ETF constituents for MIDD

Below, a list of constituents for MIDD (iShares FTSE 250 UCITS ETF) is shown. In total, MIDD consists of 257 securities.

Note: The data shown here is as of date März 13, 2026 (the latest that can be sourced directly from the fund provider).

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

Emittententicker Name Sektor Marktwert Gewichtung (%) Kurs
IGG IG GROUP HOLDINGS PLC Financials 10.455.603,58 153.0 13,57
BBY BALFOUR BEATTY PLC Industrie 8.620.972,10 126.0 7,54
ABDN ABERDEEN GROUP PLC Financials 8.555.613,64 125.0 2,03
INVP INVESTEC PLC Financials 7.829.736,20 115.0 5,72
TW. TAYLOR WIMPEY PLC Zyklische Konsumgüter  7.815.010,28 114.0 0,95
JMAT JOHNSON MATTHEY PLC Materialien 7.514.973,34 110.0 19,18
SRP SERCO GROUP PLC Industrie 7.364.302,21 108.0 3,20
BGEO LION FINANCE GROUP PLC Financials 7.327.873,80 107.0 98,10
DRX DRAX GROUP PLC Versorger 7.080.566,46 104.0 8,86
JGGI JPMORGAN GLOBAL GROWTH & INCOME PL Financials 7.056.996,80 103.0 5,60
RS1 RS GROUP PLC Industrie 6.951.159,10 102.0 6,31
ITV ITV PLC Kommunikation 6.897.878,06 101.0 0,83
EMG MAN GROUP PLC Financials 6.752.987,90 99.0 2,52
PLUS PLUS500 LTD Financials 6.570.249,36 96.0 41,52
CWK CRANSWICK PLC Nichtzyklische Konsumgüter 6.424.969,50 94.0 52,90
CTY THE CITY OF LONDON INVESTMENT TRUS Financials 6.325.430,72 93.0 5,44
BWY BELLWAY PLC Zyklische Konsumgüter  6.091.679,24 89.0 22,84
ROR ROTORK PLC Industrie 6.059.343,86 89.0 3,15
INCH INCHCAPE PLC Zyklische Konsumgüter  6.052.478,88 89.0 7,98
PNN PENNON GROUP PLC Versorger 6.027.064,80 88.0 5,47
WPP WPP PLC Kommunikation 6.001.919,70 88.0 2,38
PHP PRIMARY HEALTH PROPERTIES REIT PLC Immobilien 5.857.436,16 86.0 1,00
RCP RIT CAPITAL PARTNERS PLC Financials 5.825.094,30 85.0 21,55
TEM TEMPLETON EMERGING MARKETS INVESTM Financials 5.817.167,20 85.0 2,60
GBP GBP CASH Cash und/oder Derivate 5.741.525,46 84.0 100,00
PAF PAN AFRICAN RESOURCES PLC Materialien 5.722.209,29 84.0 1,44
MNKS MONKS INVESTMENT TRUST PLC Financials 5.662.829,68 83.0 14,32
QQ. QINETIQ GROUP PLC Industrie 5.551.283,70 81.0 5,10
CCL CARNIVAL PLC Zyklische Konsumgüter  5.548.088,21 81.0 18,13
INPP INTERNATIONAL PUBLIC PARTNERSHIPS Financials 5.510.248,88 81.0 1,30
QLT QUILTER PLC Financials 5.461.561,29 80.0 1,76
HICL HICL INFRASTRUCTURE PLC Financials 5.448.207,79 80.0 1,22
3IN 3I INFRASTRUCTURE PLC Financials 5.222.967,75 76.0 3,46
UTG UNITE GROUP PLC Immobilien 5.205.624,55 76.0 4,72
HVPE HARBOURVEST GLOBAL PRIVATE EQUITY Financials 5.060.672,10 74.0 29,70
MTO MITIE GROUP PLC Industrie 4.941.451,27 72.0 1,74
JTC JTC PLC Financials 4.825.107,32 71.0 12,98
UKW GREENCOAT UK WIND PLC Versorger 4.767.268,14 70.0 0,95
MYI MURRAY INTERNATIONAL TRUST PLC Financials 4.751.502,47 70.0 3,44
HOC HOCHSCHILD MINING PLC Materialien 4.750.059,60 70.0 6,43
TCAP TP ICAP GROUP PLC Financials 4.724.049,76 69.0 2,72
FEV FIDELITY EUROPEAN TRUST PLC Financials 4.722.695,94 69.0 4,01
JUST JUST GROUP PLC Financials 4.699.361,99 69.0 2,17
OSB OSB GROUP PLC Financials 4.698.914,01 69.0 5,68
SHC SHAFTESBURY CAPITAL PLC Immobilien 4.558.313,18 67.0 1,33
JAM JPMORGAN AMERICAN INVESTMENT TRUST Financials 4.465.771,84 65.0 11,08
ATT ALLIANZ TECHNOLOGY TRUST PLC Financials 4.464.932,00 65.0 5,30
TBCG TBC BANK GROUP PLC Financials 4.411.448,50 65.0 42,10
MGNS MORGAN SINDALL GROUP PLC Industrie 4.374.501,10 64.0 43,70
BME B&M EUROPEAN VALUE RETAIL SA Zyklische Konsumgüter  4.184.533,12 61.0 1,79
DLN DERWENT LONDON REIT PLC Immobilien 4.116.369,11 60.0 16,57
GNS GENUS PLC Gesundheitsversorgung 4.098.343,20 60.0 26,70
MRC THE MERCANTILE INVESTMENT TRUST PL Financials 4.022.935,51 59.0 2,50
HGT HGCAPITAL TRUST PLC Financials 4.010.979,65 59.0 4,04
BYG BIG YELLOW GROUP PLC Immobilien 4.005.462,75 59.0 9,25
HILS HILL AND SMITH PLC Materialien 3.994.812,00 59.0 21,60
CCC COMPUTACENTER PLC IT 3.930.078,02 58.0 30,26
COA COATS GROUP PLC Zyklische Konsumgüter  3.876.556,13 57.0 0,88
BRWM BLACKROCK WORLD MINING TRUST CF Financials 3.856.671,00 56.0 8,84
PNL PERSONAL ASSETS TRUST PLC Financials 3.832.032,14 56.0 5,42
HMSO HAMMERSON REIT PLC Immobilien 3.767.856,88 55.0 3,16
GRG GREGGS PLC Zyklische Konsumgüter  3.741.185,24 55.0 16,49
HBR HARBOUR ENERGY PLC Energie 3.691.886,71 54.0 2,89
TRIG THE RENEWABLES INFRASTRUCTURE GROU Versorger 3.664.802,21 54.0 0,66
GFTU GRAFTON GROUP PLC Industrie 3.650.057,00 53.0 9,03
SCT SOFTCAT PLC IT 3.496.514,50 51.0 11,65
HTWS HELIOS TOWERS PLC Kommunikation 3.466.014,22 51.0 1,78
LRE LANCASHIRE HOLDINGS LTD Financials 3.434.588,10 50.0 6,07
PIN PANTHEON INTERNATIONAL PLC Financials 3.404.021,18 50.0 3,54
CURY CURRYS PLC Zyklische Konsumgüter  3.403.213,69 50.0 1,45
AJB AJ BELL PLC Financials 3.379.107,26 49.0 4,40
PAG PARAGON GROUP OF COMPANIES Financials 3.369.281,30 49.0 7,70
CHG CHEMRING GROUP PLC Industrie 3.368.413,62 49.0 5,43
SRE SIRIUS REAL ESTATE LIMITED LTD Immobilien 3.367.305,35 49.0 0,97
SAFE SAFESTORE HOLDINGS PLC Immobilien 3.362.191,47 49.0 6,76
KLR KELLER GROUP PLC Industrie 3.353.228,75 49.0 21,25
SSPG SSP GROUP PLC Zyklische Konsumgüter  3.290.976,32 48.0 1,78
BHMG BH MACRO LIMITED GBP LTD Financials 3.275.907,80 48.0 4,36
LWDB LAW DEBENTURE CORPORATION PLC Financials 3.269.783,04 48.0 11,04
GNC GREENCORE GROUP PLC Nichtzyklische Konsumgüter 3.268.348,01 48.0 2,60
JMGI JPMORGAN EMERGING MARKETS GROWTH & Financials 3.263.673,05 48.0 1,45
IWG INTERNATIONAL WORKPLACE GROUP PLC Immobilien 3.261.093,41 48.0 1,87
OXIG OXFORD INSTRUMENTS PLC IT 3.137.361,90 46.0 25,15
WWH WORLDWIDE HEALTHCARE TRUST PLC Financials 3.136.983,96 46.0 3,39
RSW RENISHAW PLC IT 3.094.571,60 45.0 38,80
VTY VISTRY GROUP PLC Zyklische Konsumgüter  3.078.541,00 45.0 4,13
TATE TATE AND LYLE PLC Nichtzyklische Konsumgüter 3.003.351,37 44.0 3,56
BNKR THE BANKERS INVESTMENT TRUST PLC Financials 2.992.298,62 44.0 1,31
CKN CLARKSON PLC Industrie 2.972.613,80 44.0 46,15
PFD PREMIER FOODS PLC Nichtzyklische Konsumgüter 2.953.902,30 43.0 1,93
SEQI SEQUOIA ECONOMIC INFRASTRUCTURE IN Financials 2.876.521,31 42.0 0,81
FSV FIDELITY SPECIAL VALUES PLC Financials 2.847.792,21 42.0 4,25
GRI GRAINGER PLC Immobilien 2.827.315,64 41.0 1,72
JFJ JPMORGAN JAPANESE INVESTMENT TRUST Financials 2.812.083,60 41.0 7,60
ASL ABERFORTH SMALLER COMPANIES TRUST Financials 2.792.412,90 41.0 15,66
TPK TRAVIS PERKINS PLC Industrie 2.791.386,51 41.0 5,83
SVS SAVILLS PLC Immobilien 2.772.883,30 41.0 9,02
GPE GREAT PORTLAND ESTATES PLC Immobilien 2.748.398,88 40.0 3,04
OCDO OCADO GROUP PLC Nichtzyklische Konsumgüter 2.743.045,62 40.0 1,98
RAT RATHBONES GROUP PLC Financials 2.714.153,00 40.0 20,60
HRI HERALD INVESTMENT TRUST PLC Financials 2.699.281,55 40.0 24,85
FAN VOLUTION GROUP PLCINARY Industrie 2.681.919,84 39.0 5,92
BOY BODYCOTE PLC Industrie 2.650.887,62 39.0 6,61
BPT BRIDGEPOINT GROUP PLC Financials 2.646.643,20 39.0 2,40
SNR SENIOR PLC Industrie 2.633.117,85 39.0 2,85
ENOG ENERGEAN PLC Energie 2.612.181,25 38.0 8,75
EDIN THE EDINBURGH INVESTMENT TRUST PLC Financials 2.480.552,60 36.0 7,90
TMPL TEMPLE BAR INVESTMENT TRUST PLC Financials 2.455.514,69 36.0 3,71
FCSS FIDELITY CHINA SPECIAL SITUATIONS Financials 2.448.514,60 36.0 3,01
DNLM DUNELM GROUP PLC Zyklische Konsumgüter  2.438.437,65 36.0 8,63
CLDN CALEDONIA INVESTMENTS PLC Financials 2.422.311,62 35.0 3,34
SUPR SUPERMARKET INCOME REIT PLC Immobilien 2.408.353,34 35.0 0,84
WOSG WATCHES OF SWITZERLAND GROUP PLC Zyklische Konsumgüter  2.377.363,94 35.0 4,57
VEIL VIETNAM ENTERPRISE INVESTMENTS LTD Financials 2.357.939,52 35.0 7,38
AGT AVI GLOBAL TRUST PLC Financials 2.291.300,96 34.0 2,50
TEP TELECOM PLUS PLC Versorger 2.269.115,52 33.0 13,44
TRY TR PROPERTY INVESTMENT TRUST PLC Financials 2.268.096,12 33.0 3,21
FOUR 4IMPRINT GROUP PLC Kommunikation 2.237.474,55 33.0 34,85
BREE BREEDON GROUP PLC Materialien 2.204.139,76 32.0 3,38
ASHM ASHMORE GROUP PLC Financials 2.194.336,65 32.0 2,13
FGP FIRSTGROUP PLC Industrie 2.179.932,22 32.0 1,74
SDP SCHRODER ASIAPACIFIC FUND PLC Financials 2.148.227,62 31.0 6,98
RICA RUFFER INVESTMENT COMPANY LTD Financials 2.127.918,45 31.0 3,08
FGT FINSBURY GROWTH & INCOME TRUST PLC Financials 2.126.765,67 31.0 7,53
KIE KIER GROUP PLC Industrie 2.118.946,68 31.0 2,14
TFIF TWENTYFOUR INCOME FUND LTD Financials 2.079.063,84 30.0 1,10
MUT MURRAY INCOME TRUST PLC Financials 2.040.015,33 30.0 9,07
IAD INVESCO ASIA DRAGON TRUST PLC Financials 2.038.169,21 30.0 4,27
ELM ELEMENTIS PLC Materialien 2.015.994,44 30.0 1,52
PETS PETS AT HOME PLC Zyklische Konsumgüter  2.004.221,55 29.0 1,93
MRCH MERCHANTS TRUST PLC Financials 2.001.185,76 29.0 6,01
BCG BALTIC CLASSIFIEDS GROUP PLC Kommunikation 2.000.883,14 29.0 1,90
SOI SCHRODER ORIENTAL INCOME FUND LIMI Financials 2.000.391,75 29.0 3,75
ZIG ZIGUP PLC Industrie 1.979.134,60 29.0 3,98
SAIN SCOTTISH AMERICAN INVESTMENT CO. P Financials 1.962.036,10 29.0 5,05
ATYM ATALAYA MINING COPPER SA Materialien 1.954.252,71 29.0 8,37
TRN TRAINLINE PLC Zyklische Konsumgüter  1.899.178,16 28.0 2,00
GAMA GAMMA COMMUNICATIONS PLC Kommunikation 1.895.915,52 28.0 8,88
MONY MONY GROUP PLC Kommunikation 1.878.789,48 28.0 1,68
VSVS VESUVIUS Industrie 1.864.175,36 27.0 4,24
IEM IMPAX ENVIRONMENTAL MARKETS PLC Financials 1.858.016,95 27.0 4,17
PTEC PLAYTECH PLC Zyklische Konsumgüter  1.843.356,45 27.0 3,52
EWI EDINBURGH WORLDWIDE INVESTMENT TRU Financials 1.841.683,20 27.0 2,24
ICGT ICG ENTERPRISE TRUST PLC Financials 1.840.458,30 27.0 13,10
IHP INTEGRAFIN HOLDINGS Financials 1.803.488,44 26.0 3,12
CGT CAPITAL GEARING TRUST PLC Financials 1.794.248,40 26.0 50,20
GSCT THE GLOBAL SMALLER COMPANIES TRUST Financials 1.792.454,40 26.0 1,80
USA BAILLIE GIFFORD US GROWTH TRUST PL Financials 1.787.256,80 26.0 2,80
PHI PACIFIC HORIZON INVESTMENT TRUST P Financials 1.785.530,52 26.0 9,09
FEML FIDELITY EMERGING MARKETS LIMITED Financials 1.766.188,60 26.0 11,80
ESCT THE EUROPEAN SMALLER COMPANIES TRU Financials 1.762.576,20 26.0 2,10
GEN GENUIT GROUP PLC Industrie 1.759.254,84 26.0 3,04
BPCR BIOPHARMA CREDIT PLC Financials 1.754.263,57 26.0 0,70
JUP JUPITER FUND MANAGEMENT PLC Financials 1.739.790,36 25.0 1,77
WIZZ WIZZ AIR HOLDINGS PLC Industrie 1.655.264,00 24.0 9,20
FRAS FRASERS GROUP PLC Zyklische Konsumgüter  1.620.274,42 24.0 6,73
MAB MITCHELLS AND BUTLERS PLC Zyklische Konsumgüter  1.614.298,18 24.0 2,73
SMWH WH SMITH PLC Zyklische Konsumgüter  1.611.305,83 24.0 5,51
CSN CHESNARA PLC Financials 1.611.090,00 24.0 3,00
BGFD BAILLIE GIFFORD JAPAN TRUST PLC Financials 1.567.157,10 23.0 8,70
OCI OAKLEY CAPITAL INVESTMENTS LTD Financials 1.551.972,10 23.0 4,90
GROW MOLTEN VENTURES PLC Financials 1.551.771,10 23.0 4,58
BYIT BYTES TECHNOLOGY GROUP PLC IT 1.538.431,12 23.0 3,05
NBPE NB PRIVATE EQUITY PARTNERS LIMITED Financials 1.491.876,10 22.0 14,30
DOM DOMINOS PIZZA GROUP PLC Zyklische Konsumgüter  1.475.388,54 22.0 1,82
TRST TRUSTPILOT GROUP PLC Kommunikation 1.463.614,65 21.0 1,76
MOON MOONPIG GROUP PLC Zyklische Konsumgüter  1.458.857,44 21.0 2,10
GCP GCP INFRASTRUCTURE INVESTMENTS LTD Financials 1.452.529,50 21.0 0,75
THRL TARGET HEALTHCARE REIT PLC Immobilien 1.448.838,72 21.0 1,01
KNOS KAINOS GROUP PLC IT 1.442.121,36 21.0 7,86
CBG CLOSE BROS GROUP PLC Financials 1.436.789,67 21.0 4,15
GDWN GOODWIN PLC Industrie 1.433.688,00 21.0 246,00
VOF VINACAPITAL VIETNAM OPPORTUNITY FU Financials 1.395.755,00 20.0 4,60
HTG HUNTING PLC Energie 1.391.553,60 20.0 4,80
ITH ITHACA ENERGY PLC Energie 1.363.538,61 20.0 2,56
BAG A G BARR PLC Nichtzyklische Konsumgüter 1.346.469,54 20.0 6,69
JEGI JPMORGAN EUROPEAN GROWTH & INCOME Financials 1.332.027,71 20.0 1,37
N91 NINETY ONE PLC Financials 1.325.738,89 19.0 2,25
MGAM MORGAN ADVANCED MATERIALS PLC Industrie 1.307.760,19 19.0 2,04
ATR SCHRODER ASIAN TOTAL RETURN INVEST Financials 1.297.627,56 19.0 6,04
HAS HAYS PLC Industrie 1.291.338,75 19.0 0,35
JEDT JPMORGAN EUROPEAN DISCOVERY TRUST Financials 1.280.566,00 19.0 5,84
OXB OXFORD BIOMEDICA PLC Gesundheitsversorgung 1.272.083,40 19.0 6,30
XPS XPS PENSIONS GROUP PLC Financials 1.262.241,23 18.0 3,00
AVON AVON TECHNOLOGIES PLC Industrie 1.245.440,80 18.0 18,40
DSCV DISCOVERIE GROUP Industrie 1.242.164,70 18.0 5,74
AAS ABERDEEN ASIA FOCUS PLC Financials 1.237.641,99 18.0 3,77
HSL HENDERSON SMALLER COMPANIES INVEST Financials 1.225.805,98 18.0 8,54
PINT PANTHEON INFRASTRUCTURE PLC Financials 1.218.256,79 18.0 1,14
VCT VICTREX PLC Materialien 1.215.094,73 18.0 6,13
JSG JOHNSON SERVICE GROUP PLC Industrie 1.208.537,27 18.0 1,35
BGEIT1 BLACKROCK GREATER EUROPE INV TRS 1 Financials 1.184.297,31 17.0 5,49
BRSC BLACKROCK SMALLER COMPANIES TRUST Financials 1.181.418,72 17.0 12,56
GFRD GALLIFORD TRY PLC Industrie 1.166.550,80 17.0 5,29
ONT OXFORD NANOPORE TECHNOLOGIES PLC Gesundheitsversorgung 1.162.562,95 17.0 1,17
PEY PARTNERS GROUP PRIVATE EQUITY LIMI Financials 1.151.137,08 17.0 8,21
JEMI JPMORGAN EMERGING MARKETS DIVIDEND Financials 1.147.148,00 17.0 1,85
WKP WORKSPACE GROUP REIT PLC Immobilien 1.140.113,92 17.0 3,79
JDW WETHERSPOON(J.D.) PLC Zyklische Konsumgüter  1.134.835,64 17.0 6,53
SPI SPIRE HEALTHCARE GROUP PLCINARY Gesundheitsversorgung 1.128.133,15 17.0 1,84
GBG GB GROUP PLC IT 1.123.958,40 16.0 2,04
IPF INTERNATIONAL PERSONAL FINANCE PLC Financials 1.095.750,30 16.0 2,55
COST COSTAIN GROUP PLC Industrie 1.094.903,81 16.0 1,96
UEM UTILICO EMERGING MARKETS TRUST PLC Financials 1.089.426,80 16.0 2,80
PAGE PAGEGROUP PLC Industrie 1.079.110,65 16.0 1,47
BSIF BLUEFIELD SOLAR INCOME FUND LTD Financials 1.076.940,76 16.0 0,82
PCGH POLAR CAPITAL GLOBAL HEALTHCARE TR Financials 1.073.647,42 16.0 3,86
WIX WICKES GROUP PLC Zyklische Konsumgüter  1.072.714,55 16.0 2,15
FGEN FORESIGHT ENVIRONMENTAL INFRASTRUC Financials 1.030.742,06 15.0 0,72
CHRY CHRYSALIS INVESTMENTS LIMITED LTD Financials 1.027.365,60 15.0 0,87
CWR CERES POWER HOLDINGS PLC Industrie 1.026.438,00 15.0 3,00
BUT BRUNNER INVESTMENT TRUST PLC Financials 1.006.189,84 15.0 14,06
RHIM RHI MAGNESITA NV Materialien 984.919,35 14.0 24,45
IPO IP GROUP PLC Financials 979.690,36 14.0 0,49
SAGA SAGA PLC Financials 972.454,50 14.0 4,65
CCR C C GROUP PLC Nichtzyklische Konsumgüter 969.351,84 14.0 1,12
RTW RTW BIOTECH OPPORTUNITIES LTD Financials 952.425,11 14.0 1,50
SEIT SDCL EFFICIENCY INCOME TRUST PLC Financials 943.312,57 14.0 0,45
IBST IBSTOCK PLC Materialien 935.350,27 14.0 1,02
HFG HILTON FOOD GROUP PLC Nichtzyklische Konsumgüter 921.014,16 13.0 5,08
FUTR FUTURE PLC Kommunikation 921.001,40 13.0 4,36
SYNC SYNCONA LIMITED - LTDINARY SHARES Financials 920.204,47 13.0 0,95
PPH PPH HOTEL GROUP LTD Zyklische Konsumgüter  907.411,70 13.0 16,90
THRG BLACKROCK THROGMORTON TRUST PLC Financials 906.337,60 13.0 5,60
JIGI JPMORGAN INDIA GROWTH & INCOME PLC Financials 897.201,98 13.0 8,66
BOWL HOLLYWOOD BOWL GROUP PLC Zyklische Konsumgüter  882.109,80 13.0 2,53
AIE ASHOKA INDIA EQUITY INVESTMENT TRU Financials 842.738,60 12.0 2,25
SHAW SHAWBROOK GROUP PLC Financials 821.651,66 12.0 3,79
DOCS DR. MARTENS PLC Zyklische Konsumgüter  814.053,22 12.0 0,63
NCC NCC GROUP PLC IT 800.095,54 12.0 1,27
PPET PATRIA PRIVATE EQUITY TRUST PLC Financials 772.635,00 11.0 5,70
MSLH MARSHALLS PLC Materialien 756.665,18 11.0 1,42
CMCX CMC MARKETS PLC Financials 742.971,73 11.0 3,29
MTRO METRO BANK HOLDINGS PLC Financials 737.595,60 11.0 1,11
AEP AEP PLANTATIONS PLC Nichtzyklische Konsumgüter 719.647,50 11.0 16,25
APN APPLIED NUTRITION PLC Nichtzyklische Konsumgüter 712.026,00 10.0 2,25
FSG FORESIGHT GROUP HOLDINGS LTD Financials 683.244,97 10.0 3,85
MEGP ME GROUP INTERNATIONAL PLC Zyklische Konsumgüter  676.097,60 10.0 1,37
AO. AO WORLD Zyklische Konsumgüter  631.603,92 9.0 0,92
HWG HARWORTH GROUP PLC Immobilien 593.348,65 9.0 1,68
NAS NORTH ATLANTIC SMALLER COMPANIES I Financials 592.232,40 9.0 3,40
POLN POLLEN STREET GROUP LTD Financials 588.107,52 9.0 7,28
THG THG PLC Zyklische Konsumgüter  504.583,22 7.0 0,31
ALFA ALFA FINANCIAL SOFTWARE HOLDINGS P IT 495.319,76 7.0 1,73
FCH FUNDING CIRCLE HOLDINGS PLC Financials 487.627,92 7.0 1,36
RPI RASPBERRY PI HOLDINGS PLC IT 439.985,99 6.0 2,92
EWG W.A.G PAYMENT SOLUTIONS PLC Financials 431.082,14 6.0 1,01
PINE PINEWOOD TECHNOLOGIES GROUP PLC IT 416.604,73 6.0 2,56
RNK RANK GROUP PLC Zyklische Konsumgüter  387.037,56 6.0 0,92
BZFUT CASH COLLATERAL GBP BZFUT Cash und/oder Derivate 361.410,00 5.0 100,00
PRN PRINCES GROUP PLC Nichtzyklische Konsumgüter 345.490,04 5.0 3,75
USD USD CASH Cash und/oder Derivate 335.423,20 5.0 75,54
AML ASTON MARTIN LAGONDA GLOBAL HOLDIN Zyklische Konsumgüter  286.669,96 4.0 0,40
EUR EUR CASH Cash und/oder Derivate 41.208,45 1.0 86,44
nan BAKKAVOR GROUP PLC-CVR Nichtzyklische Konsumgüter 8.028,98 0.0 0,02
YBYH6 FTSE 250 MID LIF (Y2) MAR 26 Cash und/oder Derivate 0,00 0.0 22.040,50
YBYM6 FTSE 250 MID LIF (Y2) JUN 26 Cash und/oder Derivate 0,00 0.0 21.978,50