Below, a list of constituents for LU0322253229 (S&P Global Infrastructure Swap UCITS ETF 1C) is shown. In total, LU0322253229 consists of 42 securities.
Note: The data shown here is as of date 2021-11-14 (the latest that can be sourced directly from the fund provider).
Click here to go back to the full list of ETFs.
Name | ISIN | Country | Currency | Type of Security | Rating | Primary Listing | Industry Classification | Weighting |
BECTON DICKINSON&CO | US0758871091 | Vereinigte Staaten von Amerika | USD | Equity | A3 | S&P 500 Index | Health Care | 0.0742653586 |
EQUITY RESIDENTIAL: REIT | US29476L1070 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Real Estate | 0.0735971842 |
BERKSH.HATHAWAY B | US0846707026 | Vereinigte Staaten von Amerika | USD | Equity | Aa2 | S&P 500 Index | Financials | 0.0722584848 |
SUNCOR ENERGY | CA8672241079 | Kanada | USD | Equity | Baa1 | S&P/TSX COMPOSITE Index | Energy | 0.0647679497 |
AGNICO EAGLE MINES | CA0084741085 | Kanada | USD | Equity | B1 | S&P/TSX COMPOSITE Index | Materials | 0.0475761867 |
BIO-RAD LABORATORIES A | US0905722072 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Health Care | 0.0357070685 |
ABBVIE | US00287Y1091 | Vereinigte Staaten von Amerika | USD | Equity | Baa2 | S&P 500 Index | Health Care | 0.0350637253 |
COLFAX CORP | US1940141062 | Vereinigte Staaten von Amerika | USD | Equity | Ba2 | S&P 500 Index | Industrials | 0.0343872993 |
MASTERCARD | US57636Q1040 | Vereinigte Staaten von Amerika | USD | Equity | A2 | S&P 500 Index | Information Technology | 0.0340831536 |
HERBALIFE NUTRITION LTD | KYG4412G1010 | Kaiman Inseln | USD | Equity | - | S&P 500 Index | Consumer Staples | 0.0340755014 |
PENUMBRA INC | US70975L1070 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Health Care | 0.0318184279 |
FLOWSERVE CORP | US34354P1057 | Vereinigte Staaten von Amerika | USD | Equity | Baa2 | S&P 500 Index | Industrials | 0.03034283 |
8X8 | US2829141009 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Information Technology | 0.0293071225 |
SCIENTIFIC GAMES | US80874P1093 | Vereinigte Staaten von Amerika | USD | Equity | Ba3 | NASDAQ Composite Index | Consumer Discretionary | 0.0291991172 |
ALLEGIANT TRAVEL | US01748X1028 | Vereinigte Staaten von Amerika | USD | Equity | Ba3 | NASDAQ Composite Index | Industrials | 0.0278393878 |
ROKU | US77543R1023 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Communication Services | 0.0266090156 |
AMAZON | US0231351067 | Vereinigte Staaten von Amerika | USD | Equity | Baa1 | NASDAQ Composite Index | Consumer Discretionary | 0.0260722479 |
CADENCE DESIGN SYSTEMS | US1273871087 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Information Technology | 0.0259796855 |
ALPHABET C | US02079K1079 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Communication Services | 0.0250833499 |
MAGNA INTL. | CA5592224011 | Kanada | USD | Equity | Baa1 | S&P/TSX COMPOSITE Index | Consumer Discretionary | 0.0245448612 |
MANULIFE FINANCIAL | CA56501R1064 | Kanada | USD | Equity | A2 | S&P/TSX COMPOSITE Index | Financials | 0.0234429417 |
SBA COMMUNICATIONS | US78410G1040 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Real Estate | 0.0217377685 |
CANOPY GROWTH | CA1380351009 | Kanada | USD | Equity | - | S&P/TSX COMPOSITE Index | Health Care | 0.0215102434 |
NVR INC | US62944T1051 | Vereinigte Staaten von Amerika | USD | Equity | Baa2 | S&P 500 Index | Consumer Discretionary | 0.0210161789 |
DXC TECHNOLOGY COMP. | US23355L1061 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Information Technology | 0.0210112499 |
CGI GROUP | CA12532H1047 | Kanada | USD | Equity | - | S&P/TSX COMPOSITE Index | Information Technology | 0.0207943394 |
ON24 INC | US68339B1044 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Information Technology | 0.0195378337 |
DUN & BRADSTREET HOLDINGS INC | US26484T1060 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Industrials | 0.0143164709 |
LYFT | US55087P1049 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Industrials | 0.0113010003 |
GMS | US36251C1036 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Industrials | 0.0104912205 |
KINROSS | CA4969024047 | Kanada | USD | Equity | Baa3 | S&P/TSX COMPOSITE Index | Materials | 0.0068911286 |
CBRE GROUP | US12504L1098 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Real Estate | 0.006259846 |
LIVENT | US53814L1089 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Materials | 0.0040926182 |
PLAYA HOTELS & RESORTS NV | NL0012170237 | Niederlande | USD | Equity | - | NASDAQ Composite Index | Consumer Discretionary | 0.0040437768 |
AFTERPAY TOUCH GR | AU000000APT1 | Australien | AUD | Equity | - | ASX All Ordinaries Index | Information Technology | 0.0032590281 |
MR COOPER GRP | US62482R1077 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Financials | 0.0030224371 |
KARYOPHARM THERAPEUTICS | US48576U1060 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Health Care | 0.0029975922 |
SALESFORCE.COM | US79466L3024 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Information Technology | 0.0007089759 |
ALIMERA SCIENCES INC | US0162592028 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Health Care | 0.0005619641 |
AMN HEALTHCARE SERVICES | US0017441017 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Health Care | 0.0004240541 |
AVALONBAY COMMUNITIES | US0534841012 | Vereinigte Staaten von Amerika | USD | Equity | - | S&P 500 Index | Real Estate | 7.844e-07 |
AMEDISYS INC | US0234361089 | Vereinigte Staaten von Amerika | USD | Equity | - | NASDAQ Composite Index | Health Care | 5.88e-07 |