Informationen zum Fonds
Name iShares Emerging Markets Index Inst Acc EUR
ISIN des Fonds IE00B3D07F16
Abrufdatum 15.09.2018
Anzahl Einzelpositionen 913
Fondsvolumen 11.666.286.129 EUR
Gesamthöhe kontroverser Beteiligungen
13.67%
2.63%
2.85%
2.1%
1.56%
0.11%
7.07%
0.2%
0.47%
Kontroverse Beteiligungen gesamtes Portfolio anzeigen
ISIN Einzelposition im Fonds Unternehmen Konflikte Gewichtung im Fonds Wert
PHY0005M1090 Aboitiz Power Corp ORD Aboitiz Power Corp. 0.02% 2.165.397 EUR
INE742F01042 Adani Ports and Special Economic Zone Ltd ORD Adani Ports and Special Economic Zone Ltd. 0.09% 9.986.320 EUR
CNE1000001Y8 AviChina Industry & Technology Co Ltd ORD AviChina Industry & Technology Co. Ltd. 0.03% 2.967.964 EUR
INE257A01026 Bharat Heavy Electricals Ltd ORD Bharat Heavy Electricals Ltd. 0.02% 2.757.380 EUR
MYL4162OO003 British American Tobacco (Malaysia) Bhd ORD British American Tobacco Malaysia BHD 0.02% 1.820.250 EUR
BRELETACNOR6 Centrais Eletricas Brasileiras SA ORD Centrais Elétricas Brasileiras S.A. – Eletrobras 0.02% 2.407.641 EUR
BRELETACNPB7 Centrais Eletricas Brasileiras SA PFD Centrais Elétricas Brasileiras S.A. – Eletrobras 0.03% 3.331.387 EUR
CZ0005112300 CEZ as ORD CEZ AS 0.08% 9.325.054 EUR
HK0941009539 China Mobile Ltd ORD China Mobile Limited 1.06% 123.695.652 EUR
CNE1000002Q2 China Petroleum & Chemical Corp ORD China Petroleum & Chemical Corp. 0.45% 51.927.999 EUR
CNE1000007Z2 China Railway Group Ltd ORD China Railway Group Limited 0.06% 7.016.516 EUR
HK0836012952 China Resources Power Holdings Co Ltd ORD China Resources Power Holdings Co. Ltd. 0.07% 7.889.903 EUR
CNE1000002R0 China Shenhua Energy Co Ltd ORD China Shenhua Energy Co. Ltd. 0.15% 17.360.455 EUR
CNE1000002T6 China Southern Airlines Co Ltd ORD China Southern Airlines Co. Ltd. 0.04% 4.501.071 EUR
INE522F01014 Coal India Ltd ORD Coal India Ltd. 0.05% 6.018.915 EUR
PHY2088F1004 DMCI Holdings Inc ORD DMCI Holdings Inc 0.01% 865.096 EUR
KR7139480008 E-Mart Inc ORD E-Mart Ltd. 0.10% 11.185.516 EUR
TW0002603008 Evergreen Marine Corp Taiwan Ltd ORD Evergreen Marine Corp Taiwan Ltd 0.02% 2.243.816 EUR
ZAE000084992 Exxaro Resources Ltd ORD Exxaro Resources Ltd. 0.04% 4.514.373 EUR
MYL5222OO004 FGV Holdings Bhd ORD Felda Global Ventures 0.01% 1.349.521 EUR
US36268T2069 GAIL (India) Ltd DR Gail India Ltd. 0.02% 2.732.554 EUR
INE129A01019 GAIL (India) Ltd ORD Gail India Ltd. 0.04% 4.081.549 EUR
US3682872078 Gazprom PAO DR Gazprom 0.18% 20.697.069 EUR
RU0007661625 Gazprom PAO ORD Gazprom 0.27% 30.928.058 EUR
MYL3182OO002 Genting Bhd ORD Genting Bhd 0.10% 11.433.177 EUR
BRGGBRACNPR8 Gerdau SA PFD Gerdau S.A. 0.09% 10.157.803 EUR
US55315J1025 GMK Noril'skiy Nikel' PAO DR MMC Norilsk Nickel 0.09% 10.876.216 EUR
RU0007288411 GMK Noril'skiy Nikel' PAO ORD MMC Norilsk Nickel 0.10% 11.989.979 EUR
MXP461181085 Grupo Carso SAB de CV ORD Grupo Carso SAB de CV 0.03% 3.293.024 EUR
MXP370841019 Grupo Mexico SAB de CV ORD Grupo Mexico SAB de CV 0.23% 26.250.614 EUR
ID1000068604 Gudang Garam Tbk PT ORD Gudang Garam tbk pt. 0.04% 5.108.997 EUR
KR7000880005 Hanwha Corp ORD Hanwha Corp. 0.03% 3.942.222 EUR
CNE1000006Z4 Huaneng Power International Inc ORD Huaneng Power International Inc. 0.05% 6.035.266 EUR
KR7005380001 Hyundai Motor Co ORD Hyundai Motor Co. 0.42% 48.615.702 EUR
MYL3336OO004 IJM Corporation Bhd ORD IJM Corp Bhd 0.04% 4.948.372 EUR
MYL1961OO001 IOI Corporation Bhd ORD IOI Corp. Bhd 0.05% 6.088.470 EUR
INE154A01025 ITC Ltd ORD ITC Ltd. 0.25% 29.340.041 EUR
PLJSW0000015 Jastrzebska Spolka Weglowa SA ORD Jastrzebska Spólka Weglowa S.A. 0.02% 2.316.478 EUR
BRJBSSACNOR8 JBS SA ORD JBS S.A. 0.04% 4.383.452 EUR
KR7000270009 Kia Motors Corp ORD Kia Motors Corporation 0.15% 17.134.026 EUR
KR7047810007 Korea Aerospace Industries Ltd ORD Korea Aerospace Industries KAI 0.05% 5.815.508 EUR
KR7015760002 Korea Electric Power Corp ORD Korea Electric Power Corp 0.16% 18.961.927 EUR
KR7033780008 KT&G Corp ORD KT&G Corp. 0.19% 22.238.752 EUR
MYL2445OO004 Kuala Lumpur Kepong Bhd ORD Kuala Lumpur Kepong Bhd 0.05% 5.979.861 EUR
KR7011170008 Lotte Chemical Corp ORD Lotte Chemical Corp. 0.11% 12.517.099 EUR
INE585B01010 Maruti Suzuki India Ltd ORD Maruti Suzuki India Ltd. 0.25% 29.012.069 EUR
ZAE000042164 MTN Group Ltd ORD MTN Group Ltd. 0.31% 35.873.712 EUR
INE733E01010 NTPC Ltd ORD NTPC Ltd. 0.08% 8.899.546 EUR
INE213A01029 Oil and Natural Gas Corporation Ltd ORD Oil and Natural Gas Corp. Ltd. 0.07% 7.678.959 EUR
CNE1000003W8 PetroChina Co Ltd ORD PetroChina Co. Ltd. 0.28% 32.224.662 EUR