Etflytics

iShares FTSE All World UCITS ETF

FTSA
|
IE000OL3XN92
|iShares
5.03 USD+0.00% YTD

Encours

40M USD

Frais (TER)

0.12%

Lignes

2 678

YTD

+0.00%
Comparer cet ETF

Composition complète · 2 678 lignes

#Ticker
1NVIDIANVDA
5.03%
Information TechnologyUnited States
2APPLEAAPL
4.59%
Information TechnologyUnited States
3MICROSOFTMSFT
3.63%
Information TechnologyUnited States
4AMAZON.COM INCAMZN
2.30%
Consumer DiscretionaryUnited States
5ALPHABET CLASS AGOOGL
1.90%
CommunicationUnited States
6TAIWAN SEMICONDUCTOR MANUFACTURING2330
1.84%
Information TechnologyTaiwan
7BROADCOM INCAVGO
1.56%
Information TechnologyUnited States
8ALPHABET CLASS CGOOG
1.53%
CommunicationUnited States
9META PLATFORMS CLASS AMETA
1.48%
CommunicationUnited States
10MICRON TECHNOLOGYMU
1.07%
Information TechnologyUnited States
11TESLA INCTSLA
1.02%
Consumer DiscretionaryUnited States
12ADVANCED MICRO DEVICESAMD
0.937%
Information TechnologyUnited States
13ELI LILLYLLY
0.874%
Health CareUnited States
14BERKSHIRE HATHAWAY INC CLASS BBRK/B
0.873%
FinancialsUnited States
15SAMSUNG ELECTRONICS LTD005930
0.846%
Information TechnologyKorea (South)
16JPMORGAN CHASE & COJPM
0.83%
FinancialsUnited States
17SK HYNIX000660
0.675%
Information TechnologyKorea (South)
18ASML HOLDINGASML
0.671%
Information TechnologyNetherlands
19EXXONMOBIL HOLDINGS CORPXOM
0.647%
EnergyUnited States
20VISA CLASS AV
0.594%
FinancialsUnited States
21JOHNSON & JOHNSONJNJ
0.573%
Health CareUnited States
22INTEL CORPORATIONINTC
0.458%
Information TechnologyUnited States
23WALMARTWMT
0.455%
Consumer StaplesUnited States
24ABBVIEABBV
0.454%
Health CareUnited States
25MASTERCARD CLASS AMA
0.429%
FinancialsUnited States
26CISCO SYSTEMS INCCSCO
0.419%
Information TechnologyUnited States
27PALANTIR TECHNOLOGIES CLASS APLTR
0.407%
Information TechnologyUnited States
28COSTCO WHOLESALE CORPCOST
0.388%
Consumer StaplesUnited States
29APPLIED MATERIAL INCAMAT
0.381%
Information TechnologyUnited States
30LAM RESEARCHLRCX
0.378%
Information TechnologyUnited States
31CHEVRONCVX
0.366%
EnergyUnited States
32CATERPILLAR INCCAT
0.338%
IndustrialsUnited States
33MERCK & CO INCMRK
0.331%
Health CareUnited States
34BANK OF AMERICABAC
0.325%
FinancialsUnited States
35PROCTER & GAMBLEPG
0.324%
Consumer StaplesUnited States
36COCA-COLAKO
0.32%
Consumer StaplesUnited States
37TENCENT HOLDINGS700
0.314%
CommunicationChina
38UNITEDHEALTH GROUPUNH
0.311%
Health CareUnited States
39GE AEROSPACEGE
0.299%
IndustrialsUnited States
40PALO ALTO NETWORKSPANW
0.295%
Information TechnologyUnited States
41PHILIP MORRIS INTERNATIONALPM
0.293%
Consumer StaplesUnited States
42HSBC HOLDINGS PLCHSBA
0.288%
FinancialsUnited Kingdom
43ROCHE PS PAR AGROP
0.278%
Health CareSwitzerland
44NETFLIXNFLX
0.277%
CommunicationUnited States
45HOME DEPOTHD
0.277%
Consumer DiscretionaryUnited States
46SHELLSHELL
0.275%
EnergyUnited Kingdom
47NOVARTIS AGNOVN
0.253%
Health CareSwitzerland
48GE VERNOVAGEV
0.25%
IndustrialsUnited States
49ROYAL BANK OF CANADARY
0.247%
FinancialsCanada
50CROWDSTRIKE HOLDINGS CLASS ACRWD
0.246%
Information TechnologyUnited States
51TEXAS INSTRUMENT INCTXN
0.245%
Information TechnologyUnited States
52KLAKLAC
0.242%
Information TechnologyUnited States
53GOLDMAN SACHS GROUPGS
0.238%
FinancialsUnited States
54ALIBABA GROUP HOLDING9988
0.236%
Consumer DiscretionaryChina
55WELLS FARGOWFC
0.231%
FinancialsUnited States
56RTXRTX
0.23%
IndustrialsUnited States
57MARVELL TECHNOLOGYMRVL
0.224%
Information TechnologyUnited States
58THERMO FISHER SCIENTIFIC INCTMO
0.222%
Health CareUnited States
59MITSUBISHI UFJ FINANCIAL GROUP8306
0.221%
FinancialsJapan
60NESTLE SANESN
0.22%
Consumer StaplesSwitzerland
61ASTRAZENECA PLCAZN
0.218%
Health CareUnited Kingdom
62ORACLEORCL
0.214%
Information TechnologyUnited States
63SANDISKSNDK
0.213%
Information TechnologyUnited States
64SIEMENS N AGSIE
0.212%
IndustrialsGermany
65LINDE PLCLIN
0.212%
MaterialsUnited States
66SAPSAP
0.209%
Information TechnologyGermany
67AMGEN INCAMGN
0.204%
Health CareUnited States
68CITIGROUPC
0.203%
FinancialsUnited States
69ARISTA NETWORKSANET
0.202%
Information TechnologyUnited States
70MEDIATEK2454
0.201%
Information TechnologyTaiwan
71MORGAN STANLEYMS
0.199%
FinancialsUnited States
72INTERNATIONAL BUSINESS MACHINESIBM
0.197%
Information TechnologyUnited States
73AMPHENOL CORP CLASS AAPH
0.194%
Information TechnologyUnited States
74ADVANTEST6857
0.194%
Information TechnologyJapan
75BHP GROUP LTDBHP
0.194%
MaterialsAustralia
76TOKYO ELECTRON8035
0.192%
Information TechnologyJapan
77BANCO SANTANDERSAN
0.192%
FinancialsSpain
78ANALOG DEVICESADI
0.186%
Information TechnologyUnited States
79SHOPIFY SUBORDINATE VOTING CLASS ASHOP
0.185%
Information TechnologyCanada
80TOYOTA MOTOR7203
0.183%
Consumer DiscretionaryJapan
81VERIZON COMMUNICATIONS INCVZ
0.182%
CommunicationUnited States
82TORONTO DOMINIONTD
0.177%
FinancialsCanada
83WALT DISNEYDIS
0.176%
CommunicationUnited States
84QUALCOMMQCOM
0.175%
Information TechnologyUnited States
85GILEAD SCIENCESGILD
0.17%
Health CareUnited States
86SALESFORCECRM
0.17%
Information TechnologyUnited States
87PEPSICOPEP
0.164%
Consumer StaplesUnited States
88ALLIANZALV
0.161%
FinancialsGermany
89DELL TECHNOLOGIES INC CLASS CDELL
0.161%
Information TechnologyUnited States
90AT&TT
0.16%
CommunicationUnited States
91COMMONWEALTH BANK OF AUSTRALIACBA
0.16%
FinancialsAustralia
92ABBOTT LABORATORIESABT
0.158%
Health CareUnited States
93MCDONALDS CORPMCD
0.158%
Consumer DiscretionaryUnited States
94SEAGATE TECHNOLOGY HOLDINGS PLCSTX
0.157%
Information TechnologyUnited States
95EATON PLCETN
0.156%
IndustrialsUnited States
96UNION PACIFICUNP
0.155%
IndustrialsUnited States
97AMERICAN EXPRESSAXP
0.154%
FinancialsUnited States
98CONOCOPHILLIPSCOP
0.154%
EnergyUnited States
99NEXTERA ENERGYNEE
0.151%
UtilitiesUnited States
100WELLTOWERWELL
0.15%
Real EstateUnited States
101CHARLES SCHWABSCHW
0.15%
FinancialsUnited States
102DEEREDE
0.15%
IndustrialsUnited States
103BLACKROCKBLK
0.149%
FinancialsUnited States
104PFIZERPFE
0.146%
Health CareUnited States
105SCHNEIDER ELECTRICSU
0.145%
IndustrialsFrance
106IBERDROLAIBE
0.145%
UtilitiesSpain
107TJXTJX
0.144%
Consumer DiscretionaryUnited States
108TOTALENERGIESTTE
0.143%
EnergyFrance
109HITACHI6501
0.141%
IndustrialsJapan
110ROLLS-ROYCE HOLDINGS PLCRR/
0.141%
IndustrialsUnited Kingdom
111ABB LTDABBN
0.137%
IndustrialsSwitzerland
112INTUITIVE SURGICALISRG
0.136%
Health CareUnited States
113SUMITOMO MITSUI FINANCIAL GROUP8316
0.135%
FinancialsJapan
114UBS GROUP AGUBSG
0.135%
FinancialsSwitzerland
115SONY GROUP6758
0.135%
Consumer DiscretionaryJapan
116SOFTBANK GROUP CORP9984
0.134%
CommunicationJapan
117SERVICENOWNOW
0.133%
Information TechnologyUnited States
118BANCO BILBAO VIZCAYA ARGENTARIA SABBVA
0.132%
FinancialsSpain
119BOEINGBA
0.131%
IndustrialsUnited States
120UBER TECHNOLOGIESUBER
0.131%
IndustrialsUnited States
121KEYENCE6861
0.126%
Information TechnologyJapan
122WESTERN DIGITAL CORPWDC
0.125%
Information TechnologyUnited States
123MARATHON PETROLEUMMPC
0.124%
EnergyUnited States
124DANAHERDHR
0.123%
Health CareUnited States
125VALERO ENERGY CORPVLO
0.123%
EnergyUnited States
126UNILEVER PLCULVR
0.12%
Consumer StaplesUnited Kingdom
127BOOKING HOLDINGSBKNG
0.12%
Consumer DiscretionaryUnited States
128AIRBUS GROUPAIR
0.12%
IndustrialsFrance
129VERTEX PHARMACEUTICALSVRTX
0.119%
Health CareUnited States
130MIZUHO FINANCIAL GROUP8411
0.119%
FinancialsJapan
131SAFRAN SASAF
0.118%
IndustrialsFrance
132FAST RETAILING9983
0.118%
Consumer DiscretionaryJapan
133PROGRESSIVEPGR
0.118%
FinancialsUnited States
134NEWMONTUS6516391066
0.117%
MaterialsUnited States
135ACCENTURE PLC CLASS AACN
0.116%
Information TechnologyUnited States
136LAIR LIQUIDE SOCIETE ANONYME POURAI
0.115%
MaterialsFrance
137UNICREDITUCG
0.115%
FinancialsItaly
138SAMSUNG ELECTRONICS NON VOTING PRE005935
0.114%
Information TechnologyKorea (South)
139USD CASH
0.114%
Cash and/or DerivativesUnited States
140CHUBBCB
0.113%
FinancialsUnited States
141S&P GLOBALSPGI
0.113%
FinancialsUnited States
142SNOWFLAKESNOW
0.112%
Information TechnologyUnited States
143NOVO NORDISK CLASS BNOVOB
0.112%
Health CareDenmark
144BRISTOL MYERS SQUIBBBMY
0.111%
Health CareUnited States
145PARKER-HANNIFINPH
0.111%
IndustrialsUnited States
146CAPITAL ONE FINANCIAL CORPCOF
0.111%
FinancialsUnited States
147BP PLCBP/
0.111%
EnergyUnited Kingdom
148PROLOGIS REITPLD
0.111%
Real EstateUnited States
149ALTRIA GROUP INCMO
0.111%
Consumer StaplesUnited States
150DELTA ELECTRONICS2308
0.111%
Information TechnologyTaiwan
150 lignes affichées sur 2 678
Composition iShares FTSE All World UCITS ETF (FTSA) : 2678 lignes | Etflytics