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BlackRock US Mid-Cap Value Fund Class(USD) A2
Last NAV
USD
 
373.76
(Last Update : 2024/09/06)
1-Month return
 
+2.84%
Fund House BlackRock Asset Management North Asia Limited
Fund Type Equity Funds
Fund Size
 
281.31M
Sector General
Geographic Allocation US
Cumulative Performance
Period
Range
Return
Fund Avg
1-Week
373.44 - 381.29
-1.97%
-2.34%
1-Month
360.99 - 381.29
+2.84%
+2.61%
3-Month
352.88 - 381.29
+3.28%
-0.79%
1-Year
297.67 - 381.29
+17.12%
+10.56%
3-Year
280.16 - 381.29
+16.73%
-6.02%
Since Launch
58.91 - 381.29
N/A
+380.67%
Volatility
3 year annualised standard deviation
10.76%
1M | 3M | 6M | Adv. Chart 
 
 | 
 
Color - 
Calendar Year Performance
Returns (%)
2023
2022
2021
2020
2019
USD
+11.63%
-5.68%
+25.77%
+4.51%
+27.35%
USD
+11.63%
-5.68%
+25.77%
+4.51%
+27.35%
Portfolio Composition
By Market
 United States (82.04%)
 United Kingdom (4.48%)
 Cash and/or Derivatives (3.44%)
 Canada (2.85%)
 Germany (2.03%)
 Japan (1.21%)
 Netherlands (1.17%)
 Switzerland (0.80%)
 Norway (0.48%)
 Spain (0.43%)
By Sector
 Financials (16.63%)
 Industrials (16.05%)
 Health Care (13.11%)
 Information Technology (9.34%)
 Consumer Discretionary (8.38%)
 Consumer Staples (7.48%)
 Utilities (7.11%)
 Materials (6.42%)
 Energy (5.02%)
 Communication (4.98%)
 Cash and Derivatives (3.44%)
 Other (2.04%)
By Type
 large cup->$10bn (77.61%)
 mid cup-$2-10bn (17.49%)
 cash and derivatives (3.44%)
 small cup-<$2bn (1.46%)
Top Holdings
Asset
Attribute
Proportion
 
FIRST CITIZENS BANCSHARES INC CLAS
2.74%
CARDINAL HEALTH INC
2.54%
SS AND C TECHNOLOGIES HOLDINGS INC
2.37%
HUNTINGTON INGALLS INDUSTRIES INC
2.20%
KRAFT HEINZ
1.83%
SEALED AIR CORP
1.82%
BAXTER INTERNATIONAL INC
1.76%
FIDELITY NATIONAL INFORMATION SERV
1.76%
WESTERN DIGITAL CORP
1.72%
GENERAL MOTORS
1.72%
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Fund - Browser History
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