ETF constituents for FR0013284304

Below, a list of constituents for FR0013284304 (AMUNDI ETF iSTOXX Europe Multi-Factor Market Neutral UCITS ETF (C)) is shown. In total, FR0013284304 consists of 75 securities.

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

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ISIN-Code Name Anlageklasse Währung Gewichtung in %
US30303M1027 Meta Platforms - A Aktien USD 8.56%
NL0000235190 AIRBUS SE Aktien EUR 6.46%
NL0010273215 ASML HOLDING NV Aktien EUR 6.27%
US3453708600 FORD MOTOR COMPANY Aktien USD 5.35%
US0605051046 BANK OF AMERICA CORP Aktien USD 4.91%
DK0060534915 NOVO NORDISK AS Aktien DKK 4.81%
US0231351067 AMAZON.COM INC Aktien USD 4.72%
US92532F1003 VERTEX PHARMACEUTICALS INC Aktien USD 4.55%
PTEDP0AM0009 EDP Aktien EUR 3.79%
US28176E1082 EDWARDS LIFESCIENCES CORP Aktien USD 3.46%
US11135F1012 BROADCOM INC Aktien USD 3.27%
US70450Y1038 PAYPAL HOLDINGS INC Aktien USD 3.25%
US3119001044 FASTENAL CO Aktien USD 3.25%
US02079K1079 ALPHABET-C- Aktien USD 3.24%
US9311421039 WAL-MART IN COM USD0.10 Aktien USD 3.20%
DE0005140008 DEUTSCHE BANK AG NAM Aktien EUR 2.80%
US61174X1090 MONSTER BEVERAGE CORP Aktien USD 2.70%
SE0012673267 EVOLUTION AB Aktien EUR 2.63%
DE0007037129 RWE AG Aktien EUR 2.13%
US00724F1012 ADOBE INC Aktien USD 2.11%
US5949181045 MICROSOFT CORP Aktien USD 1.94%
US9839191015 XILINX INC Aktien USD 1.92%
US4595061015 INTL FLVR & FRAG Aktien USD 1.86%
DE000PAH0038 PORSCHE A HOLDG Aktien EUR 1.67%
US02079K3059 ALPHABET- A Aktien USD 1.48%
FI0009000681 NOKIA OYJ Aktien EUR 1.35%
US92343E1029 VERISIGN INC Aktien USD 1.10%
US81762P1021 SERVICENOW INC Aktien USD 1.01%
US9694571004 WILLIAMS COMPANIES INC Aktien USD 0.96%
US0846707026 BERKSHIRE HATHAWAY CL.B Aktien USD 0.95%
US38141G1040 GOLDMAN SACHS GROUP Aktien USD 0.89%
US0970231058 BOEING CO COM Aktien USD 0.87%
US29355A1079 ENPHASE ENERGY Aktien USD 0.77%
NL0000303709 AEGON Aktien EUR 0.70%
US23918K1088 DAVITA HEALTHCARE PARTNERS INC Aktien USD 0.55%
US00846U1016 AGILENT TECHNOLOGIES INC Aktien USD 0.48%
DE000BAY0017 BAYER Aktien EUR 0.01%
US4581401001 INTEL CORP Aktien USD 0.00%
US7043261079 PAYCHEX Aktien USD 0.00%
NL0011821202 ING GROEP NV Aktien EUR 0.00%
US8835561023 THERMO FISHER SCIEN SHS Aktien USD 0.00%
US00287Y1091 ABBVIE INC Aktien USD 0.00%
US4523271090 ILLUMINA INC Aktien USD 0.00%
US88579Y1010 3M CO Aktien USD 0.00%
US9497461015 WELLS FARGO & CO Aktien USD 0.00%
IE00BZ12WP82 LINDE PLC Aktien EUR 0.00%
US58933Y1055 MERCK & CO Aktien USD 0.00%
US7591EP1005 REGIONS FINANCIAL CORP Aktien USD 0.00%
US1667641005 CHEVRON CORP Aktien USD 0.00%
US2333311072 DTE ENERGY CO Aktien USD 0.00%
US1912161007 THE COCA COLA COMPANY Aktien USD 0.00%
DK0061539921 VESTAS WIND SYSTEMS A/S Aktien DKK 0.00%
US49456B1017 KINDER MORGAN Aktien USD 0.00%
US2473617023 DELTA AIR LINES Aktien USD 0.00%
US8064071025 HENRY SCHEIN INC Aktien USD 0.00%
US92556H2067 VIACOMCBS INC-B Aktien USD 0.00%
US98389B1008 XCEL ENERGY INC Aktien USD 0.00%
US3703341046 GEN MILLS INC COM Aktien USD 0.00%
NL0014332678 JDE PEET'S BV Aktien EUR 0.00%
US92556V1061 VIATRIS INC Aktien USD 0.00%
FI0009003305 SAMPO OYJ A Aktien EUR 0.00%
US9314271084 WALGREENS BOOTS ALLIANCE Aktien USD 0.00%
US25179M1036 DEVON ENERGY CORP Aktien USD 0.00%
US8760301072 TAPESTRY INC Aktien USD 0.00%
US35671D8570 FREEPORT-MCMORAN Aktien USD 0.00%
US9621661043 WEYERHAEUSER CO Aktien USD 0.00%
US44107P1049 HOST HOTELS & RESORTS INC Aktien USD 0.00%
US42250P1030 Healthpeak Properties Inc Aktien USD 0.00%
US00206R1023 AT&T INC Aktien USD 0.00%
US4062161017 HALLIBURTON CO Aktien USD 0.00%
PA1436583006 CARNIVAL CORP Aktien USD 0.00%
US65249B1098 NEWS CORP/NEW-CL A-W/I Aktien USD 0.00%
SE0015961909 HEXAGON AB-B SHS Aktien SEK 0.00%
NL0015435975 DAVIDE CAMPARI-MILANO NV Aktien EUR 0.00%
SE0000108656 ERICSSON B Aktien SEK 0.00%