QCGLIX Mutual Fund
QCGLIX Mutual Fund
CREF Global Equities Account Class R3
Holdings1,805
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QCGLIX Mutual Fund Sector Allocation
QCGLIX sector allocation breaks down across Information Technology (21.6%), Financials (7.2%), Consumer Discretionary (5.9%), Health Care (5.4%), Communication Services (5.3%). Across 1805 holdings, this breakdown reveals the mutual fund's investment focus and diversification.
QCGLIX sector exposure is important for understanding concentration risk. The fund shows reasonable diversification across sectors.
QCGLIX by country shows geographic exposure. QCGLIX overlap reveals how sector exposure compares with other funds.