Etflytics

iShares MSCI All Country World Screened UCITS ETF

SFDR 8
SAAI
|
IE000SNWS0L0
|iShares
5.92 USD+0.00% YTD

Encours

3B USD

Frais (TER)

0.20%

Lignes

1 827

YTD

+0.00%
Comparer cet ETF

Composition complète · 1 827 lignes

#Ticker
1NVIDIANVDA
5.48%
Information TechnologyUnited States
2APPLEAAPL
5.18%
Information TechnologyUnited States
3MICROSOFTMSFT
3.82%
Information TechnologyUnited States
4AMAZON.COM INCAMZN
2.55%
Consumer DiscretionaryUnited States
5ALPHABET CLASS AGOOGL
2.11%
CommunicationUnited States
6TAIWAN SEMICONDUCTOR MANUFACTURING2330
2.03%
Information TechnologyTaiwan
7BROADCOM INCAVGO
1.68%
Information TechnologyUnited States
8ALPHABET CLASS CGOOG
1.68%
CommunicationUnited States
9META PLATFORMS CLASS AMETA
1.63%
CommunicationUnited States
10MICRON TECHNOLOGYMU
1.21%
Information TechnologyUnited States
11TESLA INCTSLA
1.11%
Consumer DiscretionaryUnited States
12ADVANCED MICRO DEVICESAMD
1.04%
Information TechnologyUnited States
13ELI LILLYLLY
0.968%
Health CareUnited States
14SAMSUNG ELECTRONICS LTD005930
0.95%
Information TechnologyKorea (South)
15JPMORGAN CHASE & COJPM
0.908%
FinancialsUnited States
16BERKSHIRE HATHAWAY INC CLASS BBRK/B
0.745%
FinancialsUnited States
17ASML HOLDINGASML
0.73%
Information TechnologyNetherlands
18EXXONMOBIL HOLDINGS CORPXOM
0.724%
EnergyUnited States
19SK HYNIX000660
0.715%
Information TechnologyKorea (South)
20VISA CLASS AV
0.642%
FinancialsUnited States
21JOHNSON & JOHNSONJNJ
0.632%
Health CareUnited States
22WALMARTWMT
0.496%
Consumer StaplesUnited States
23ABBVIEABBV
0.495%
Health CareUnited States
24INTEL CORPORATIONINTC
0.486%
Information TechnologyUnited States
25MASTERCARD CLASS AMA
0.483%
FinancialsUnited States
26CISCO SYSTEMS INCCSCO
0.467%
Information TechnologyUnited States
27PALANTIR TECHNOLOGIES CLASS APLTR
0.453%
Information TechnologyUnited States
28COSTCO WHOLESALE CORPCOST
0.432%
Consumer StaplesUnited States
29APPLIED MATERIAL INCAMAT
0.417%
Information TechnologyUnited States
30LAM RESEARCHLRCX
0.414%
Information TechnologyUnited States
31CATERPILLAR INCCAT
0.379%
IndustrialsUnited States
32MERCK & CO INCMRK
0.362%
Health CareUnited States
33BANK OF AMERICABAC
0.357%
FinancialsUnited States
34UNITEDHEALTH GROUPUNH
0.347%
Health CareUnited States
35TENCENT HOLDINGS700
0.338%
CommunicationChina
36PALO ALTO NETWORKSPANW
0.337%
Information TechnologyUnited States
37GE AEROSPACEGE
0.33%
IndustrialsUnited States
38HSBC HOLDINGS PLCHSBA
0.314%
FinancialsUnited Kingdom
39NETFLIXNFLX
0.31%
CommunicationUnited States
40HOME DEPOTHD
0.304%
Consumer DiscretionaryUnited States
41ROCHE PS PAR AGROP
0.302%
Health CareSwitzerland
42SHELLSHELL
0.295%
EnergyUnited Kingdom
43GE VERNOVAGEV
0.277%
IndustrialsUnited States
44NOVARTIS AGNOVN
0.273%
Health CareSwitzerland
45TEXAS INSTRUMENT INCTXN
0.271%
Information TechnologyUnited States
46GOLDMAN SACHS GROUPGS
0.27%
FinancialsUnited States
47CROWDSTRIKE HOLDINGS CLASS ACRWD
0.268%
Information TechnologyUnited States
48KLAKLAC
0.267%
Information TechnologyUnited States
49ROYAL BANK OF CANADARY
0.261%
FinancialsCanada
50WELLS FARGOWFC
0.257%
FinancialsUnited States
51THERMO FISHER SCIENTIFIC INCTMO
0.249%
Health CareUnited States
52ASTRAZENECA PLCAZN
0.247%
Health CareUnited Kingdom
53SANDISKSNDK
0.247%
Information TechnologyUnited States
54MARVELL TECHNOLOGYMRVL
0.242%
Information TechnologyUnited States
55ORACLEORCL
0.242%
Information TechnologyUnited States
56MITSUBISHI UFJ FINANCIAL GROUP8306
0.236%
FinancialsJapan
57ARISTA NETWORKSANET
0.234%
Information TechnologyUnited States
58ALIBABA GROUP HOLDING9988
0.231%
Consumer DiscretionaryChina
59LINDE PLCLIN
0.229%
MaterialsUnited States
60MORGAN STANLEYMS
0.228%
FinancialsUnited States
61AMGEN INCAMGN
0.226%
Health CareUnited States
62CITIGROUPC
0.226%
FinancialsUnited States
63MEDIATEK2454
0.225%
Information TechnologyTaiwan
64SIEMENS N AGSIE
0.221%
IndustrialsGermany
65BHP GROUP LTDBHP
0.22%
MaterialsAustralia
66INTERNATIONAL BUSINESS MACHINESIBM
0.218%
Information TechnologyUnited States
67AMPHENOL CORP CLASS AAPH
0.216%
Information TechnologyUnited States
68SAPSAP
0.215%
Information TechnologyGermany
69USD CASH
0.21%
Cash and/or DerivativesUnited States
70SHOPIFY SUBORDINATE VOTING CLASS ASHOP
0.204%
Information TechnologyCanada
71ANALOG DEVICESADI
0.204%
Information TechnologyUnited States
72VERIZON COMMUNICATIONS INCVZ
0.203%
CommunicationUnited States
73BANCO SANTANDERSAN
0.201%
FinancialsSpain
74ADVANTEST6857
0.198%
Information TechnologyJapan
75QUALCOMMQCOM
0.195%
Information TechnologyUnited States
76WALT DISNEYDIS
0.195%
CommunicationUnited States
77SALESFORCECRM
0.19%
Information TechnologyUnited States
78TORONTO DOMINIONTD
0.189%
FinancialsCanada
79GILEAD SCIENCESGILD
0.185%
Health CareUnited States
80DELL TECHNOLOGIES INC CLASS CDELL
0.182%
Information TechnologyUnited States
81AT&TT
0.181%
CommunicationUnited States
82TOTALENERGIESTTE
0.181%
EnergyFrance
83ABBOTT LABORATORIESABT
0.18%
Health CareUnited States
84COMMONWEALTH BANK OF AUSTRALIACBA
0.18%
FinancialsAustralia
85TOKYO ELECTRON8035
0.178%
Information TechnologyJapan
86SEAGATE TECHNOLOGY HOLDINGS PLCSTX
0.178%
Information TechnologyUnited States
87TOYOTA MOTOR7203
0.177%
Consumer DiscretionaryJapan
88ALLIANZALV
0.173%
FinancialsGermany
89MCDONALDS CORPMCD
0.171%
Consumer DiscretionaryUnited States
90AMERICAN EXPRESSAXP
0.171%
FinancialsUnited States
91EATON PLCETN
0.17%
IndustrialsUnited States
92UNION PACIFICUNP
0.168%
IndustrialsUnited States
93DEEREDE
0.167%
IndustrialsUnited States
94NEXTERA ENERGYNEE
0.166%
UtilitiesUnited States
95CHARLES SCHWABSCHW
0.165%
FinancialsUnited States
96SCHNEIDER ELECTRICSU
0.162%
IndustrialsFrance
97BLACKROCKBLK
0.161%
FinancialsUnited States
98WELLTOWERWELL
0.161%
Real EstateUnited States
99PFIZERPFE
0.16%
Health CareUnited States
100HITACHI6501
0.16%
IndustrialsJapan
101TJXTJX
0.157%
Consumer DiscretionaryUnited States
102IBERDROLAIBE
0.157%
UtilitiesSpain
103ROLLS-ROYCE HOLDINGS PLCRR/
0.154%
IndustrialsUnited Kingdom
104SUMITOMO MITSUI FINANCIAL GROUP8316
0.154%
FinancialsJapan
105RECRUIT HOLDINGS LTD6098
0.152%
IndustrialsJapan
106INTUITIVE SURGICALISRG
0.152%
Health CareUnited States
107BANCO BILBAO VIZCAYA ARGENTARIA SABBVA
0.151%
FinancialsSpain
108ABB LTDABBN
0.15%
IndustrialsSwitzerland
109UBS GROUP AGUBSG
0.15%
FinancialsSwitzerland
110SERVICENOWNOW
0.15%
Information TechnologyUnited States
111SOFTBANK GROUP CORP9984
0.148%
CommunicationJapan
112DANAHERDHR
0.142%
Health CareUnited States
113WESTERN DIGITAL CORPWDC
0.14%
Information TechnologyUnited States
114SONY GROUP6758
0.14%
Consumer DiscretionaryJapan
115VERTEX PHARMACEUTICALSVRTX
0.133%
Health CareUnited States
116KIOXIA HOLDINGS285A
0.132%
Information TechnologyJapan
117ACCENTURE PLC CLASS AACN
0.131%
Information TechnologyUnited States
118UBER TECHNOLOGIESUBER
0.13%
IndustrialsUnited States
119PROGRESSIVEPGR
0.13%
FinancialsUnited States
120BOOKING HOLDINGSBKNG
0.13%
Consumer DiscretionaryUnited States
121MIZUHO FINANCIAL GROUP8411
0.129%
FinancialsJapan
122NEWMONTUS6516391066
0.129%
MaterialsUnited States
123S&P GLOBALSPGI
0.127%
FinancialsUnited States
124NOVO NORDISK CLASS BNOVOB
0.126%
Health CareDenmark
125CORNINGGLW
0.126%
Information TechnologyUnited States
126FORTINETFTNT
0.125%
Information TechnologyUnited States
127CAPITAL ONE FINANCIAL CORPCOF
0.124%
FinancialsUnited States
128CHUBBCB
0.124%
FinancialsUnited States
129BRISTOL MYERS SQUIBBBMY
0.123%
Health CareUnited States
130DBS GROUP HOLDINGS LTDDBS
0.122%
FinancialsSingapore
131DELTA ELECTRONICS2308
0.122%
Information TechnologyTaiwan
132PROLOGIS REITPLD
0.122%
Real EstateUnited States
133LAIR LIQUIDE SOCIETE ANONYME POURAI
0.121%
MaterialsFrance
134PARKER-HANNIFINPH
0.121%
IndustrialsUnited States
135UNICREDITUCG
0.12%
FinancialsItaly
136SAMSUNG ELECTRONICS NON VOTING PRE005935
0.12%
Information TechnologyKorea (South)
137SNOWFLAKESNOW
0.119%
Information TechnologyUnited States
138PHILLIPS 66PSX
0.117%
EnergyUnited States
139CLOUDFLARE CLASS ANET
0.115%
Information TechnologyUnited States
140MEDTRONIC PLCMDT
0.114%
Health CareUnited States
141MCKESSON CORPMCK
0.112%
Health CareUnited States
142CVS HEALTHCVS
0.112%
Health CareUnited States
143AUTOMATIC DATA PROCESSING INCUS0530151036
0.111%
IndustrialsUnited States
144BANK OF MONTREALBMO
0.11%
FinancialsCanada
145QUANTA SERVICES INCPWR
0.109%
IndustrialsUnited States
146LVMHMC
0.109%
Consumer DiscretionaryFrance
147CHINA CONSTRUCTION BANK CORP H939
0.109%
FinancialsChina
148HON HAI PRECISION INDUSTRYTW0002317005
0.109%
Information TechnologyTaiwan
149TRANE TECHNOLOGIES PLCTT
0.108%
IndustrialsUnited States
150STARBUCKS CORPSBUX
0.108%
Consumer DiscretionaryUnited States
150 lignes affichées sur 1 827
Composition iShares MSCI All Country World Screened UCITS ETF (SAAI) : 1827 lignes | Etflytics