Informationen zum Unternehmen
Name Hyundai Motor Co.
ISIN USY384721251
US4491877076
KR7005380001
US4491875096
Website http://worldwide.hyundai.com/WW/Main/index.html
Konflikte
Erläuterung Hyundai Motor Co. (Teil der Hyundai Motor Group) ist ein südkoreanischer Automobilkonzern. Aufgrund von Verstößen gegen Arbeitsrechte wird das Unternehmen von der Nachhaltigkeits-Ratingagentur Sustainalytics in die Kategorie 4 (hoch, siehe Quellen in der Methodik) eingestuft.
Quellen Sustainalytics Controversy Report Hyundai Motors (Stand: November 2017)
Anzahl laufender Anleihen 39
Anzahl beinhaltender Fonds 98
Fonds, die Aktien oder Anleihen des Unternehmens halten
ISIN des Fonds Name Bemerkung Gesamthöhe kontroverser Unternehmensbeteiligungen Höhe der Beteiligung in Hyundai Motor Co.
LU0348756692 Allianz Korea Equity - A - USD
20.72%
1.08%
LU0348805143 Allianz Tiger - A - USD
12.58%
0.87%
IE0002817868 Allianz Korea Fund - A - USD
21.55%
1.32%
IE0004880047 Allianz Korea Fund - A - EUR
21.55%
1.32%
IE00B29MW485 Allianz Korea Fund - AT - USD
21.55%
1.32%
LU0348804922 Allianz Tiger - A - EUR
12.58%
0.87%
LU1706852610 Allianz Tiger - P - EUR
12.58%
0.87%
LU1740661084 Allianz Global Floating Rate N Plus-A(H2-EUR)-EUR
14.48%
1.34%
LU1740661167 Allianz Global Floating Rate No Pl -AT(H2-EUR)-EUR
14.48%
1.34%
LU1740659690 Allianz Global Floating Rate Notes Plus - AT - USD
14.48%
1.34%
LU1807156069 Allianz Global Floating Rate Notes Plus - AQ - USD
14.48%
1.34%
LU1846563374 Allianz Global Fl Rate Notes Plus-AMg(H2-SGD)-SGD
14.48%
1.34%
LU1846562483 Allianz Global Floating Rate Notes Plus - AMg -USD
14.48%
1.34%
LU1851368339 Allianz Global Floating Rate Notes Plus - AMg -HKD
14.48%
1.34%
LU1851368412 Allianz Global Floating Rate Notes P-AT(H2-SGD)SGD
14.48%
1.34%
LU1851368503 Allianz Global Floating Rate Notes Plus - AT - HKD
14.48%
1.34%
LU1861128491 Allianz Global Floating Rate No Pl-AMg3(H2-SGD)SGD
14.48%
1.34%
LU1859410943 Allianz Global Floating Rate Notes Plus-AMg3-HKD
14.48%
1.34%
LU1859410869 Allianz Global Floating Rate Notes Plus-AMg3-USD
14.48%
1.34%
LU1859410513 Allianz Global Floating Rate Notes Plus - AT3 -USD
14.48%
1.34%
LU1873969643 Allianz Global Floating Rate Notes Pl-A3(H2EUR)EUR
14.48%
1.34%
LU1873969726 Allianz Global Floating Rate Notes Plus - A3 - USD
14.48%
1.34%
LU1896600902 Allianz Credit Opportunities - P7 - EUR
5.35%
1.68%
LU1890836619 Allianz Global Floating Rate Nts Pl-AMg(H2-AUD)AUD
14.48%
1.34%
LU1931925306 Allianz Global Floating Rate Notes Plus - AM (H2-AUD) - AUD
14.48%
1.34%
LU1931925561 Allianz Global Floating Rate N Plus AM(H2-NZD)NZD
14.48%
1.34%
LU1931925488 Allianz Global Floating Rate Notes Plus-AM-HKD
14.48%
1.34%
LU1934579084 Allianz Global Floating Rate Notes Plus - AM - USD
14.48%
1.34%
LU1951921383 Allianz Credit Opportunities - AT - EUR
5.35%
1.68%
LU1953144380 Allianz Credit Opportunities - RT (H2-CHF) - CHF
5.35%
1.68%
LU1953144034 Allianz Credit Opportunities - A - EUR
5.35%
1.68%
LU1953144117 Allianz Credit Opportunities - R - EUR
5.35%
1.68%
LU1953144208 Allianz Credit Opportunities - RT - EUR
5.35%
1.68%
LU1740661597 Allianz Global Floating Rate N Plus-P (H2-EUR)-EUR
14.48%
1.34%
LU1740662058 Allianz Global Floating Rate N Plus-P10(H2-EUR)EUR
14.48%
1.34%
LU1740660607 Allianz Global Floating Rate Notes Plus -P10-USD
14.48%
1.34%
LU1740660862 Allianz Global Floating Rate Notes P-R(H2-EUR)-EUR
14.48%
1.34%
LU1740660946 Allianz Global Floating Rate Note P-RT(H2-EUR)-EUR
14.48%
1.34%
LU1807156143 Allianz Global Floating Rate Notes Plus - PQ - USD
14.48%
1.34%
LU1740659344 Allianz Global Floating Rate Notes Plus - RT - USD
14.48%
1.34%
LU1859410786 Allianz Global Float Rate Notes Plus-AT3(H2CHF)CHF
14.48%
1.34%
LU1859410604 Allianz Global Float Rate Notes Pls-AT3(H2-EUR)EUR
14.48%
1.34%
LU1860909420 Allianz Global Floating Rate Notes Plus-RM10-USD
14.48%
1.34%
LU1859410356 Allianz Global Floating Rate Ns Pl-RT10(H2-CHF)CHF
14.48%
1.34%
LU1859410190 Allianz Global Floating Rate Ns Pl-RT10(H2-EUR)EUR
14.48%
1.34%
LU1859410430 Allianz Gl Floating Rate Note Plus-RT10(H2-GBP)GBP
14.48%
1.34%
LU1859409937 Allianz Global Floating Rate Notes Plus-RT10-USD
14.48%
1.34%
LU1865151887 Allianz Global Floating Rate Notes Pl-P(H2-GBP)GBP
14.48%
1.34%
LU1914381675 Allianz Global Floating Rate Notes RM10 (H2-SGD)
14.48%
1.34%
LU1914381592 Allianz Global Floating Rate Notes RM10 (HKD)
14.48%
1.34%
LU1931926536 Allianz Global Floating Rate Notes Plus-RT-EUR
14.48%
1.34%
LU0063729296 BGF Asian Tiger Bond A2 USD
2.33%
0.49%
LU0096258362 BGF US Dollar Bond A2 USD
6.19%
0.17%
LU0184696937 BGF World Bond A2 USD
6.33%
0.04%
LU0106258311 Schroder ISF Global Corporate Bond A Acc
10.15%
0.12%
LU0151774972 UBS (Lux) Bond S - Short Term USD Corp (USD) P-a
30.41%
0.49%
LU0159202463 LO Funds - Convertible Bond (EUR) PD
7.33%
0.01%
LU0289470113 JPM Income Opportunity A (perf) Acc EUR Hgd
4.3%
0.27%
LU0271177163 Deka-Global ConvergenceAktien CF
11.71%
0.39%
LU0271177593 Deka-Global ConvergenceAktien TF
11.71%
0.39%
DE000A0ERYQ0 Keppler-Emerging Markets-INVEST
18.03%
1.25%
LU0390134954 Franklin World Perspectives A (acc) EUR
10.29%
0.18%
LU0390134368 Franklin World Perspectives A (acc) USD
10.29%
0.18%
LU0106252389 Schroder ISF Emerging Markets A Acc
11.97%
0.68%
LU0757360960 Schroder ISF Global Multi-Asset Inc A Dis EUR H QV
6.44%
0.03%
LU0112803316 SWC (LU) PF Responsible Balance (CHF) AA
12.44%
0.00%
LU0112806921 SWC (LU) PF Responsible Focus (CHF) AT
12.24%
0.01%
LU0112804983 SWC (LU) PF Responsible Balance (EUR) AA
6.75%
0.00%
LU0112799613 SWC (LU) PF Responsible Ambition (EUR) AT
6.72%
0.00%
LU0161533970 SWC (LU) PF Responsible Ambition (EUR) AA
6.72%
0.00%
LU0161534861 SWC (LU) PF Responsible Focus (CHF) AA
12.24%
0.01%
LU0346595837 UBS (Lux) Eq S - Em Mkts Sustainable (USD) Pa
10.02%
1.03%
LU0784383712 BGF Global Multi-Asset Income A4G EUR Hedged
7.96%
0.00%
DE0009773010 DWS Emerging Markets Typ O
10.66%
0.74%
LU0034353002 DWS Floating Rate Notes LC
13.53%
0.46%
LU0360863863 ARERO - Der Weltfonds
9.62%
0.06%
DE0009769703 DWS Internationale Renten Typ O
3.05%
0.39%
DE0009769760 DWS Top Asien LC
10.93%
0.79%
LU0145648290 DWS Invest Top Asia LC
15.85%
0.70%
LU0210301635 DWS Invest Global Emerging Markets Eq LC
11.07%
0.56%
LU0273170737 DWS Invest Emerging Markets Corp USD LC
7.33%
0.46%
LU0781233118 DWS Invest II Asian Top Dividend LC
11.78%
0.32%
LU0982744301 DWS Invest ESG Global Corporate Bonds FC
9.28%
0.67%
LU1211655896 DWS Invest Global Short Duration USD LC
6.81%
0.71%
LU1249492460 DWS Invest Multi Credit USD LD
10.58%
0.85%
LU1445758144 DWS Invest Global Bonds High Conviction FC
16.36%
1.24%
LU0041580167 Deutsche Floating Rate Notes USD LD
16.22%
0.58%
LU0455866771 Global Emerging Markets Balance Portfolio LD
7.87%
0.25%
LU0383775318 UniRak Emerging Markets A
9.83%
0.47%
LU0383775664 UniRak Emerging Markets -net- A
9.83%
0.47%
LU0037079034 UniAsia
10.53%
0.80%
LU0100938306 UniAsiaPacific -net- A
12.83%
0.48%
LU0100937670 UniAsiaPacific A
12.83%
0.48%
LU0115904467 UniEM Global A
11.9%
0.97%
LU0993948974 UniEuroRenta Untermehmensanleihen 2020 A
11.57%
0.82%
LU0993954352 UniEuroRenta Untermehmensanleihen 2020 -net- A
11.57%
0.82%
LU1101707187 UniEuroRenta Unternehmensanleihen EM 2021 A
7.17%
0.73%
LU1101736442 UniEuroRenta Unternehmensanleihen EM 2021 -net- A
7.17%
0.73%