Etflytics

iShares MSCI All Country World Swap UCITS ETF

ACSW
|
IE000CYC2B65
|iShares
5.51 USD+0.00% YTD

Encours

93M USD

Frais (TER)

0.12%

Lignes

1 678

YTD

+0.00%
Comparer cet ETF

Composition complète · 1 678 lignes

Composition de l'indice

Cet ETF réplique son indice par swap et détient un autre panier de titres. Voici les lignes de l'indice, lues dans iShares MSCI All Country World UCITS ETF.

#Ticker
1NVIDIANVDA
5.13%
Information TechnologyUnited States
2APPLEAAPL
4.82%
Information TechnologyUnited States
3MICROSOFTMSFT
3.54%
Information TechnologyUnited States
4AMAZON.COM INCAMZN
2.36%
Consumer DiscretionaryUnited States
5ALPHABET CLASS AGOOGL
1.97%
CommunicationUnited States
6TAIWAN SEMICONDUCTOR MANUFACTURING2330
1.90%
Information TechnologyTaiwan
7BROADCOM INCAVGO
1.56%
Information TechnologyUnited States
8ALPHABET CLASS CGOOG
1.55%
CommunicationUnited States
9META PLATFORMS CLASS AMETA
1.52%
CommunicationUnited States
10ISHARES MSCI INDIA UCITS ETFNDIA
1.21%
FinancialsIreland
11MICRON TECHNOLOGYMU
1.12%
Information TechnologyUnited States
12TESLA INCTSLA
1.02%
Consumer DiscretionaryUnited States
13ADVANCED MICRO DEVICESAMD
0.973%
Information TechnologyUnited States
14ELI LILLYLLY
0.903%
Health CareUnited States
15SAMSUNG ELECTRONICS LTD005930
0.881%
Information TechnologyKorea (South)
16JPMORGAN CHASE & COJPM
0.86%
FinancialsUnited States
17BERKSHIRE HATHAWAY INC CLASS BBRK/B
0.683%
FinancialsUnited States
18ASML HOLDINGASML
0.681%
Information TechnologyNetherlands
19EXXONMOBIL HOLDINGS CORPXOM
0.677%
EnergyUnited States
20SK HYNIX000660
0.672%
Information TechnologyKorea (South)
21VISA CLASS AV
0.606%
FinancialsUnited States
22JOHNSON & JOHNSONJNJ
0.594%
Health CareUnited States
23ISHARES MSCI BRAZIL UCITS ET USDHA4BRZ
0.564%
FinancialsGermany
24ABBVIEABBV
0.464%
Health CareUnited States
25MASTERCARD CLASS AMA
0.46%
FinancialsUnited States
26WALMARTWMT
0.457%
Consumer StaplesUnited States
27INTEL CORPORATIONINTC
0.454%
Information TechnologyUnited States
28CISCO SYSTEMS INCCSCO
0.436%
Information TechnologyUnited States
29PALANTIR TECHNOLOGIES CLASS APLTR
0.416%
Information TechnologyUnited States
30COSTCO WHOLESALE CORPCOST
0.404%
Consumer StaplesUnited States
31ISH MSCI CHINA A ETF USD ACCCNYA
0.398%
FinancialsIreland
32LAM RESEARCHLRCX
0.389%
Information TechnologyUnited States
33APPLIED MATERIAL INCAMAT
0.389%
Information TechnologyUnited States
34CHEVRONCVX
0.376%
EnergyUnited States
35BANK OF AMERICABAC
0.351%
FinancialsUnited States
36CATERPILLAR INCCAT
0.35%
IndustrialsUnited States
37MERCK & CO INCMRK
0.334%
Health CareUnited States
38PROCTER & GAMBLEPG
0.331%
Consumer StaplesUnited States
39COCA-COLAKO
0.327%
Consumer StaplesUnited States
40UNITEDHEALTH GROUPUNH
0.324%
Health CareUnited States
41TENCENT HOLDINGS700
0.313%
CommunicationChina
42PALO ALTO NETWORKSPANW
0.309%
Information TechnologyUnited States
43GE AEROSPACEGE
0.305%
IndustrialsUnited States
44HSBC HOLDINGS PLCHSBA
0.296%
FinancialsUnited Kingdom
45PHILIP MORRIS INTERNATIONALPM
0.292%
Consumer StaplesUnited States
46NETFLIXNFLX
0.287%
CommunicationUnited States
47ROCHE PS PAR AGROP
0.282%
Health CareSwitzerland
48ISHARES MSCI SAUDI ARABIA CAPPEDIKSA
0.282%
FinancialsIreland
49HOME DEPOTHD
0.278%
Consumer DiscretionaryUnited States
50SHELLSHELL
0.274%
EnergyUnited Kingdom
51GE VERNOVAGEV
0.258%
IndustrialsUnited States
52ROYAL BANK OF CANADARY
0.256%
FinancialsCanada
53GOLDMAN SACHS GROUPGS
0.253%
FinancialsUnited States
54TEXAS INSTRUMENT INCTXN
0.25%
Information TechnologyUnited States
55NOVARTIS AGNOVN
0.249%
Health CareSwitzerland
56CROWDSTRIKE HOLDINGS CLASS ACRWD
0.246%
Information TechnologyUnited States
57WELLS FARGOWFC
0.244%
FinancialsUnited States
58KLAKLAC
0.244%
Information TechnologyUnited States
59SANDISKSNDK
0.243%
Information TechnologyUnited States
60MITSUBISHI UFJ FINANCIAL GROUP8306
0.24%
FinancialsJapan
61RTXRTX
0.239%
IndustrialsUnited States
62THERMO FISHER SCIENTIFIC INCTMO
0.233%
Health CareUnited States
63ASTRAZENECA PLCAZN
0.23%
Health CareUnited Kingdom
64ORACLEORCL
0.225%
Information TechnologyUnited States
65MARVELL TECHNOLOGYMRVL
0.223%
Information TechnologyUnited States
66NESTLE SANESN
0.222%
Consumer StaplesSwitzerland
67ARISTA NETWORKSANET
0.219%
Information TechnologyUnited States
68ALIBABA GROUP HOLDING9988
0.217%
Consumer DiscretionaryChina
69LINDE PLCLIN
0.215%
MaterialsUnited States
70MORGAN STANLEYMS
0.215%
FinancialsUnited States
71SIEMENS N AGSIE
0.213%
IndustrialsGermany
72AMGEN INCAMGN
0.212%
Health CareUnited States
73CITIGROUPC
0.21%
FinancialsUnited States
74SAPSAP
0.206%
Information TechnologyGermany
75INTERNATIONAL BUSINESS MACHINESIBM
0.205%
Information TechnologyUnited States
76MEDIATEK2454
0.203%
Information TechnologyTaiwan
77BHP GROUP LTDBHP
0.202%
MaterialsAustralia
78AMPHENOL CORP CLASS AAPH
0.202%
Information TechnologyUnited States
79ANALOG DEVICESADI
0.193%
Information TechnologyUnited States
80SHOPIFY SUBORDINATE VOTING CLASS ASHOP
0.192%
Information TechnologyCanada
81ADVANTEST6857
0.187%
Information TechnologyJapan
82VERIZON COMMUNICATIONS INCVZ
0.187%
CommunicationUnited States
83BANCO SANTANDERSAN
0.185%
FinancialsSpain
84WALT DISNEYDIS
0.183%
CommunicationUnited States
85TORONTO DOMINIONTD
0.182%
FinancialsCanada
86QUALCOMMQCOM
0.181%
Information TechnologyUnited States
87SALESFORCECRM
0.175%
Information TechnologyUnited States
88TOKYO ELECTRON8035
0.174%
Information TechnologyJapan
89GILEAD SCIENCESGILD
0.173%
Health CareUnited States
90DELL TECHNOLOGIES INC CLASS CDELL
0.172%
Information TechnologyUnited States
91COMMONWEALTH BANK OF AUSTRALIACBA
0.168%
FinancialsAustralia
92TOYOTA MOTOR7203
0.167%
Consumer DiscretionaryJapan
93USD CASH
0.166%
Cash and/or DerivativesUnited States
94AT&TT
0.165%
CommunicationUnited States
95PEPSICOPEP
0.163%
Consumer StaplesUnited States
96TOTALENERGIESTTE
0.163%
EnergyFrance
97SEAGATE TECHNOLOGY HOLDINGS PLCSTX
0.163%
Information TechnologyUnited States
98ABBOTT LABORATORIESABT
0.163%
Health CareUnited States
99ALLIANZALV
0.161%
FinancialsGermany
100DEEREDE
0.16%
IndustrialsUnited States
101MCDONALDS CORPMCD
0.16%
Consumer DiscretionaryUnited States
102CHARLES SCHWABSCHW
0.159%
FinancialsUnited States
103CONOCOPHILLIPSCOP
0.158%
EnergyUnited States
104AMERICAN EXPRESSAXP
0.158%
FinancialsUnited States
105EATON PLCETN
0.155%
IndustrialsUnited States
106UNION PACIFICUNP
0.154%
IndustrialsUnited States
107ROLLS-ROYCE HOLDINGS PLCRR/
0.153%
IndustrialsUnited Kingdom
108IBERDROLAIBE
0.153%
UtilitiesSpain
109PFIZERPFE
0.153%
Health CareUnited States
110NEXTERA ENERGYNEE
0.152%
UtilitiesUnited States
111WELLTOWERWELL
0.152%
Real EstateUnited States
112HITACHI6501
0.151%
IndustrialsJapan
113TJXTJX
0.15%
Consumer DiscretionaryUnited States
114BANCO BILBAO VIZCAYA ARGENTARIA SABBVA
0.149%
FinancialsSpain
115BLACKROCKBLK
0.147%
FinancialsUnited States
116SCHNEIDER ELECTRICSU
0.147%
IndustrialsFrance
117SUMITOMO MITSUI FINANCIAL GROUP8316
0.146%
FinancialsJapan
118BLK ICS USD LIQ AGENCY DISIE00B50QMP13
0.145%
Cash and/or DerivativesIreland
119RECRUIT HOLDINGS LTD6098
0.144%
IndustrialsJapan
120UBS GROUP AGUBSG
0.143%
FinancialsSwitzerland
121ABB LTDABBN
0.142%
IndustrialsSwitzerland
122INTUITIVE SURGICALISRG
0.141%
Health CareUnited States
123KIOXIA HOLDINGS285A
0.141%
Information TechnologyJapan
124MARATHON PETROLEUMMPC
0.14%
EnergyUnited States
125BOEINGBA
0.139%
IndustrialsUnited States
126SERVICENOWNOW
0.139%
Information TechnologyUnited States
127SOFTBANK GROUP CORP9984
0.136%
CommunicationJapan
128SONY GROUP6758
0.134%
Consumer DiscretionaryJapan
129WESTERN DIGITAL CORPWDC
0.132%
Information TechnologyUnited States
130DANAHERDHR
0.132%
Health CareUnited States
131VALERO ENERGY CORPVLO
0.13%
EnergyUnited States
132VERTEX PHARMACEUTICALSVRTX
0.124%
Health CareUnited States
133CORNINGGLW
0.124%
Information TechnologyUnited States
134BOOKING HOLDINGSBKNG
0.123%
Consumer DiscretionaryUnited States
135FORTINETFTNT
0.122%
Information TechnologyUnited States
136UNILEVER PLCULVR
0.122%
Consumer StaplesUnited Kingdom
137S&P GLOBALSPGI
0.122%
FinancialsUnited States
138NEWMONTUS6516391066
0.121%
MaterialsUnited States
139UBER TECHNOLOGIESUBER
0.121%
IndustrialsUnited States
140PROGRESSIVEPGR
0.12%
FinancialsUnited States
141ACCENTURE PLC CLASS AACN
0.12%
Information TechnologyUnited States
142MIZUHO FINANCIAL GROUP8411
0.12%
FinancialsJapan
143SAFRAN SASAF
0.119%
IndustrialsFrance
144SIEMENS ENERGY N AGENR
0.119%
IndustrialsGermany
145BRISTOL MYERS SQUIBBBMY
0.117%
Health CareUnited States
146PROLOGIS REITPLD
0.116%
Real EstateUnited States
147PHILLIPS 66PSX
0.116%
EnergyUnited States
148CHUBBCB
0.116%
FinancialsUnited States
149UNICREDITUCG
0.115%
FinancialsItaly
150CAPITAL ONE FINANCIAL CORPCOF
0.115%
FinancialsUnited States
150 lignes affichées sur 1 678
Composition iShares MSCI All Country World Swap UCITS ETF (ACSW) : 1678 lignes | Etflytics