ETF constituents for LU2233156749

Below, a list of constituents for LU2233156749 (AMUNDI INDEX MSCI JAPAN SRI UCITS ETF DR (C)) is shown. In total, LU2233156749 consists of 62 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 %
JP3571400005 TOKYO ELECTRON LTD Aktien JPY 6.23%
JP3435000009 SONY CORP Aktien JPY 6.09%
JP3496400007 KDDI CORP Aktien JPY 4.75%
JP3481800005 DAIKIN INDUSTRIES LTD Aktien JPY 4.57%
JP3802300008 FAST RETAILING CO LTD Aktien JPY 4.52%
JP3818000006 FUJITSU LTD Aktien JPY 4.11%
JP3942400007 ASTELLAS PHARMA Aktien JPY 3.72%
JP3814000000 FUJIFILM HOLDINGS CORP Aktien JPY 3.36%
JP3205800000 KAO CORP Aktien JPY 3.08%
JP3866800000 PANASONIC CORP Aktien JPY 3.04%
JP3519400000 CHUGAI PHARMACEUTICAL Aktien JPY 2.75%
JP3304200003 KOMATSU LTD Aktien JPY 2.72%
JP3893200000 MITSUI FUDOSAN CO LTD Aktien JPY 2.42%
JP3351100007 SYSMEX Aktien JPY 2.36%
JP3933800009 Z HOLDINGS KK Aktien JPY 2.23%
JP3197800000 OMRON CORP Aktien JPY 2.13%
JP3160400002 EISAI Aktien JPY 2.00%
JP3347200002 SHINOGI CO LTD Aktien JPY 1.95%
JP3388200002 AEON CO LTD Aktien JPY 1.82%
JP3890310000 MS&AD INSURANCE GROUP HOLDING Aktien JPY 1.68%
JP3421800008 SECOM CO LTD Aktien JPY 1.64%
JP3119600009 AJINOMOTO CO INC Aktien JPY 1.63%
JP3165000005 SOMPO HOLDINGS INC Aktien JPY 1.58%
JP3762800005 NOMURA RESEARCH INSTITUTE Aktien JPY 1.58%
JP3420600003 SEKISUI HOUSE LTD Aktien JPY 1.50%
JP3111200006 ASAHI KASEI CORPORATION Aktien JPY 1.47%
JP3240400006 KIKKOMAN CORP Aktien JPY 1.36%
JP3892100003 SUMITOMO MITSUI TRUST - SHS Aktien JPY 1.35%
JP3684000007 NITTO DENKO CORP Aktien JPY 1.31%
JP3753000003 NIPPON YUSEN KK Aktien JPY 1.26%
JP3932000007 YASKAWA ELECTRIC CORP Aktien JPY 1.24%
JP3659000008 WEST JAPAN RAILWAY COMPANY Aktien JPY 1.22%
JP3500610005 RESONA HOLDINGS INC Aktien JPY 0.95%
JP3942800008 YAMAHA MOTOR CO LTD Aktien JPY 0.95%
JP3401400001 SUMITOMO CHEMICAL CO LTD Aktien JPY 0.94%
JP3942600002 YAMAHA CORP. Aktien JPY 0.89%
JP3162770006 SG HOLDINGS CO LTD Aktien JPY 0.87%
JP3774200004 HANKYU HANSHIN HOLDINGS INC Aktien JPY 0.86%
JP3574200006 TOKYU CORP Aktien JPY 0.84%
JP3596200000 TOTO LTD Aktien JPY 0.79%
JP3148800000 IBIDEN Aktien JPY 0.76%
JP3196000008 ODAKYU ELECTRIC RAILWAY CO LTD Aktien JPY 0.71%
JP3937200008 YAMATAKE CORP Aktien JPY 0.65%
JP3336560002 SUNTORY Aktien JPY 0.64%
JP3218900003 CAPCOM CO LTD Aktien JPY 0.59%
JP3270000007 KURITA WATER INDUSTRIES LTD Aktien JPY 0.59%
JP3291200008 KOBE BUSSAN CO LTD Aktien JPY 0.59%
JP3277800003 KEIO Aktien JPY 0.57%
JP3729400006 NIPPON EXPRESS Aktien JPY 0.56%
JP3229400001 KANSAI PAINT CO LTD Aktien JPY 0.56%
JP3040880001 ORIX JREIT INC Aktien JPY 0.52%
JP3360800001 HULIC CO LTD Aktien JPY 0.46%
JP3358800005 SHIMIZU CORP Aktien JPY 0.46%
JP3351200005 SHIZUOKA BANK LTD Aktien JPY 0.42%
JP3787000003 HITACHI CONST MACH. Aktien JPY 0.41%
JP3399400005 STANLEY ELECTRIC CO LTD Aktien JPY 0.41%
JP3880800002 MIURA CORP. Aktien JPY 0.40%
JP3431900004 SOHGO SECURITY SERVICES CO Aktien JPY 0.35%
- CASH - - 0.34%
JP3424950008 TOKYO CENTURY CORP - REGISTERED SHS Aktien JPY 0.24%
nan OSFT TOPIX IN 1221 INDEX-FUTURE JPY 0.00%
nan MINI TPX IDX /202112 INDEX-FUTURE JPY -0.00%