Xtrackers MSCI China A ESG Screened Swap UCITS ETF 1C USD Acc
XCNA.DE
#2592
ETF rank
C$0.14 B
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
C$30.54
Share price
-0.62%
Change (1 day)
27.08%
Change (1 year)

Xtrackers MSCI China A ESG Screened Swap UCITS ETF 1C USD Acc - Holdings

Etf holdings as of July 28, 2026Number of holdings: 79

Full holdings list

Weight %NameISINCountry
5.85%
Johnson & JohnsonUS4781601046United States
5.02%
NVIDIA CorpUS67066G1040United States
4.97%
Advanced Micro Devices IncUS0079031078United States
3.49%
Intel CorpUS4581401001United States
3.09%
Palo Alto Networks IncUS6974351057United States
3.02%
TJX Companies IncUS8725401090United States
2.60%
Veeva Systems IncUS9224751084United States
2.55%
Electronic Arts IncUS2855121099United States
2.35%
3M CoUS88579Y1010United States
2.28%
Tesla IncUS88160R1014United States
2.26%
Travelers Companies IncUS89417E1091United States
2.25%
Charles Schwab CorpUS8085131055United States
2.22%
Equinix IncUS29444U7000United States
2.18%
United Airlines Holdings IncUS9100471096United States
2.03%
Keysight Technologies IncUS49338L1035United States
2.00%
Aflac IncUS0010551028United States
1.96%
Vertex Pharmaceuticals IncUS92532F1003United States
1.85%
Alphabet IncUS02079K1079United States
1.69%
Alnylam Pharmaceuticals IncUS02043Q1076United States
1.67%
Estee Lauder Companies IncUS5184391044United States
1.61%
Otis Worldwide CorpUS68902V1070United States
1.59%
IDEX CorpUS45167R1041United States
1.54%
Arista Networks IncUS0404132054United States
1.50%
SBA Communications CorpUS78410G1040United States
1.40%
Nasdaq IncUS6311031081United States
1.36%
Comcast CorpUS20030N1019United States
1.34%
Westinghouse Air Brake Technologies CorpUS9297401088United States
1.32%
Workday IncUS98138H1014United States
1.31%
Marvell Technology IncUS5738741041United States
1.29%
Fair Isaac CorpUS3032501047United States
1.26%
Alphabet IncUS02079K3059United States
1.25%
Hewlett Packard Enterprise CoUS42824C1099United States
1.22%
Carvana CoUS1468691027United States
1.22%
Cboe Global Markets IncUS12503M1080United States
1.21%
Cintas CorpUS1729081059United States
1.21%
Mettler-Toledo International IncUS5926881054United States
1.20%
Mastercard IncUS57636Q1040United States
1.18%
CBRE Group IncUS12504L1098United States
1.13%
Eli Lilly and CoUS5324571083United States
1.12%
Corning IncUS2193501051United States
1.12%
Lumentum Holdings IncUS55024U1097United States
1.06%
Exelon CorpUS30161N1019United States
1.05%
Cencora IncUS03073E1055United States
0.96%
Galderma Group AGCH1335392721Switzerland
0.84%
Bloom Energy CorpUS0937121079United States
0.82%
Sandoz Group AGCH1243598427Switzerland
0.81%
McDonald's CorpUS5801351017United States
0.79%
Truist Financial CorpUS89832Q1094United States
0.79%
American Express CoUS0258161092United States
0.68%
PNC Financial Services Group IncUS6934751057United States
0.65%
Lowe's Companies IncUS5486611073United States
0.64%
S&P Global IncUS78409V1044United States
0.63%
Markel Group IncUS5705351048United States
0.62%
Zscaler IncUS98980G1022United States
0.61%
Adobe IncUS00724F1012United States
0.55%
IQVIA Holdings IncUS46266C1053United States
0.55%
Analog Devices IncUS0326541051United States
0.53%
Swiss Prime Site AGCH0008038389Switzerland
0.52%
MongoDB IncUS60937P1066United States
0.47%
XPO IncUS9837931008United States
0.43%
Trimble IncUS8962391004United States
0.39%
Digital Realty Trust IncUS2538681030United States
0.37%
Huntington Bancshares IncUS4461501045United States
0.37%
Hershey CoUS4278661081United States
0.37%
Comfort Systems USA IncUS1999081045United States
0.36%
AvalonBay Communities IncUS0534841012United States
0.34%
United Parcel Service IncUS9113121068United States
0.29%
Deckers Outdoor CorpUS2435371073United States
0.23%
Atlassian CorpUS0494681010Australia
0.17%
Autodesk IncUS0527691069United States
0.12%
Cadence Design Systems IncUS1273871087United States
0.11%
Synopsys IncUS8716071076United States
0.08%
Moody's CorpUS6153691059United States
0.06%
First Solar IncUS3364331070United States
0.03%
Novartis AGCH0012005267Switzerland
0.01%
Kenvue IncUS49177J1025United States
0.01%
Cigna GroupUS1255231003United States
0.01%
US BancorpUS9029733048United States
0.01%
Bristol-Myers Squibb CoUS1101221083United States