Below, a list of constituents for LU1940199984 (Lyxor MSCI Europe ESG Leaders (DR) UCITS ETF - Monthly Hedged to EUR - Acc) is shown. In total, LU1940199984 consists of 198 securities.
Note: The data shown here is as of date 2021-11-10 00:00:00 (the latest that can be sourced directly from the fund provider).
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Instrument Type | Ticker Bloomberg | ISIN | Instrument Name | % weight | Sector | Spot underlying | Underlying Currency |
Equity | ASML NA | NL0010273215 | ASML HOLDING NV | 0.05966580679207693 | Information Technology | 719.7000122070312 | EUR |
Equity | ROG SE | CH0012032048 | ROCHE HOLD | 0.048689089879148814 | Health Care | 370.1000061035156 | CHF |
Equity | AZN LN | GB0009895292 | ASTRAZENECA PLC | 0.03360413398713798 | Health Care | 93.83999633789062 | GBP |
Equity | NOVOB DC | DK0060534915 | NOVO NORDISK A/S-B | 0.03270466264155078 | Health Care | 730.9000244140625 | DKK |
Equity | SAP GY | DE0007164600 | SAP AG | 0.026348834945916035 | Information Technology | 127.68000030517578 | EUR |
Equity | ULVR LN | GB00B10RZP78 | UNILEVER PLC | 0.023729363536134522 | Consumer Staples | 39.18000030517578 | GBP |
Equity | TTE FP | FR0000120271 | TOTAL SA | 0.021682502774764117 | Energy | 43.915000915527344 | EUR |
Equity | GSK LN | GB0009252882 | GLAXOSMITHKLINE PLC | 0.018495803761070864 | Health Care | 15.902000427246094 | GBP |
Equity | ALV GY | DE0008404005 | Allianz SE | 0.01672379119355458 | Financials | 205.25 | EUR |
Equity | SU FP | FR0000121972 | SCHNEIDER ELECTRIC SA | 0.016393359805615418 | Industrials | 153.97999572753906 | EUR |
Equity | PRX NA | NL0013654783 | PROSUS | 0.013410514265674701 | Consumer Discretionary | 72.72000122070312 | EUR |
Equity | BNP FP | FR0000131104 | BNP PARIBAS | 0.013159740760455316 | Financials | 59.20000076293945 | EUR |
Equity | OR FP | FR0013459336 | LOREAL PRIME FIDELITE 2022 | 0.012692640578199643 | Consumer Staples | 414.3500061035156 | EUR |
Equity | CFR SE | CH0210483332 | CIE FINANCIERE RICHEMONT-REG | 0.011900516266891198 | Consumer Discretionary | 121.75 | CHF |
Equity | IBE SQ | ES0144580Y14 | IBERDROLA SA | 0.011888146440413574 | Utilities | 10.15999984741211 | EUR |
Equity | ZURN SE | CH0011075394 | Zurich Insurance Group AG | 0.011534590312868973 | Financials | 409.3999938964844 | CHF |
Equity | ENEL IM | IT0003128367 | ENEL SPA | 0.011508697682562475 | Utilities | 7.159999847412109 | EUR |
Equity | BAS GY | DE000BASF111 | BASF SE | 0.01124485865289989 | Materials | 61.95000076293945 | EUR |
Equity | DPW GY | DE0005552004 | DEUT POST | 0.010860458984225494 | Industrials | 55.439998626708984 | EUR |
Equity | ADS GY | DE000A1EWWW0 | ADIDAS AG | 0.010704973748548202 | Consumer Discretionary | 284.5 | EUR |
Equity | REL LN | GB00B2B0DG97 | RELX PLC | 0.010546548327492968 | Industrials | 23.600000381469727 | GBP |
Equity | ABBN SE | CH0012221716 | ABB LTD-REG | 0.01038360692325824 | Industrials | 31.969999313354492 | CHF |
Equity | EL FP | FR0000121667 | EssilorLuxottica SA | 0.010285593603853662 | Consumer Discretionary | 182.3800048828125 | EUR |
Equity | RKT LN | GB00B24CGK77 | Reckitt Benckiser Group PLC | 0.01023572873039598 | Consumer Staples | 62.06999969482422 | GBP |
Equity | INGA NA | NL0011821202 | ING GROEP NV-CVA | 0.010232131962600723 | Financials | 13.26200008392334 | EUR |
Equity | LONN SE | CH0013841017 | LONZA GROUP AG-REG | 0.010176964138385355 | Health Care | 729.7999877929688 | CHF |
Equity | KER FP | FR0000121485 | KERING | 0.009854735839710978 | Consumer Discretionary | 664.7999877929688 | EUR |
Equity | CS FP | FR0000120628 | AXA SA | 0.00981763660482646 | Financials | 25.670000076293945 | EUR |
Equity | AI FP | FR0013459302 | AIR LIQUIDE PRIME FIDELITE 2022 | 0.0087122582192028 | Materials | 152.05999755859375 | EUR |
Equity | SIKA SE | CH0418792922 | SIKA AG-BR | 0.00856205358254133 | Materials | 322.5 | CHF |
Equity | ISP IM | IT0000072618 | Intesa Sanpaolo | 0.008084850412962266 | Financials | 2.4769999980926514 | EUR |
Equity | LLOY LN | GB0008706128 | Lloyds Banking Group PLC | 0.008084019673222916 | Financials | 0.4927999973297119 | GBP |
Equity | OR FP | FR0000120321 | LOREAL | 0.007967289563973374 | Consumer Staples | 414.3500061035156 | EUR |
Equity | BBVA SQ | ES0113211835 | BANCO BILBAO VIZCAYA ARGENTA | 0.007948652867870097 | Financials | 6.0320000648498535 | EUR |
Equity | NG/ LN | GB00BDR05C01 | National Grid PLC | 0.007928384494610608 | Utilities | 9.647000312805176 | GBP |
Equity | GIVN SE | CH0010645932 | GIVAUDAN-REG | 0.0076616760600859875 | Materials | 4432.0 | CHF |
Equity | BN FP | FR0000120644 | Danone | 0.007480082592925451 | Consumer Staples | 57.939998626708984 | EUR |
Equity | ATCOA SS | SE0011166610 | ATLAS COPCO AB-A SHS | 0.007397445409279461 | Industrials | 556.4000244140625 | SEK |
Equity | VOD LN | GB00BH4HKS39 | VODAFONE GROUP PLC | 0.007256326290025192 | Communication Services | 1.1225999593734741 | GBP |
Equity | MUV2 GY | DE0008430026 | MUENCHENER RUECKVER AG-REG | 0.007097530668245302 | Financials | 256.3500061035156 | EUR |
Equity | NDA SS | FI4000297767 | NORDEA BK SS | 0.007020263024921307 | Financials | 109.44000244140625 | SEK |
Equity | ITX SQ | ES0148396007 | INDITEX | 0.006958783627596553 | Consumer Discretionary | 32.279998779296875 | EUR |
Equity | CRH ID | IE0001827041 | CRH PLC | 0.006824587494723961 | Materials | 44.060001373291016 | EUR |
Equity | DSM NA | NL0000009827 | KONINKLIJKE DSM NV | 0.006606130882952366 | Materials | 191.25 | EUR |
Equity | CPG LN | GB00BD6K4575 | COMPASS GROUP PLC | 0.006573689192279158 | Consumer Discretionary | 15.9399995803833 | GBP |
Equity | AHT LN | GB0000536739 | ASHTEAD GROUP PLC | 0.006538459121808178 | Industrials | 63.02000045776367 | GBP |
Equity | VWS DC | DK0061539921 | VESTAS WIND SYSTEMS A/S | 0.006185311844875207 | Industrials | 230.5 | DKK |
Equity | AD NA | NL0011794037 | KONIN AHOLD | 0.006129618289064701 | Consumer Staples | 29.65999984741211 | EUR |
Equity | BMW GY | DE0005190003 | BAYERISCHE MOTOREN WERKE AG | 0.006004204528100254 | Consumer Discretionary | 91.76000213623047 | EUR |
Equity | FERG LN | JE00BJVNSS43 | Ferguson PLC | 0.005954665151883493 | Industrials | 115.3499984741211 | GBP |
Equity | DB1 GY | DE0005810055 | DEUTSCHE BOERSE AG | 0.005611679069935022 | Financials | 149.4499969482422 | EUR |
Equity | ERICB SS | SE0000108656 | ERICSSON LM-B SHS | 0.005562672875894022 | Information Technology | 96.26000213623047 | SEK |
Equity | AI FP | FR0000120073 | AIR LIQUIDE SA | 0.005524629745576959 | Materials | 152.05999755859375 | EUR |
Equity | ASSAB SS | SE0007100581 | ASSA ABLOY AB-B | 0.005294435209696742 | Industrials | 266.79998779296875 | SEK |
Equity | MRK GY | DE0006599905 | MERCK KGAA | 0.005274398735759112 | Health Care | 206.5 | EUR |
Equity | SREN SE | CH0126881561 | SWISS RE AG | 0.005094432289141897 | Financials | 90.19999694824219 | CHF |
Equity | TSCO LN | GB00BLGZ9862 | TESCO PLC | 0.005092987342162524 | Consumer Staples | 2.8494999408721924 | GBP |
Equity | GEBN SE | CH0030170408 | GEBERIT AG-REG | 0.005036719625982838 | Industrials | 726.2000122070312 | CHF |
Equity | WKL NA | NL0000395903 | WOLTERS KLUWER | 0.005016122495853405 | Industrials | 94.87999725341797 | EUR |
Equity | SAND SS | SE0000667891 | SANDVIK AB | 0.00495537046146187 | Industrials | 221.6999969482422 | SEK |
Equity | GMAB DC | DK0010272202 | GENMAB A/S | 0.004845741686867642 | Health Care | 2779.0 | DKK |
Equity | GLE FP | FR0000130809 | SOCIETE GENERALE SA | 0.0047103590490310005 | Financials | 29.399999618530273 | EUR |
Equity | EVO SS | SE0012673267 | EVOLUTION GAMING GROUP | 0.004636264887390676 | Consumer Discretionary | 1378.5999755859375 | SEK |
Equity | ML FP | FR0000121261 | MICHELIN (CGDE) | 0.004493257977271316 | Consumer Discretionary | 134.1999969482422 | EUR |
Equity | ORSTED DC | DK0060094928 | Orsted A/S | 0.004400366466383052 | Utilities | 875.4000244140625 | DKK |
Equity | KBC BB | BE0003565737 | KBC GROEP NV | 0.004236368942345161 | Financials | 85.73999786376953 | EUR |
Equity | G IM | IT0000062072 | ASSICURAZIONI GENERALI | 0.00416009967682451 | Financials | 19.020000457763672 | EUR |
Equity | TEP FP | FR0000051807 | Teleperformance | 0.004148710998682542 | Industrials | 357.3999938964844 | EUR |
Equity | LGEN LN | GB0005603997 | LEGAL and GENERAL GROUP PLC | 0.004048910005589979 | Financials | 2.934999942779541 | GBP |
Equity | NESTE FH | FI0009013296 | NESTE OIL OYJ | 0.0039965021558337616 | Energy | 47.79999923706055 | EUR |
Equity | SOON SE | CH0012549785 | Sonova Holding AG | 0.003966721253765174 | Health Care | 387.0 | CHF |
Equity | DNB NO | NO0010161896 | DnB ASA | 0.003958712345257846 | Financials | 213.3000030517578 | NOK |
Equity | STMN SE | CH0012280076 | STRAUMANN HOLDING AG-REG | 0.003913279635947658 | Health Care | 2021.0 | CHF |
Equity | ORA FP | FR0000133308 | Orange | 0.0038749075159300065 | Communication Services | 9.82800006866455 | EUR |
Equity | AKZA NA | NL0013267909 | AKZO NOBEL | 0.0038247467147232454 | Materials | 101.55000305175781 | EUR |
Equity | NIBEB SS | SE0015988019 | NIBE INDUSTRIER AB-B SHS | 0.0037050792140634918 | Industrials | 131.1999969482422 | SEK |
Equity | SGRO LN | GB00B5ZN1N88 | SEGRO PLC | 0.003694114287694398 | Real Estate | 13.3149995803833 | GBP |
Equity | KYGA ID | IE0004906560 | KERRY GROUP PLC-A | 0.0036633331451773115 | Consumer Staples | 116.5 | EUR |
Equity | ATCOB SS | SE0011166628 | ATLAS COP B | 0.003659730556615945 | Industrials | 473.70001220703125 | SEK |
Equity | DHER GY | DE000A2E4K43 | DELIVERY HERO SE | 0.0035824931812757266 | Consumer Discretionary | 111.9000015258789 | EUR |
Equity | COLOB DC | DK0060448595 | COLOPLAST-B | 0.0035324567116330947 | Health Care | 1119.0 | DKK |
Equity | ESSITYB SS | SE0009922164 | ESSITY AKTIEBOLAG-B | 0.003479771793409997 | Consumer Staples | 288.79998779296875 | SEK |
Equity | BT/A LN | GB0030913577 | BT GROUP PLC | 0.003407726075779424 | Communication Services | 1.6514999866485596 | GBP |
Equity | UPM FH | FI0009005987 | UPM-KYMMENE OYJ | 0.0032909675611912607 | Materials | 31.200000762939453 | EUR |
Equity | SGSN SE | CH0002497458 | SGS SA-REG | 0.00318298862454351 | Industrials | 2809.0 | CHF |
Equity | REP SQ | ES0173516115 | Repsol SA | 0.0031715701440790537 | Energy | 11.0600004196167 | EUR |
Equity | SY1 GY | DE000SYM9999 | SYMRISE AG | 0.003169246261416933 | Materials | 124.6500015258789 | EUR |
Equity | CRDA LN | GB00BJFFLV09 | CRODA INTERNATIONAL PLC | 0.0031148791417877813 | Materials | 96.58000183105469 | GBP |
Equity | CNHI IM | NL0010545661 | CNH INDUSTRIAL NV | 0.0030971560731332727 | Industrials | 15.3149995803833 | EUR |
Equity | WPP LN | JE00B8KF9B49 | WPP PLC | 0.003081581100004336 | Communication Services | 11.069999694824219 | GBP |
Equity | SLHN SE | CH0014852781 | SWISS LIFE HOLDING AG-REG | 0.0030777102905405786 | Financials | 513.4000244140625 | CHF |
Equity | KSP ID | IE0004927939 | KINGSPAN GROUP PLC | 0.00296035060722848 | Industrials | 97.08000183105469 | EUR |
Equity | KNIN SE | CH0025238863 | KUEHNE & NAGEL INTL AG-REG | 0.0029567636183202906 | Industrials | 290.6000061035156 | CHF |
Equity | SPX LN | GB00BWFGQN14 | SPIRAX-SARCO ENGINEERING PLC | 0.002775208102554797 | Industrials | 162.75 | GBP |
Equity | STAN LN | GB0004082847 | STANDARD CHARTERED PLC | 0.002768330750979431 | Financials | 4.517000198364258 | GBP |
Equity | EBS AV | AT0000652011 | Erste Group Bank AG | 0.002755217496254121 | Financials | 40.56999969482422 | EUR |
Equity | NZYMB DC | DK0060336014 | NOVOZYMES A/S-B SHARES | 0.0027276931887914124 | Materials | 499.70001220703125 | DKK |
Equity | HEN3 GY | DE0006048432 | Henkel AG & Co KGaA | 0.002727340450365091 | Consumer Staples | 77.45999908447266 | EUR |
Equity | UCB BB | BE0003739530 | UCB SA | 0.0026510167024736417 | Health Care | 106.0999984741211 | EUR |
Equity | RTO LN | GB00B082RF11 | RENTOKIL INITIAL PLC | 0.002646824586720562 | Industrials | 6.1579999923706055 | GBP |
Equity | PUB FP | FR0000130577 | PUBLICIS GROUPE | 0.002585527030129113 | Communication Services | 58.599998474121094 | EUR |
Equity | NXT LN | GB0032089863 | NEXT PLC | 0.002539173941281467 | Consumer Discretionary | 82.62000274658203 | GBP |
Equity | NN NA | NL0010773842 | NN GROUP NV | 0.0025086426260458603 | Financials | 46.97999954223633 | EUR |
Equity | BNR GY | DE000A1DAHH0 | BRENNTAG AG | 0.0024670788635542734 | Industrials | 80.80000305175781 | EUR |
Equity | SCMN SE | CH0008742519 | SWISSCOM AG-REG | 0.0024608071044850866 | Communication Services | 507.3999938964844 | CHF |
Equity | HMB SS | SE0000106270 | HENNES & MAURITZ AB-B SHS | 0.0024410947308045124 | Consumer Discretionary | 168.82000732421875 | SEK |
Equity | PNDORA DC | DK0060252690 | PANDORA A/S | 0.00237816223742783 | Consumer Discretionary | 895.0 | DKK |
Equity | ALFA SS | SE0000695876 | ALFA LAVAL AB | 0.0023325732987552247 | Industrials | 374.5 | SEK |
Equity | LISN SE | CH0010570759 | CHOCOLADEFABRIKEN LINDT-REG | 0.002321394633854538 | Consumer Staples | 116400.0 | CHF |
Equity | PUM GY | DE0006969603 | Puma SE | 0.0023055181450410554 | Consumer Discretionary | 110.5 | EUR |
Equity | LISP SE | CH0010570767 | LINDT & SPRUENGLI AG-PC | 0.0022720352357259274 | Consumer Staples | 11550.0 | CHF |
Equity | CABK SQ | ES0140609019 | CaixaBank | 0.0022113919332453448 | Financials | 2.5239999294281006 | EUR |
Equity | ALO FP | FR0010220475 | Alstom | 0.0021871693971513904 | Industrials | 35.0099983215332 | EUR |
Equity | IHG LN | GB00BHJYC057 | INTERCONTINENTAL HOTELS GROU | 0.0021829283869629792 | Consumer Discretionary | 51.540000915527344 | GBP |
Equity | MTX GY | DE000A0D9PT0 | MTU AERO ENGINES HOLDING AG | 0.0021643703876175215 | Industrials | 205.10000610351562 | EUR |
Equity | MOWI NO | NO0003054108 | Mowi ASA | 0.0020994534786583064 | Consumer Staples | 239.39999389648438 | NOK |
Equity | MNDI LN | GB00B1CRLC47 | MONDI PLC | 0.0020619423663637815 | Materials | 18.3700008392334 | GBP |
Equity | CA FP | FR0000120172 | CARREFOUR SA | 0.00203732006005333 | Consumer Staples | 16.350000381469727 | EUR |
Equity | CCEP UW | GB00BDCPN049 | Coca-Cola Europacific Partners | 0.002002588712822733 | Consumer Staples | 57.029998779296875 | USD |
Equity | STJ LN | GB0007669376 | St James's Place PLC | 0.0019751226130211336 | Financials | 15.845000267028809 | GBP |
Equity | UMI BB | BE0974320526 | UMICORE | 0.0019407990686642674 | Materials | 49.81999969482422 | EUR |
Equity | ITRK LN | GB0031638363 | INTERTEK GROUP PLC | 0.0019333569863608203 | Industrials | 51.81999969482422 | GBP |
Equity | TEL NO | NO0010063308 | TELENOR ASA | 0.001930764067889053 | Communication Services | 138.3000030517578 | NOK |
Equity | HEI GY | DE0006047004 | HEIDELBERGCEMENT AG | 0.0019245245558641207 | Materials | 65.44000244140625 | EUR |
Equity | INF LN | GB00BMJ6DW54 | Informa PLC | 0.001878434099983399 | Communication Services | 5.406000137329102 | GBP |
Equity | BEI GY | DE0005200000 | BEIERSDORF AG | 0.001863816177218418 | Consumer Staples | 93.55999755859375 | EUR |
Equity | BRBY LN | GB0031743007 | BURBERRY GROUP PLC | 0.001840970252309695 | Consumer Discretionary | 19.670000076293945 | GBP |
Equity | TELIA SS | SE0000667925 | Telia Co AB | 0.0018352157265171239 | Communication Services | 34.869998931884766 | SEK |
Equity | KPN NA | NL0000009082 | KONINKLIJE KPN NV | 0.0017495562846910253 | Communication Services | 2.632999897003174 | EUR |
Equity | ABF LN | GB0006731235 | ASSOCIATED BRITISH FOODS PLC | 0.0016948581963008072 | Consumer Staples | 20.579999923706055 | GBP |
Equity | URW NA | FR0013326246 | UNIBAIL-RODAMCO SE | 0.0016908081072408339 | Real Estate | 68.63999938964844 | EUR |
Equity | BVI FP | FR0006174348 | BUREAU VERITAS SA | 0.00167935144255069 | Industrials | 28.899999618530273 | EUR |
Equity | STERV FH | FI0009005961 | STORA ENSO OYJ-R SHS | 0.0016727931853735241 | Materials | 14.550000190734863 | EUR |
Equity | KGF LN | GB0033195214 | KINGFISHER PLC | 0.001660932675930605 | Consumer Discretionary | 3.4030001163482666 | GBP |
Equity | NHY NO | NO0005052605 | NORSK HYDRO ASA | 0.0016394333270539805 | Materials | 61.099998474121094 | NOK |
Equity | SKFB SS | SE0000108227 | SKF AB-B SHARES | 0.001623722031582726 | Industrials | 214.89999389648438 | SEK |
Equity | SCAB SS | SE0000112724 | SVENSKA CELLULOSA AB-B SHS | 0.0016109816551344812 | Materials | 134.3000030517578 | SEK |
Equity | BOL SS | SE0015811559 | BOLIDEN AB | 0.0016039623932813311 | Materials | 296.20001220703125 | SEK |
Equity | VIV FP | FR0000127771 | Vivendi SA | 0.0015764631151128994 | Communication Services | 11.210000038146973 | EUR |
Equity | OMV AV | AT0000743059 | OMV AG | 0.0015745670587599305 | Energy | 54.099998474121094 | EUR |
Equity | BDEV LN | GB0000811801 | BARRATT DEVELOPMENTS PLC | 0.0015593296900654264 | Consumer Discretionary | 6.624000072479248 | GBP |
Equity | WTB LN | GB00B1KJJ408 | WHITBREAD PLC | 0.0015584587870399115 | Consumer Discretionary | 33.380001068115234 | GBP |
Equity | FGR FP | FR0000130452 | EIFFAGE | 0.0015480426424997547 | Industrials | 91.81999969482422 | EUR |
Equity | REE SQ | ES0173093024 | Red Electrica Corporacion SA | 0.0015428087260281438 | Utilities | 18.03499984741211 | EUR |
Equity | KESKOB FH | FI0009000202 | KESKO OYJ-B SHS | 0.0015351309026972047 | Consumer Staples | 28.440000534057617 | EUR |
Equity | SOLB BB | BE0003470755 | SOLVAY SA | 0.0015335005061095379 | Materials | 104.69999694824219 | EUR |
Equity | AGN NA | NL0000303709 | AEGON NV | 0.0015251867058733205 | Financials | 4.313000202178955 | EUR |
Equity | TRYG DC | DK0060636678 | Tryg A/S | 0.0015102323428271291 | Financials | 157.85000610351562 | DKK |
Equity | ELISA FH | FI0009007884 | ELISA OYJ | 0.0015100558571986462 | Communication Services | 53.720001220703125 | EUR |
Equity | CHR DC | DK0060227585 | CHR HANSEN HOLDING A/S | 0.0014911493103784668 | Materials | 532.0 | DKK |
Equity | EN FP | FR0000120503 | BOUYGUES SA | 0.001490982952883017 | Industrials | 33.02000045776367 | EUR |
Equity | HEN GY | DE0006048408 | Henkel AG and Co KGaA | 0.0014807331658383098 | Consumer Staples | 72.0999984741211 | EUR |
Equity | RAND NA | NL0000379121 | RANDSTAD HOLDING NV | 0.0014656124452966683 | Industrials | 62.02000045776367 | EUR |
Equity | DCC LN | IE0002424939 | DCC PLC | 0.0013994671218574063 | Industrials | 61.41999816894531 | GBP |
Equity | CBK GY | DE000CBK1001 | COMMERZBANK AG | 0.0013760903430793678 | Financials | 6.949999809265137 | EUR |
Equity | JD/ LN | GB00BYX91H57 | JD Sports Fashion PLC | 0.0013718513119514342 | Consumer Discretionary | 11.505000114440918 | GBP |
Equity | ADEN SE | CH0012138605 | ADECCO SA-REG | 0.0013339731421459554 | Industrials | 45.970001220703125 | CHF |
Equity | TW/ LN | GB0008782301 | Taylor Wimpey PL | 0.0013317010643022213 | Consumer Discretionary | 1.5800000429153442 | GBP |
Equity | ABDN LN | GB00BF8Q6K64 | Standard Life Aberdeen PLC | 0.0013233012331428848 | Financials | 2.625 | GBP |
Equity | GN DC | DK0010272632 | GN STORE NORD A/S | 0.0013151811480028386 | Health Care | 398.0 | DKK |
Equity | ANTO LN | GB0000456144 | ANTOFAGASTA PLC | 0.0012953812299999563 | Materials | 14.210000038146973 | GBP |
Equity | ORK NO | NO0003733800 | ORKLA ASA | 0.0012761320728864886 | Consumer Staples | 85.16000366210938 | NOK |
Equity | FR FP | FR0013176526 | VALEO SA | 0.0012525068638108362 | Consumer Discretionary | 27.600000381469727 | EUR |
Equity | TEL2B SS | SE0005190238 | TELE2 AB-B SHS | 0.001240004091035239 | Communication Services | 125.05000305175781 | SEK |
Equity | JMAT LN | GB00BZ4BQC70 | JOHNSON MATTHEY PLC | 0.0012361358427085706 | Materials | 27.6299991607666 | GBP |
Equity | CCH LN | CH0198251305 | COCA-COLA HBC AG-CDI | 0.0011961008462283542 | Consumer Staples | 25.799999237060547 | GBP |
Equity | WRT1V FH | FI0009003727 | WARTSILA OYJ ABP | 0.0011857735265790497 | Industrials | 12.675000190734863 | EUR |
Equity | SBRY LN | GB00B019KW72 | SAINSBURY (J)-PLC | 0.0011384444116699255 | Consumer Staples | 2.936000108718872 | GBP |
Equity | AMP IM | IT0004056880 | AMPLIFON SPA | 0.0011336515928541996 | Health Care | 46.06999969482422 | EUR |
Equity | BKG LN | GB00BLJNXL82 | BERKELEY GROUP HOLDINGS | 0.001122709716718905 | Consumer Discretionary | 43.2400016784668 | GBP |
Equity | GFC FP | FR0010040865 | GECINA SA | 0.0011034720847223369 | Real Estate | 121.5999984741211 | EUR |
Equity | AC FP | FR0000120404 | ACCOR SA | 0.0011006383029488998 | Consumer Discretionary | 32.779998779296875 | EUR |
Equity | VIFN SE | CH0364749348 | Vifor Pharma AG | 0.0010858435453094696 | Health Care | 118.94999694824219 | CHF |
Equity | SDR LN | GB0002405495 | SCHRODERS PLC | 0.0010690038361199532 | Financials | 37.20000076293945 | GBP |
Equity | ICA SS | SE0000652216 | ICA Gruppen AB | 0.001063723237104133 | Consumer Staples | 534.2000122070312 | SEK |
Equity | JMT PL | PTJMT0AE0001 | JERONIMO MARTINS | 0.0010406916297564714 | Consumer Staples | 20.920000076293945 | EUR |
Equity | BLND LN | GB0001367019 | BRITISH LAND CO PLC | 0.001039569735296254 | Real Estate | 5.107999801635742 | GBP |
Equity | HUSQB SS | SE0001662230 | HUSQVARNA AB-B SHS | 0.0010392593720472201 | Consumer Discretionary | 125.44999694824219 | SEK |
Equity | TEN IM | LU0156801721 | TENARIS SA | 0.0009789433130373932 | Energy | 10.489999771118164 | EUR |
Equity | AMUN FP | FR0004125920 | AMUNDI SA | 0.0009428491498372481 | Financials | 78.5 | EUR |
Equity | DEMANT DC | DK0060738599 | Demant A/S | 0.0009280197004317969 | Health Care | 323.20001220703125 | DKK |
Equity | LXS GY | DE0005470405 | LANXESS AG | 0.0008986953792569494 | Materials | 54.7400016784668 | EUR |
Equity | LI FP | FR0000121964 | KLEPIERRE | 0.0008981598687747454 | Real Estate | 22.020000457763672 | EUR |
Equity | GALP PL | PTGAL0AM0009 | GALP ENERGIA SGPS SA | 0.0008925483592055196 | Energy | 9.010000228881836 | EUR |
Equity | ELUXB SS | SE0016589188 | ELECTROLUX AB-SER B | 0.0008917733824055125 | Consumer Discretionary | 199.6999969482422 | SEK |
Equity | NTGY SQ | ES0116870314 | GAS NATURAL SDG SA | 0.0008818312228497673 | Utilities | 23.010000228881836 | EUR |
Equity | BMW3 GY | DE0005190037 | BAYERISCHE MOTOREN WERKE-PRF | 0.0008807564765950483 | Consumer Discretionary | 77.25 | EUR |
Equity | ATO FP | FR0000051732 | AtoS | 0.000853195556513502 | Information Technology | 43.61000061035156 | EUR |
Equity | AMBUB DC | DK0060946788 | AMBU A/S-B | 0.0008068663910145717 | Health Care | 181.25 | DKK |
Equity | ORNBV FH | FI0009014377 | ORION OYJ-CLASS B | 0.0008026086170197608 | Health Care | 38.279998779296875 | EUR |
Equity | CLN SE | CH0012142631 | CLARIANT AG-REG | 0.0007787371313299559 | Materials | 19.274999618530273 | CHF |
Equity | COV FP | FR0000064578 | Covivio | 0.0007736794676561834 | Real Estate | 75.26000213623047 | EUR |
Equity | SK FP | FR0000121709 | SEB SA | 0.0007507186408244307 | Consumer Discretionary | 137.3000030517578 | EUR |
Equity | CNP FP | FR0000120222 | CNP ASSURANCES | 0.000734450530867006 | Financials | 21.649999618530273 | EUR |
Equity | VOE AV | AT0000937503 | VOESTALPINE AG | 0.0007311914839215058 | Materials | 31.8799991607666 | EUR |
Equity | MF FP | FR0000121204 | Wendel | 0.0006060426260227664 | Financials | 114.30000305175781 | EUR |
Equity | RF FP | FR0000121121 | EURAZEO | 0.0006046378423295586 | Financials | 77.25 | EUR |
Equity | O2D GY | DE000A1J5RX9 | TELEFONICA DEUTSCHLAND HOLDI | 0.0005049036134242886 | Communication Services | 2.4539999961853027 | EUR |