Amundi MSCI UK IMI SRI Climate Paris Aligned UCITS ETF DR - EUR (D)
CUIK.DE
#3111
ETF rank
$18.42 M
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
$20.66
Share price
-0.06%
Change (1 day)
32.27%
Change (1 year)

Amundi MSCI UK IMI SRI Climate Paris Aligned UCITS ETF DR - EUR (D) - Holdings

Etf holdings as of January 20, 2026

Number of holdings: 66

Full holdings list

Weight %NameISINShares HeldCountry
7.95%ASTRAZENECA GBPGB000989529285613United Kingdom
5.47%BARCLAYS PLCGB00313486581660839United Kingdom
5.26%LLOYDS BANKING GROUP PLCGB00087061287488262United Kingdom
5.03%RECKITT BENCKISER GROUP PLCGB00B24CGK77120099United Kingdom
4.82%GSK PLCGB00BN7SWP63390778United Kingdom
3.94%ASHTEAD GROUP PLCGB0000536739114694United Kingdom
3.90%RELX PLCGB00B2B0DG97188654United Kingdom
3.87%3I GROUP PLCGB00B1YW4409175040United Kingdom
3.78%STANDARD CHARTERED PLCGB0004082847299762United Kingdom
3.58%NATIONAL GRID PLCGB00BDR05C01437986United Kingdom
3.17%NEXT PLCGB003208986333692United Kingdom
2.71%SEGRO PLCGB00B5ZN1N88539622United Kingdom
2.39%TRITAX BIG BOX REIT PLCGB00BG49KP992132562United Kingdom
2.29%RIO TINTO PLC (GBR)GB000718875752943United Kingdom
2.21%BRITISH LAND CO ORD 25PGB0001367019795394United Kingdom
2.01%RENTOKIL INITIAL 05GB00B082RF11634646United Kingdom
1.97%SAFESTORE HOLDINGSGB00B1N7Z094359556United Kingdom
1.87%GREAT PORTLAND ESTATES PLCGB00BF5H9P87807360United Kingdom
1.82%HALMA PLCGB000405207173682United Kingdom
1.71%AVIVA PLCGB00BPQY8M80371984United Kingdom
1.66%OXFORD NANOPORE TECHNOLOGIESGB00BP6S8Z301611217United Kingdom
1.66%LAND SECURITIES GROUP PLCGB00BYW0PQ60381524United Kingdom
1.58%CONVATEC GROUP PLCGB00BD3VFW73992604United Kingdom
1.48%LEGAL & GENERAL GROUP PLCGB0005603997819237United Kingdom
1.40%DERWENT LONDON PLCGB0002652740108838United Kingdom
1.27%OCADO GROUP PLCGB00B3MBS747687263United Kingdom
1.23%DIPLOMA PLCGB000182663432617United Kingdom
1.06%MOONPIG GROUP PLCGB00BMT9K014715786United Kingdom
1.03%INTERCONTINENTAL HOTELS GROUGB00BHJYC05714891United Kingdom
0.98%MARKS & SPENCER GROUP PLCGB0031274896394655United Kingdom
0.92%HOWDEN JOINERY GRP PLCGB0005576813159132United Kingdom
0.92%INFORMA PLCGB00BMJ6DW54147064United Kingdom
0.88%SAGE GROUP PLCGB00B8C3BL03123662United Kingdom
0.88%BUNZL PLCGB00B0744B3864646United Kingdom
0.86%ADMIRAL GROUP PLCGB00B02J639840697United Kingdom
0.81%BERKELEY GROUP HOLDINGS/THEGB00BP0RGD0329987United Kingdom
0.72%ADVANCED MEDICAL SOLUTIONSGB0004536594475288United Kingdom
0.68%SPIRAX GROUP PLCGB00BWFGQN1414136United Kingdom
0.61%GRAFTON GROUP PLC-UTS LDN (GBP)IE00B00MZ44896054United Kingdom
0.59%RIGHTMOVE PLCGB00BGDT3G23173002United Kingdom
0.58%INTERTEK GROUP PLCGB003163836318759United Kingdom
0.56%CRODA INTERNATIONAL PLCGB00BJFFLV0930382United Kingdom
0.56%AUTOTRADER GROUP PLCGB00BVYVFW23145248United Kingdom
0.55%ST JAMES S PLACE CAPITALGB000766937655170United Kingdom
0.54%ICG PLCGB00BYT1DJ1938924United Kingdom
0.53%BARRATT REDROW PLCGB0000811801205670United Kingdom
0.51%GENUS PLCGB000207458026920United Kingdom
0.44%HISCOX LTDBMG4593F138943364United Kingdom
0.41%PEARSON PLCGB000677608163760United Kingdom
0.39%TESCO PLCGB00BLGZ9862133319United Kingdom
0.34%IP GROUP PLCGB00B128J450879798United Kingdom
0.33%WHITBREAD PLCGB00B1KJJ40817225United Kingdom
0.31%DUNELM GROUP LTDGB00B1CKQ73947837United Kingdom
0.29%VOLUTION GROUP PLCGB00BN3ZZ52666332United Kingdom
0.28%CVS GROUP PLCGB00B286382730211United Kingdom
0.25%INVESTEC PLC GBPGB00B17BBQ5061601United Kingdom
0.23%PETS AT HOME GROUP PLCGB00BJ62K685171102United Kingdom
0.22%MAN GROUP PLC/JERSEYJE00BJ1DLW90122960United Kingdom
0.22%B&M EUROPEAN VALUE RETAIL SALU1072616219190078United Kingdom
0.20%WH SMITH PLCGB00B2PDGW1643267United Kingdom
0.15%WATCHES OF SWITZERLAND GROUPGB00BJDQQ87044191United Kingdom
0.11%SCHRODERS PLCGB00BP9LHF2334543United Kingdom
0.06%ITV PLCGB0033986497102854United Kingdom
0.04%TRUSTPILOT GROUP PLCGB00BNK9TP5827262United Kingdom
0.02%GAMMA COMMUNICATIONS PLCGB00BQS10J503587United Kingdom
0.02%FTSE 100 IDX 03/26 ICE-FUTGB00MP9C6L3313United Kingdom