Informationen zum Fonds
Name iShares MSCI World EUR Hedged UCITS ETF (Acc)
ISIN des Fonds IE00B441G979
Abrufdatum 15.09.2018
Anzahl Einzelpositionen 1.651
Fondsvolumen 1.773.718.970 EUR
Gesamthöhe kontroverser Beteiligungen
20.4%
2.14%
4.16%
2.23%
3.08%
2.63%
1.64%
6.22%
5.46%
Kontroverse Beteiligungen gesamtes Portfolio anzeigen
ISIN Einzelposition im Fonds Unternehmen Konflikte Gewichtung im Fonds Wert
US00130H1059 AES Corp ORD AES Corp. 0.02% 381.861 EUR
NL0000235190 Airbus SE ORD Airbus Group N.V. 0.17% 2.958.559 EUR
US0188021085 Alliant Energy Corp ORD Alliant Energy Corp 0.03% 468.286 EUR
US02079K3059 Alphabet Inc ORD Alphabet Inc. 0.87% 15.467.761 EUR
US02079K1079 Alphabet Inc ORD Alphabet Inc. 0.91% 16.133.760 EUR
US02209S1033 Altria Group Inc ORD Altria Group Inc. 0.26% 4.672.837 EUR
US0236081024 Ameren Corp ORD Ameren Corp. 0.04% 689.462 EUR
US0255371017 American Electric Power Company Inc ORD American Electric Power Co. Inc. 0.09% 1.554.681 EUR
US0378331005 Apple Inc ORD Apple Inc. 2.65% 47.057.870 EUR
GB0009697037 Babcock International Group PLC ORD Babcock International Group plc 0.01% 89.155 EUR
GB0002634946 BAE Systems PLC ORD BAE Systems plc 0.06% 1.095.339 EUR
GB0031348658 Barclays PLC ORD Barclays plc 0.09% 1.632.064 EUR
CA0679011084 Barrick Gold Corp ORD Barrick Gold Corp. 0.03% 446.558 EUR
DE000BAY0017 Bayer AG ORD Bayer AG 0.20% 3.526.918 EUR
DE0005190003 Bayerische Motoren Werke AG ORD BMW Group 0.08% 1.401.662 EUR
AU000000BHP4 BHP Billiton Ltd ORD BHP Billiton 0.18% 3.224.740 EUR
GB0000566504 BHP Billiton PLC ORD BHP Billiton 0.11% 1.990.269 EUR
FR0000131104 BNP Paribas SA ORD BNP Paribas SA 0.16% 2.770.482 EUR
US0970231058 Boeing Co ORD Boeing Co. 0.45% 8.055.591 EUR
GB0007980591 BP PLC ORD BP plc 0.34% 5.946.341 EUR
GB0002875804 British American Tobacco PLC ORD British American Tobacco plc 0.26% 4.655.356 EUR
US1491231015 Caterpillar Inc ORD Caterpillar Inc. 0.20% 3.485.979 EUR
US1638511089 Chemours Co ORD The Chemours Company 0.02% 344.092 EUR
US1667641005 Chevron Corp ORD Chevron Corp. 0.54% 9.512.131 EUR
JP3522200009 Chugoku Electric Power Co Inc ORD Chugoku Electric Power Co Inc/The 0.01% 171.490 EUR
US1729674242 Citigroup Inc ORD Citigroup, Inc. 0.43% 7.695.512 EUR
HK0002007356 CLP Holdings Ltd ORD CLP Holdings Ltd. 0.04% 793.938 EUR
AU000000CBA7 Commonwealth Bank of Australia ORD Commonwealth Bank of Australia 0.21% 3.788.489 EUR
US20825C1045 ConocoPhillips ORD ConocoPhillips Co. 0.20% 3.582.367 EUR
CH0012138530 Credit Suisse Group AG ORD Credit Suisse Group 0.09% 1.583.883 EUR
DE0007100000 Daimler AG ORD Daimler AG 0.14% 2.469.023 EUR
DK0010274414 Danske Bank A/S ORD Danske Bank A/S 0.05% 969.376 EUR
JP3551520004 Dentsu Inc ORD Dentsu Inc. 0.03% 533.582 EUR
DE0005140008 Deutsche Bank AG ORD Deutsche Bank AG 0.05% 877.045 EUR
US2333311072 DTE Energy Co ORD DTE Energy Co. 0.05% 899.459 EUR
US26441C2044 Duke Energy Corp ORD Duke Energy Corp. 0.13% 2.387.570 EUR
IL0010811243 Elbit Systems Ltd ORD Elbit Systems Ltd. 0.01% 122.653 EUR
JP3551200003 Electric Power Development Co Ltd ORD Electric Power Development Co Ltd 0.01% 222.794 EUR
CA2908761018 Emera Inc ORD Emera Inc 0.00% 66.022 EUR
IT0003132476 Eni SpA ORD Eni SpA 0.11% 2.037.732 EUR
US2944291051 Equifax Inc ORD Equifax Inc. 0.04% 702.809 EUR
US30231G1022 Exxon Mobil Corp ORD ExxonMobil Corp. 0.81% 14.282.571 EUR
ES0118900010 Ferrovial SA ORD Ferrovial S.A. 0.03% 518.179 EUR
NL0010877643 Fiat Chrysler Automobiles NV ORD Fiat Chrysler Automobiles N.V. 0.05% 854.078 EUR
US3379321074 FirstEnergy Corp ORD FirstEnergy Corp. 0.04% 628.173 EUR
US3434121022 Fluor Corp ORD Fluor Corp. 0.02% 387.404 EUR
US35671D8570 Freeport-McMoRan Inc ORD Freeport McMoRan Copper & Gold Inc. 0.05% 854.945 EUR
GB00B01FLG62 G4S PLC ORD G4S plc 0.01% 193.938 EUR
US3695501086 General Dynamics Corp ORD General Dynamics Corp. 0.12% 2.085.245 EUR
US3696041033 General Electric Co ORD General Electric Co. 0.27% 4.720.398 EUR