Etflytics

Amundi Core MSCI World UCITS ETF 2 Acc

SFDR 6
AWOR
|
IE000XBYQE47
|Amundi
303.44 USD+0.00% YTD

Encours

19B USD

Frais (TER)

0.06%

Lignes

1 218

YTD

+0.00%
Comparer cet ETF

Composition complète · 1 218 lignes

#Ticker
1NVIDIA CorpNVDA
5.94%
Information TechnologyUS
2Apple IncAAPL
5.38%
Information TechnologyUS
3Microsoft CorpMSFT
4.07%
Information TechnologyUS
4Amazon.com IncAMZN
2.74%
Consumer DiscretionaryUS
5Alphabet IncGOOGL
2.24%
Communication ServicesUS
6Broadcom Corp / Broadcom Cayman Finance LtdAVGO
1.85%
Information TechnologyMULT
7Alphabet IncGOOG
1.77%
Communication ServicesUS
8Meta Platforms IncMETA
1.72%
Communication ServicesUS
9Micron Technology IncMU
1.34%
Information TechnologyUS
10Tesla IncTSLA
1.18%
Consumer DiscretionaryUS
11Advanced Micro Devices IncAMD
1.15%
Information TechnologyUS
12Eli Lilly & CoLLY
1.04%
Health CareUS
13JPMorgan Chase & CoJPM
0.955%
FinancialsUS
14Berkshire Hathaway IncBRK/B
0.778%
FinancialsUS
15ASML Holding NVASML
0.762%
Information TechnologyNL
16Exxon Mobil CorpXOM
0.74%
EnergyUS
17Johnson & JohnsonJNJ
0.678%
Health CareUS
18Visa IncV
0.673%
FinancialsUS
19Intel CorpINTC
0.542%
Information TechnologyUS
20AbbVie IncABBV
0.523%
Health CareUS
21Walmart IncWMT
0.516%
Consumer StaplesUS
22Mastercard IncMA
0.505%
FinancialsUS
23Cisco Systems IncCSCO
0.504%
Information TechnologyUS
24Palantir Technologies IncPLTR
0.461%
Information TechnologyUS
25Costco Wholesale CorpCOST
0.455%
Consumer StaplesUS
26Applied Materials IncAMAT
0.45%
Information TechnologyUS
27Lam Research CorpLRCX
0.449%
Information TechnologyUS
28Chevron USA IncCVX
0.411%
EnergyUS
29Caterpillar Financial Services CorpCAT
0.409%
Information TechnologyUS
30MSD Netherlands Capital BVMRK
0.407%
Health CareNL
31Bank of America CorpBAC
0.379%
FinancialsUS
32Procter & Gamble Co/ThePG
0.376%
Consumer StaplesUS
33UnitedHealth Group IncUNH
0.371%
Health CareUS
34Roper Technologies IncROP
0.37%
Information TechnologyUS
35Coca-Cola Co/TheKO
0.362%
Consumer StaplesUS
36Palo Alto Networks IncPANW
0.361%
Information TechnologyUS
37HSBC Holdings PLCHSBA
0.348%
FinancialsGB
38General Electric CoGE
0.344%
IndustrialsUS
39Philip Morris International IncPM
0.327%
Consumer StaplesUS
40Netflix IncNFLX
0.316%
Communication ServicesUS
41Home Depot Inc/TheHD
0.311%
Consumer DiscretionaryUS
42SHELLSHELL
0.309%
EnergyNetherlands
43Sanofi SASAN
0.308%
Health CareFR
44GE Vernova IncGEV
0.293%
IndustrialsUS
45Royal Bank of CanadaRY
0.289%
FinancialsCA
46Crowdstrike Holdings IncCRWD
0.288%
Information TechnologyUS
47Novartis AGNOVN
0.287%
Health CareCH
48Texas Instruments IncTXN
0.286%
Information TechnologyUS
49Goldman Sachs Group Inc/TheGS
0.286%
FinancialsUS
50KLA CorpKLAC
0.28%
Information TechnologyUS
51Sandisk CorpSNDK
0.273%
Information TechnologyUS
52Oracle CorpORCL
0.27%
Information TechnologyUS
53Thermo Fisher Scientific IncTMO
0.269%
Health CareUS
54Mitsubishi UFJ Financial Group Inc8306
0.267%
FinancialsJP
55Wells Fargo & CoWFC
0.266%
FinancialsUS
56RTX CorpRTX
0.265%
IndustrialsUS
57Marvell Technology IncMRVL
0.265%
Information TechnologyUS
58Astrazeneca Finance LLCAZN
0.264%
Health CareUS
59Schneider Electric SESU
0.258%
IndustrialsFR
60Nestle SANESN
0.255%
Consumer StaplesCH
61Arista Networks IncANET
0.252%
Information TechnologyUS
62Linde PLCLIN
0.245%
MaterialsIE
63Morgan StanleyMS
0.244%
FinancialsUS
64Amgen IncAMGN
0.244%
Health CareUS
65BHP Billiton Finance LtdBHP
0.242%
MaterialsAU
66SIA Engineering Co LtdSIE
0.24%
IndustrialsSG
67Saputo IncSAP
0.24%
Consumer StaplesCA
68Citigroup IncC
0.237%
FinancialsUS
69Amphenol Technologies Holding GmbHAPH
0.235%
Information TechnologyDE
70International Business Machines CorpIBM
0.226%
Information TechnologyUS
71MSCI WORLD INDEX (USD,NTR) 12/26 EUREXZWPZ6
0.224%
United States
72Shopify IncSHOP
0.22%
Information TechnologyCA
73Analog Devices IncADI
0.218%
Information TechnologyUS
74Advantest Corp6857
0.209%
Information TechnologyJP
75Verizon Communications IncVZ
0.208%
Communication ServicesUS
76Toronto-Dominion Bank/TheTD
0.205%
FinancialsCA
77QUALCOMM IncQCOM
0.203%
Information TechnologyUS
78Gilead Sciences IncGILD
0.20%
Health CareUS
79Walt Disney Co/TheDIS
0.198%
Communication ServicesUS
80Salesforce IncCRM
0.196%
Information TechnologyUS
81Seagate Technology Holdings PLCSTX
0.194%
Information TechnologyUS
82Autoliv IncALV
0.194%
Consumer DiscretionaryUS
83Commonwealth Bank of AustraliaCBA
0.191%
FinancialsAU
84Tokyo Electron Ltd8035
0.191%
Information TechnologyJP
85Toyota Motor Corp7203
0.19%
Consumer DiscretionaryJP
86AT&T IncT
0.19%
Communication ServicesUS
87Dell Bank International DACDELL
0.19%
Information TechnologyIE
88Abbott Ireland Financing DACABT
0.188%
Health CareIE
89PepsiCo IncPEP
0.184%
Consumer StaplesUS
90Eaton Capital ULCETN
0.183%
IndustrialsIE
91McDonald's CorpMCD
0.179%
Consumer DiscretionaryUS
92Union Pacific CorpUNP
0.178%
IndustrialsUS
93TotalEnergies SETTE
0.178%
EnergyFR
94American Express CoAXP
0.176%
FinancialsUS
95NextEra Energy Capital Holdings IncNEE
0.176%
UtilitiesUS
96Pfizer Netherlands International Finance BVPFE
0.175%
Health CareNL
97John Deere Capital CorpDE
0.175%
IndustrialsUS
98Hitachi Ltd6501
0.173%
IndustrialsJP
99Charles Schwab Corp/TheSCHW
0.173%
FinancialsUS
100BlackRock Funding Inc/DEBLK
0.172%
FinancialsUS
101ConocoPhillips CoCOP
0.172%
EnergyUS
102Welltower OP LLCWELL
0.17%
Real EstateUS
103Sumitomo Mitsui Financial Group Inc8316
0.17%
FinancialsJP
104Rolls-Royce Holdings PLCRR/
0.168%
IndustrialsGB
105TJX Cos Inc/TheTJX
0.167%
Consumer DiscretionaryUS
106ABB LtdABBN
0.163%
IndustrialsCH
107SoftBank Group Corp9984
0.162%
Communication ServicesJP
108Intuitive Surgical IncISRG
0.16%
Health CareUS
109UBS Group AGUBSG
0.16%
FinancialsCH
110Banco Bilbao Vizcaya Argentaria SABBVA
0.159%
FinancialsES
111Iberdrola SAIBE
0.158%
UtilitiesES
112ServiceNow IncNOW
0.155%
Information TechnologyUS
113Country Garden Services Holdings Co Ltd6098
0.155%
Real EstateHK
114Boeing Co/TheBA
0.155%
IndustrialsUS
115Rio Tinto PLCRIO
0.154%
MaterialsGB
116Western Digital CorpWDC
0.153%
Information TechnologyUS
117Danaher CorpDHR
0.153%
Health CareUS
118Sony Group Corp6758
0.15%
Consumer DiscretionaryJP
119Unilever PLCULVR
0.143%
Consumer StaplesGB
120Kioxia Holdings Corp285A
0.142%
Information TechnologyJP
121Corning IncGLW
0.141%
Information TechnologyUS
122Vertex Pharmaceuticals IncVRTX
0.141%
Health CareUS
123DTE Electric CoDTE
0.14%
UtilitiesUS
124Marathon Petroleum CorpMPC
0.14%
EnergyUS
125Mizuho Financial Group Inc8411
0.139%
FinancialsJP
126Progressive Corp/ThePGR
0.137%
FinancialsUS
127Air New Zealand LtdAIR
0.137%
IndustrialsNZ
128Valero Energy CorpVLO
0.137%
EnergyUS
129Energizer Holdings IncENR
0.137%
Consumer StaplesUS
130Newmont CorpNEM
0.136%
MaterialsUS
131DBS Group Holdings LtdDBS
0.135%
FinancialsSG
132Safran SASAF
0.134%
IndustrialsFR
133Novo Nordisk Finance Netherlands BVNOVOB
0.134%
Health CareNL
134BMS Ireland Capital Funding DACBMY
0.134%
Health CareIE
135Uber Technologies IncUBER
0.133%
IndustrialsUS
136Booking Holdings IncBKNG
0.132%
Consumer DiscretionaryUS
137Parker-Hannifin CorpPH
0.132%
IndustrialsUS
138Accenture Capital IncACN
0.131%
Information TechnologyUS
139S&P Global IncSPGI
0.131%
FinancialsUS
140Prologis Euro Finance LLCPLD
0.13%
Real EstateUS
141Fortinet IncFTNT
0.129%
Information TechnologyUS
142Chubb INA Holdings LLCCB
0.128%
FinancialsUS
143UniCredit SpAUCG
0.128%
FinancialsIT
144C3.ai IncAI
0.127%
Information TechnologyUS
145Altria Group IncMO
0.127%
Consumer StaplesUS
146BP PLCBP/
0.127%
EnergyGB
147Capital One Financial CorpCOF
0.126%
FinancialsUS
148Danone SABN
0.125%
Consumer StaplesFR
149CVS Health CorpCVS
0.123%
Health CareUS
150Cullen/Frost Bankers IncCFR
0.122%
FinancialsUS
150 lignes affichées sur 1 218
Composition Amundi Core MSCI World UCITS ETF (AWOR) : 1218 lignes | Etflytics