIALS CHUBB 0.94%
COMMUNICATION SERVICES KPN (KON) 0.94%
HEALTH CARE ASTRAZENECA EQUITY (GB) 0.93%
COMMUNICATION SERVICES ALPHABET A 0.91%
UTILITIES AMEREN 0.91%
HEALTH CARE MCKESSON 0.91%
COMMUNICATION SERVICES NINTENDO 0.90%
INFORMATION TECHNOLOGY ASML HOLDING 0.89%
UTILITIES EVERGY 0.89%
HEALTH CARE QUEST DIAGNOSTICS 0.89%
INDUSTRIALS RHEINMETALL 0.88%
HEALTH CARE ELI LILLY 0.87%
INDUSTRIALS SS&C TECHNOLOGIES HOLDINGS 0.86%
FINANCIALS WILLIS TOWERS WATSON 0.84%
HEALTH CARE EDWARDS LIFESCIENCES 0.83%
UTILITIES DUKE ENERGY 0.82%
UTILITIES EXELON 0.82%
INDUSTRIALS REPUBLIC SERVICES 0.80%
CONSUMER DISCRETIONARY OREILLY AUTOMOTIVE 0.77%
CONSUMER STAPLES SMUCKER (J.M.) 0.77%
INFORMATION TECHNOLOGY NOKIA (FN) 0.76%
MATERIALS CORTEVA 0.74%
REAL ESTATE AMERICAN TOWER 0.73%
CONSUMER STAPLES MONDELEZ INTERNATIONAL 0.72%
INFORMATION TECHNOLOGY NOMURA RESEARCH INSTITUTE 0.72%
INDUSTRIALS DAIKIN INDUSTRIES 0.69%
INDUSTRIALS GFL ENVIRONMENTAL 0.68%
INDUSTRIALS UNITED PARCEL SERVICE 'B' 0.68%
REAL ESTATE VENTAS (REIT) 0.68%
COMMUNICATION SERVICES CELLNEX TELECOM SAU 0.67%
ENERGY CHEVRON 0.64%
INDUSTRIALS WASTE CONNECTIONS (US) 0.63%
FINANCIALS ARTHUR J GALLAGHAR 0.59%
INFORMATION TECHNOLOGY PTC 0.57%
INDUSTRIALS UBER TECHNOLOGIES 0.56%
UTILITIES CENTERPOINT ENERGY 0.53%
CONSUMER STAPLES CLOROX 0.53%
INFORMATION TECHNOLOGY NORTONLIFELOCK 0.51%
INFORMATION TECHNOLOGY AMPHENOL 'A' 0.47%
COMMUNICATION SERVICES SCOUT24 SE 0.45%
UTILITIES AMERICAN ELECTRIC POWER 0.44%
CONSUMER DISCRETIONARY YUM BRANDS 0.44%
CONSUMER DISCRETIONARY AMAZON.COM 0.43%
REAL ESTATE HULIC 0.40%
INFORMATION TECHNOLOGY INTUIT 0.40%
COMMUNICATION SERVICES VERIZON COMMUNICATIONS (US) 0.40%
CONSUMER STAPLES CONSTELLATION BRANDS 0.37%
UTILITIES NISOURCE 0.37%
FINANCIALS CAIXABANK 0.36%
UTILITIES ENEL 0.36%
FINANCIALS DEUTSCHE BOERSE 0.34%
FINANCIALS ISHARES EDGE MSCI WORLD MINIMU 0.32%
INFORMATION TECHNOLOGY GODADDY A 0.31%
MATERIALS AGNICO EAGLE MINES (CANA) 0.30%
CONSUMER STAPLES AHOLD DELHAI (KONINKLIJKE) 0.30%
REAL ESTATE SUN COMMUNITIES - REIT 0.30%
UTILITIES XCEL ENERGY 0.30%
INDUSTRIALS CNH INDUSTRIAL (US) 0.28%
CONSUMER DISCRETIONARY AUTOZONE 0.27%
REAL ESTATE CK ASSET HOLDINGS 0.27%
CONSUMER STAPLES JERONIMO MARTINS & FILHO SGPS 0.27%
INFORMATION TECHNOLOGY KLA-TENCOR 0.27%
HEALTH CARE TAKEDA PHARMACEUTICAL 0.27%
FINANCIALS KBC GROUPE 0.26%
HEALTH CARE MERCK NEW 0.26%
COMMUNICATION SERVICES SPOTIFY TECHNOLOGY 0.26%
CONSUMER DISCRETIONARY COMPASS GROUP 0.25%
CONSUMER STAPLES KERRY GROUP A (IE) 0.25%
UTILITIES RWE 0.25%
INFORMATION TECHNOLOGY NXP SEMICONDUCTORS 0.24%
HEALTH CARE INSULET 0.23%
COMMUNICATION SERVICES KONAMI 0.23%
INDUSTRIALS DSV DE SAMMENSLUT VOGN 0.22%
INFORMATION TECHNOLOGY FIRST SOLAR 0.20%