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CWIG

C WorldWide Globale Aktier Etik KL Udl

CWIGAEKLUDL CO
DKK 107.50-DKK 0.60  (0.56%)
Estimate
Beta
0.089
Dividends
Dividend yield
1.21%
Annual payout
DKK 1.30
Next ex. div date
January 27, 27
Div.rating
About the company
Ticker
CWIGAEKLUDL
ISIN
Country
Other
Sector (GICS)
Other
C WorldWide Globale Aktier Etik KL is an open ended equity mutual fund launched by Carnegie Kapitalforvaltning AS. The fund is managed by Carnegie Asset Management Fondsmaeglerselskab A/S. The fund invests in public equity markets across the globe. It invests in stocks of companies operating across diversified sectors. The fund invests in securities that follow socially responsible approach. It benchmarks the performance of its portfolio against the MSCI AC World Index. The fund does not invest in companies that operate in the alcohol, tobacco, gambling, pornography and weapons industry. C WorldWide Globale Aktier Etik KL was formed on November 23, 2010 and is domiciled in Denmark.

Frequently asked questions

What sector does C WorldWide Globale Aktier Etik KL Udl (CWIGAEKLUDL) operate in?

C WorldWide Globale Aktier Etik KL Udl belongs to the Other sector and operates in the industry.

What is C WorldWide Globale Aktier Etik KL Udl (CWIGAEKLUDL) current stock price?

As of the latest data, C WorldWide Globale Aktier Etik KL Udl stock price is DKK 107.50, with a previous close of DKK 108.10. C WorldWide Globale Aktier Etik KL Udl lost -DKK 0.60 in the last trading session, representing a -0.56% loss.

Does C WorldWide Globale Aktier Etik KL Udl (CWIGAEKLUDL) pay dividends?

Yes. C WorldWide Globale Aktier Etik KL Udl pays annual dividends with an annualized yield of 1.21% and an estimated annual payout of DKK 1.30 per share.

When is the next ex-dividend date for C WorldWide Globale Aktier Etik KL Udl (CWIGAEKLUDL)?

The next ex-dividend date is scheduled for January 27, 2027.

What is C WorldWide Globale Aktier Etik KL Udl (CWIGAEKLUDL) beta (volatility) score?

C WorldWide Globale Aktier Etik KL Udl has a beta of 0.089, indicating lower volatility than the overall market.