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11,075
total market cap:
$149.753 T
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Watchlist
Account
Amundi MSCI World Information Technology UCITS ETF EUR Acc
LYPG.DE
#696
ETF rank
$3.06 B
Marketcap
๐ช๐บ EU
Market
$1,305
Share price
0.21%
Change (1 day)
31.29%
Change (1 year)
๐ฉโ๐ป Technology ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Fees (Expense ratio)
Holdings
More
Cost to borrow
Fees (Expense ratio)
Amundi MSCI World Information Technology UCITS ETF EUR Acc - Holdings
Etf holdings as of
July 3, 2026
Number of holdings:
52
Full holdings list
Weight %
Name
ISIN
Shares Held
Country
9.06%
AMAZON.COM INC
US0231351067
1279634
United States
8.56%
BROADCOM INC
US11135F1012
814288
United States
7.17%
UNITEDHEALTH GROUP INC
US91324P1021
577946
United States
6.61%
ALPHABET INC CL C
US02079K1079
636010
United States
4.95%
NVIDIA CORP
US67066G1040
871585
United States
4.80%
MICROSOFT CORP
US5949181045
421252
United States
4.80%
APPLE INC
US0378331005
532897
United States
4.32%
TESLA INC
US88160R1014
375957
United States
3.94%
TEXAS INSTRUMENTS COM USD1
US8825081040
460278
United States
3.52%
BOOKING HOLDINGS INC
US09857L1089
653632
United States
3.39%
REGENERON PHARMACEUTICALS
US75886F1075
177509
United States
3.34%
HOME DEPOT INC
US4370761029
320109
United States
3.23%
CUMMINS INC
US2310211063
167260
United States
3.14%
JOHNSON & JOHNSON
US4781601046
409135
United States
2.91%
ELI LILLY & CO
US5324571083
82256
United States
2.02%
ELEVANCE HEALTH INC
US0367521038
165537
United States
1.84%
APPLIED MATERIALS INC
US0382221051
104745
United States
1.75%
MCDONALD S CORP COM NPV
US5801351017
213824
United States
1.69%
KLA CORP
US4824801009
246314
United States
1.58%
MOTOROLA SOLUTIONS INC
US6200763075
127970
United States
1.55%
PROCTER & GAMBLE CO/THE
US7427181091
351964
United States
1.41%
GILEAD SCIENCES INC
US3755581036
368558
United States
1.28%
GOLDMAN SACHS GROUP INC
US38141G1040
43056
United States
1.23%
ALPHABET INC CL A
US02079K3059
116746
United States
1.10%
ADVANCED MICRO DEVICES
US0079031078
72567
United States
0.94%
RTX CORP
US75513E1010
162157
United States
0.91%
QUALCOMM INC
US7475251036
176618
United States
0.87%
NETFLIX INC USD
US64110L1061
382067
United States
0.82%
AIRBNB INC-CLASS A
US0090661010
187865
United States
0.74%
HILTON WORLDWIDE HOLDINGS IN
US43300A2033
75383
United States
0.71%
ROBINHOOD MARKETS INC - A
US7707001027
215877
United States
0.68%
COSTCO WHOLESALE CORP
US22160K1051
24629
United States
0.58%
INTEL CORP
US4581401001
164546
United States
0.52%
ABBOTT LABORATORIES
US0028241000
186368
United States
0.46%
LAM RESEARCH CORP
US5128073062
45130
United States
0.43%
META PLATFORMS INC-CLASS A
US30303M1027
25237
United States
0.43%
PALANTIR TECHNOLOGIES INC-A
US69608A1088
112940
United States
0.41%
O REILLY AUTOMOTIVE INC
US67103H1077
154966
United States
0.40%
PEPSICO INC
US7134481081
95657
United States
0.38%
GENERAL MOTORS CO
US37045V1008
172377
United States
0.35%
CONSOLIDATED EDISON INC
US2091151041
105749
United States
0.35%
AMERICAN WATER WORKS
US0304201033
86763
United States
0.30%
FEDEX CORP
US31428X1063
32647
United States
0.27%
ROCKWELL AUTOMATION INC
US7739031091
19703
United States
0.26%
CENCORA INC
US03073E1055
30143
United States
0.25%
UNITED AIRLINES HOLDINGS INC
US9100471096
63579
United States
0.25%
COGNIZANT TECH SOLUTION A
US1924461023
200357
United States
0.18%
SCHWAB (CHARLES) CORP
US8085131055
63220
United States
0.17%
AXA SA
FR0000120628
116154
France
0.10%
ENGIE PRIME DE FIDELITE
FR0013215407
105448
France
0.10%
ANALOG DEVICES INC
US0326541051
8702
United States
0.02%
DOLLAR TREE INC
US2567461080
5600
United States