Informationen zum Fonds
Name iShares S&P 500 UCITS ETF USD (Dist)
ISIN des Fonds IE0031442068
Abrufdatum 15.09.2018
Anzahl Einzelpositionen 509
Fondsvolumen 8.594.816.697 GBX
Gesamthöhe kontroverser Beteiligungen
24.34%
1.76%
5.76%
1.34%
3.41%
3.52%
0.56%
7.92%
7.31%
Alle Beteiligungen nur kontroverse anzeigen
ISIN Einzelposition im Fonds Unternehmen Konflikte Gewichtung im Fonds Wert
US88579Y1010 3M Co ORD N/A 0.51% 43.469.980 GBX
US8318652091 A. O. Smith Corp ORD N/A 0.03% 2.951.916 GBX
US0028241000 Abbott Laboratories ORD N/A 0.47% 40.710.508 GBX
US00287Y1091 AbbVie Inc ORD N/A 0.59% 50.532.320 GBX
US0036541003 Abiomed Inc ORD N/A 0.07% 5.971.441 GBX
IE00B4BNMY34 Accenture PLC ORD N/A 0.44% 37.773.112 GBX
US00507V1098 Activision Blizzard Inc ORD N/A 0.22% 19.077.804 GBX
US00724F1012 Adobe Systems Inc ORD N/A 0.52% 45.084.452 GBX
US00751Y1064 Advance Auto Parts Inc ORD N/A 0.05% 4.187.358 GBX
US0079031078 Advanced Micro Devices Inc ORD N/A 0.08% 7.173.626 GBX
US00130H1059 AES Corp ORD AES Corp. 0.04% 3.094.441 GBX
US00817Y1082 Aetna Inc ORD N/A 0.26% 22.770.498 GBX
US0082521081 Affiliated Managers Group Inc ORD N/A 0.03% 2.804.052 GBX
US0010551028 Aflac Inc ORD N/A 0.14% 12.436.017 GBX
US00846U1016 Agilent Technologies Inc ORD N/A 0.09% 7.553.336 GBX
US0091581068 Air Products and Chemicals Inc ORD N/A 0.15% 12.668.637 GBX
US00971T1016 Akamai Technologies Inc ORD N/A 0.05% 4.456.629 GBX
US0116591092 Alaska Air Group Inc ORD N/A 0.03% 2.933.116 GBX
US0126531013 Albemarle Corp ORD N/A 0.04% 3.644.279 GBX
US0152711091 Alexandria Real Estate Equities Inc ORD N/A 0.05% 4.594.545 GBX
US0153511094 Alexion Pharmaceuticals Inc ORD N/A 0.11% 9.432.038 GBX
US0162551016 Align Technology Inc ORD N/A 0.11% 9.690.850 GBX
IE00BFRT3W74 Allegion PLC ORD N/A 0.03% 2.860.380 GBX
IE00BY9D5467 Allergan plc ORD N/A 0.26% 22.593.216 GBX
US0185811082 Alliance Data Systems Corp ORD N/A 0.05% 3.964.245 GBX
US0188021085 Alliant Energy Corp ORD Alliant Energy Corp 0.04% 3.421.203 GBX
US0200021014 Allstate Corp ORD N/A 0.14% 12.281.005 GBX
US02079K3059 Alphabet Inc ORD Alphabet Inc. 1.49% 127.807.872 GBX
US02079K1079 Alphabet Inc ORD Alphabet Inc. 1.49% 128.483.720 GBX
US02209S1033 Altria Group Inc ORD Altria Group Inc. 0.45% 38.492.524 GBX
US0231351067 Amazon.com Inc ORD N/A 3.27% 281.614.368 GBX
US0236081024 Ameren Corp ORD Ameren Corp. 0.06% 5.355.518 GBX
US02376R1023 American Airlines Group Inc ORD N/A 0.07% 5.862.881 GBX
US0255371017 American Electric Power Company Inc ORD American Electric Power Co. Inc. 0.14% 12.279.530 GBX
US0258161092 American Express Co ORD N/A 0.31% 26.292.684 GBX
US0268747849 American International Group Inc ORD N/A 0.19% 16.590.476 GBX
US03027X1000 American Tower Corp ORD N/A 0.27% 22.893.798 GBX
US0304201033 American Water Works Company Inc ORD N/A 0.06% 5.409.792 GBX
US03076C1062 Ameriprise Financial Inc ORD N/A 0.08% 7.135.904 GBX
US03073E1055 AmerisourceBergen Corp ORD N/A 0.06% 5.063.422 GBX
US0311001004 Ametek Inc ORD N/A 0.07% 6.201.360 GBX
US0311621009 Amgen Inc ORD N/A 0.54% 46.230.240 GBX
US0320951017 Amphenol Corp ORD N/A 0.12% 9.904.701 GBX
US0325111070 Anadarko Petroleum Corp ORD N/A 0.13% 11.530.047 GBX
US0326541051 Analog Devices Inc ORD N/A 0.15% 12.743.149 GBX
US03349M1053 Andeavor ORD N/A 0.09% 7.383.883 GBX
US03662Q1058 ANSYS Inc ORD N/A 0.06% 5.470.416 GBX
US0367521038 Anthem Inc ORD N/A 0.27% 23.471.756 GBX
GB00B5BT0K07 Aon PLC ORD N/A 0.14% 12.363.575 GBX
US0374111054 Apache Corp ORD N/A 0.07% 5.822.202 GBX