Informationen zum Fonds
Name ERSTE WWF STOCK ENVIRONMENT T
ISIN des Fonds AT0000705678
Abrufdatum 15.09.2018
Anzahl Einzelpositionen 89
Fondsvolumen 139.932.073 EUR
Gesamthöhe kontroverser Beteiligungen
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Alle Beteiligungen nur kontroverse anzeigen
ISIN Einzelposition im Fonds Unternehmen Konflikte Gewichtung im Fonds Wert
US00508Y1029 Acuity Brands Inc ORD N/A 0.83% 1.163.653 EUR
NL0012817175 Alfen NV ORD N/A 0.61% 850.880 EUR
US0301112076 American Superconductor Corp ORD N/A 1.04% 1.456.204 EUR
US0304201033 American Water Works Company Inc ORD N/A 1.36% 1.905.749 EUR
US0323325045 Amtech Systems Inc ORD N/A 0.45% 631.291 EUR
US03836W1036 Aqua America Inc ORD N/A 1.14% 1.600.565 EUR
VGG0443N1078 AquaVenture Holdings Ltd ORD N/A 0.67% 940.889 EUR
JP3116700000 Asahi Holdings Inc ORD N/A 1.43% 2.003.371 EUR
DE000A2DAM03 Aumann AG ORD N/A 1.26% 1.765.393 EUR
JP3937200008 Azbil Corp ORD N/A 1.46% 2.042.578 EUR
CA0585861085 Ballard Power Systems Inc ORD N/A 0.48% 678.182 EUR
BMG0957L1090 Beijing Enterprises Water Group Ltd ORD N/A 0.77% 1.074.216 EUR
AU000000BAL8 Bellamy's Australia Ltd ORD N/A 0.83% 1.167.600 EUR
BMG162581083 Brookfield Renewable Partners LP N/A 0.79% 1.111.812 EUR
CA1366351098 Canadian Solar Inc ORD N/A 0.82% 1.143.022 EUR
US14067D4097 Capstone Turbine Corp ORD N/A 0.64% 889.457 EUR
DE0005407506 Centrotec Sustainable AG ORD N/A 0.45% 625.827 EUR
BMG2161E1113 China Singyes Solar Technologies Holdings Ltd ORD N/A 0.45% 629.984 EUR
BMG2345T1099 Concord New Energy Group Ltd ORD N/A 0.48% 664.965 EUR
ES0121975009 Construcciones y Auxiliar de Ferrocarriles SA ORD N/A 0.58% 809.839 EUR
CNE100000BG0 CRRC Corp Ltd ORD N/A 0.76% 1.062.166 EUR
US2372661015 Darling Ingredients Inc ORD N/A 1.22% 1.705.799 EUR
JP3783600004 East Japan Railway Co ORD N/A 0.83% 1.163.817 EUR
US2788651006 Ecolab Inc ORD N/A 2.32% 3.249.082 EUR
KR7086520004 Ecopro Co Ltd ORD N/A 0.99% 1.390.714 EUR
DE0006095003 Encavis AG ORD N/A 0.76% 1.068.343 EUR
US29355A1079 Enphase Energy Inc ORD N/A 2.50% 3.504.375 EUR
US29359T1025 EnSync Inc ORD N/A 0.27% 383.214 EUR
EUR Cash N/A 4.82% 6.745.027 EUR
US30057T1051 Evoqua Water Technologies Corp ORD N/A 0.52% 729.567 EUR
US3364331070 First Solar Inc ORD N/A 1.88% 2.628.532 EUR
AU000000FLC5 Fluence Corporation Ltd ORD N/A 0.25% 355.612 EUR
CH0030170408 Geberit AG ORD N/A 0.95% 1.332.697 EUR
US41068X1000 Hannon Armstrong Sustainable Infrastructure Capital Inc ORD N/A 1.91% 2.671.091 EUR
US6005441000 Herman Miller Inc ORD N/A 0.73% 1.025.598 EUR
CNE100000WS1 Huaneng Renewables Corp Ltd ORD N/A 1.30% 1.825.138 EUR
CA4488832078 Hydrogenics Corp ORD N/A 0.56% 787.608 EUR
US4516221045 Ideal Power Inc ORD N/A 0.23% 317.666 EUR
US4657411066 Itron Inc ORD N/A 1.72% 2.408.185 EUR
US48282T1043 Kadant Inc ORD N/A 0.89% 1.242.162 EUR
IE0004927939 Kingspan Group PLC ORD N/A 2.00% 2.801.090 EUR
IL0011216723 Kornit Digital Ltd ORD N/A 1.02% 1.432.000 EUR
JP3270000007 Kurita Water Industries Ltd ORD N/A 1.45% 2.028.275 EUR
CH0371153492 Landis+Gyr Group AG ORD N/A 1.37% 1.911.306 EUR
CH0022427626 Lem Holding SA ORD N/A 0.53% 734.646 EUR
AT0000644505 Lenzing AG ORD N/A 0.95% 1.328.014 EUR
DE000A0JQ5U3 Manz AG ORD N/A 1.16% 1.620.612 EUR
US5777671067 Maxwell Technologies Inc ORD N/A 0.45% 630.486 EUR
AT0000938204 Mayr Melnhof Karton AG ORD N/A 0.94% 1.319.374 EUR
CH0108503795 Meyer Burger Technology AG ORD N/A 1.59% 2.218.102 EUR