Informationen zum Fonds
Name iShares Edge MSCI World Min Vol UCITS ETF USD(Acc)
ISIN des Fonds IE00B8FHGS14
Abrufdatum 15.09.2018
Anzahl Einzelpositionen 365
Fondsvolumen 2.038.125.642 USD
Gesamthöhe kontroverser Beteiligungen
15.77%
1.96%
5.49%
1.14%
3.87%
4.22%
1.85%
0.25%
3.64%
Kontroverse Beteiligungen gesamtes Portfolio anzeigen
ISIN Einzelposition im Fonds Unternehmen Konflikte Gewichtung im Fonds Wert
US02209S1033 Altria Group Inc ORD Altria Group Inc. 0.63% 12.849.880 USD
US0236081024 Ameren Corp ORD Ameren Corp. 0.18% 3.665.380 USD
US0255371017 American Electric Power Company Inc ORD American Electric Power Co. Inc. 0.33% 6.699.367 USD
US0378331005 Apple Inc ORD Apple Inc. 0.17% 3.423.100 USD
CA0679011084 Barrick Gold Corp ORD Barrick Gold Corp. 0.20% 4.153.740 USD
US1667641005 Chevron Corp ORD Chevron Corp. 0.25% 5.187.127 USD
HK0002007356 CLP Holdings Ltd ORD CLP Holdings Ltd. 0.84% 17.053.244 USD
US2333311072 DTE Energy Co ORD DTE Energy Co. 0.19% 3.809.990 USD
US26441C2044 Duke Energy Corp ORD Duke Energy Corp. 0.64% 13.125.297 USD
US30231G1022 Exxon Mobil Corp ORD ExxonMobil Corp. 0.86% 17.495.178 USD
US3695501086 General Dynamics Corp ORD General Dynamics Corp. 0.11% 2.179.231 USD
GB0009252882 GlaxoSmithKline PLC ORD GlaxoSmithKline plc 0.39% 7.993.753 USD
US4138751056 Harris Corp ORD Harris Corp. 0.39% 7.971.603 USD
HK0000179108 HK Electric Investments Ltd HK Electric Investments 0.13% 2.671.825 USD
US4464131063 Huntington Ingalls Industries Inc ORD Huntington Ingalls Industries, Inc. 0.05% 1.044.865 USD
US4781601046 Johnson & Johnson ORD Johnson & Johnson 1.42% 29.040.510 USD
US5398301094 Lockheed Martin Corp ORD Lockheed Martin Corporation 1.02% 20.723.158 USD
US57636Q1040 Mastercard Inc ORD Mastercard Inc. 0.35% 7.124.689 USD
US58933Y1055 Merck & Co Inc ORD Merck & Co. Inc. 0.75% 15.276.022 USD
US6200763075 Motorola Solutions Inc ORD Motorola Solutions, Inc. 0.80% 16.206.734 USD
US6668071029 Northrop Grumman Corp ORD Northrop Grumman Corp. 1.19% 24.240.970 USD
CH0012005267 Novartis AG ORD Novartis AG 0.66% 13.466.040 USD
US7181721090 Philip Morris International Inc ORD Philip Morris International Inc. 0.14% 2.870.948 USD
US7551115071 Raytheon Co ORD Raytheon Co. 0.97% 19.823.938 USD
US7743411016 Rockwell Collins Inc ORD Rockwell Collins Inc. 0.49% 9.952.220 USD
US8168511090 Sempra Energy ORD Sempra Energy 0.05% 1.095.795 USD
US8636671013 Stryker Corp ORD Stryker Corp. 0.65% 13.149.632 USD
US9139031002 Universal Health Services Inc ORD Universal Health Services, Inc. 0.08% 1.638.584 USD
US9311421039 Walmart Inc ORD Wal-Mart Stores Inc. 0.80% 16.242.902 USD
US92939U1060 WEC Energy Group Inc ORD WEC Energy Group Inc. 0.45% 9.180.878 USD
US98389B1008 Xcel Energy Inc ORD Xcel Energy Inc. 0.59% 12.046.712 USD