ETF constituents for FR0010790980

Below, a list of constituents for FR0010790980 (AMUNDI ETF STOXX EUROPE 50 UCITS ETF) is shown. In total, FR0010790980 consists of 111 securities.

Note: The data shown here is as of date 09.11.2021 (the latest that can be sourced directly from the fund provider).

Click here to go back to the full list of ETFs.

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ISIN-Code Name Anlageklasse Währung Gewichtung in %
NL0000226223 STMICROELECTRONICS NV Aktien EUR 8.86%
US0231351067 AMAZON.COM INC Aktien USD 8.21%
US02079K3059 ALPHABET- A Aktien USD 7.35%
US30303M1027 Meta Platforms - A Aktien USD 5.07%
FR0000121014 LVMH MOET HENNE Aktien EUR 3.46%
FR0011149590 L'OREAL PRIME DE FIDELITE Aktien EUR 3.37%
US4581401001 INTEL CORP Aktien USD 3.23%
US4824801009 KLA TENCOR Aktien USD 3.07%
US7475251036 QUALCOMM INC Aktien USD 2.95%
US0846707026 BERKSHIRE HATHAWAY CL.B Aktien USD 2.82%
US00724F1012 ADOBE INC Aktien USD 2.77%
DE0005810055 DEUTSCHE BOERSE AG Aktien EUR 2.74%
US02079K1079 ALPHABET-C- Aktien USD 2.63%
US5949181045 MICROSOFT CORP Aktien USD 2.38%
US4781601046 JOHNSON & JOHNSON Aktien USD 1.97%
US5801351017 MAC DONALD'S CORPORATION Aktien USD 1.89%
FR0000120271 TOTALENERGIES SE Aktien EUR 1.80%
US0188021085 ALLIANT ENERGY CORP Aktien USD 1.78%
US30040W1080 EVERSOURCE EN Aktien USD 1.77%
US37045V1008 GENERAL MOTORS CO Aktien USD 1.77%
NL0000009538 ROYAL PHILIPS Aktien EUR 1.67%
US2788651006 ECOLAB Aktien USD 1.60%
US98978V1035 ZOETIS INC Aktien USD 1.55%
US1729674242 CITIGROUP INC Aktien USD 1.51%
DE000BAY0017 BAYER Aktien EUR 1.41%
NL0000235190 AIRBUS SE Aktien EUR 1.41%
US91324P1021 UNITEDHEALTH GROUP INC Aktien USD 1.38%
US79466L3024 SALESFORCE.COM INC Aktien USD 1.38%
DE0007037129 RWE AG Aktien EUR 1.36%
US6934751057 PNC FINANCIAL SERVICES GROUP Aktien USD 1.31%
US6541061031 NIKE INC CLASS B COM NPV Aktien USD 1.27%
FR0000120073 AIR LIQUIDE PRIME DE FIDELITE Aktien EUR 1.26%
FR0000120578 SANOFI Aktien EUR 0.87%
US3755581036 GILEAD SCIENCES Aktien USD 0.87%
US6516391066 NEWMONT CORP Aktien USD 0.81%
NL0010273215 ASML HOLDING NV Aktien EUR 0.80%
US45866F1049 INTERCONTINENTAL Aktien USD 0.78%
US88160R1014 TESLA INC Aktien USD 0.74%
US6153691059 MOODY'S CORP Aktien USD 0.66%
US11135F1012 BROADCOM INC Aktien USD 0.58%
NL0011585146 FERRARI NV Aktien EUR 0.51%
DE000CBK1001 COMMERZBANK AG Aktien EUR 0.50%
US78486Q1013 SVB FINANCIAL GROUP Aktien USD 0.44%
US0527691069 AUTODESK Aktien USD 0.44%
US0258161092 AMERICAN EXPRESS CO COM Aktien USD 0.44%
US12514G1085 CDW CORP NEW Aktien USD 0.40%
DE0007664039 VOLKSWAGEN-PREF Aktien EUR 0.39%
US0970231058 BOEING CO COM Aktien USD 0.37%
US61174X1090 MONSTER BEVERAGE CORP Aktien USD 0.35%
US2546871060 THE WALT DISNEY Aktien USD 0.33%
US09857L1089 BOOKING HOLDINGS INC Aktien USD 0.29%
US45168D1046 IDEXX LABORATORIES INC Aktien USD 0.28%
LR0008862868 ROYAL CARIBBEAN CRUISES Aktien USD 0.27%
US1488061029 CATALENT INC Aktien USD 0.27%
US46266C1053 IQVIA HOLDINGS - REGISTERED SHARE Aktien USD 0.26%
US50540R4092 LABORATORY CORP OF AMERICA HOLDINGS Aktien USD 0.23%
US7782961038 ROSS STORES Aktien USD 0.23%
US7433151039 PROGRESSIVE CORP Aktien USD 0.19%
US23331A1097 DR HORTON INC Aktien USD 0.19%
CH0013841017 LONZA GROUP NOM. Aktien CHF 0.14%
DE0005140008 DEUTSCHE BANK AG NAM Aktien EUR 0.11%
US3703341046 GEN MILLS INC COM Aktien USD 0.10%
IE00BLP1HW54 AON PLC/IRELAND-A Aktien USD 0.08%
IE00BZ12WP82 LINDE PLC Aktien EUR 0.04%
US0010551028 AFLAC INC Aktien USD 0.02%
US1667641005 CHEVRON CORP Aktien USD 0.00%
NL0011821202 ING GROEP NV Aktien EUR 0.00%
US0718131099 BAXTER INTL INC Aktien USD 0.00%
CH0008038389 SWISS PRIME SITE AG Aktien CHF 0.00%
IE00B4BNMY34 ACCENTURE PLC - CL A Aktien USD 0.00%
US58933Y1055 MERCK & CO Aktien USD 0.00%
FI0009007132 FORTUM CORPORATION Aktien EUR 0.00%
US91913Y1001 VALERO ENERGY CORP Aktien USD 0.00%
US0382221051 APPLIED MATERIALS Aktien USD 0.00%
US7591EP1005 REGIONS FINANCIAL CORP Aktien USD 0.00%
US9497461015 WELLS FARGO & CO Aktien USD 0.00%
US92556H2067 VIACOMCBS INC-B Aktien USD 0.00%
US2473617023 DELTA AIR LINES Aktien USD 0.00%
US8760301072 TAPESTRY INC Aktien USD 0.00%
NL00150001Q9 STELLANTIS NV Aktien EUR 0.00%
US8725901040 TMOBILE US INC Aktien USD 0.00%
US3453708600 FORD MOTOR COMPANY Aktien USD 0.00%
US28176E1082 EDWARDS LIFESCIENCES CORP Aktien USD 0.00%
US1912161007 THE COCA COLA COMPANY Aktien USD 0.00%
US3377381088 FISERV INC Aktien USD 0.00%
US6174464486 MORGAN STANLEY Aktien USD 0.00%
US42250P1030 Healthpeak Properties Inc Aktien USD 0.00%
PA1436583006 CARNIVAL CORP Aktien USD 0.00%
US5178341070 LAS VEGAS SANDS Aktien USD 0.00%
GB00BWFY5505 NIELSEN HOLDINGS PLC Aktien EUR 0.00%
US4364401012 HOLOGIC Aktien USD 0.00%
US1264081035 CSX CORPORATION Aktien USD 0.00%
US5007541064 THE KRAFT HEINZ COMPANY Aktien USD 0.00%
US4606901001 INTERPUBLIC GROUP OF COS INC Aktien USD 0.00%
US25746U1097 DOMINION ENERGY RG REGISTERED Aktien USD 0.00%
AN8068571086 SCHLUMBERGER LTD Aktien USD 0.00%
US23355L1061 DXC TECHNOLOGY C Aktien USD 0.00%
US4878361082 KELLOGG CO COM Aktien USD 0.00%
US69351T1060 PPL CORP Aktien USD 0.00%
US20030N1019 COMCAST CORP-A Aktien USD 0.00%
US92343V1044 VERIZON COMMUNICATIONS EX BELL ATLANTIC Aktien USD 0.00%
JE00BJ1F3079 AMCOR PLC Aktien USD 0.00%
US25179M1036 DEVON ENERGY CORP Aktien USD 0.00%
US1011371077 BOSTON SCIENTIFIC CORP Aktien USD 0.00%
CH0244767585 UBS GROUP AG Aktien CHF 0.00%
US35671D8570 FREEPORT-MCMORAN Aktien USD 0.00%
NL0011794037 KONINKLIJKE AHOL Aktien EUR 0.00%
US00206R1023 AT&T INC Aktien USD 0.00%
FI0009000681 NOKIA OYJ Aktien EUR 0.00%
US92556V1061 VIATRIS INC Aktien USD 0.00%
US42824C1099 HP ENTERPRISE Aktien USD 0.00%