SPDR S&P Global Dividend Aristocrats UCITS ETF
ZPRG.DE
#1011
ETF Rang
€1.31 Mrd.
Marktkapitalisierung
🇪🇺 EU
Markt
32,66 €
Aktienkurs
-0.59%
Veränderung (1 Tag)
17.98%
Veränderung (1 Jahr)

SPDR S&P Global Dividend Aristocrats UCITS ETF - Bestände

ETF-Bestände zum Stand 9. April 2026Anzahl der Bestände: 119

Vollständige Bestandsliste

Gewichtung %NameISINLand
1.84%
Verizon Communications Inc.US92343V1044
1.80%
Getty Realty Corp.US3742971092
1.63%
Edison InternationalUS2810201077
1.62%
Pfizer Inc.US7170811035
1.59%
TELUS CorporationCA87971M1032
1.54%
LTC Properties Inc.US5021751020
1.50%
Flowers Foods Inc.US3434981011
1.42%
ONEOK Inc.US6826801036
1.41%
APA GroupAU000000APA1
1.39%
Highwoods Properties Inc.US4312841087
1.38%
United Parcel Service Inc. Class BUS9113121068
1.38%
Deluxe CorporationUS2480191012
1.37%
Elisa Oyj Class AFI0009007884
1.37%
Amcor PLCJE00BV7DQ550
1.35%
Universal CorpUS9134561094
1.34%
Northwest Bancshares Inc.US6673401039
1.31%
Trinity Industries Inc.US8965221091
1.29%
Legal & General Group PlcGB0005603997
1.26%
John Wiley & Sons Inc. Class AUS9682232064
1.25%
Eastman Chemical CompanyUS2774321002
1.23%
Energizer Holdings Inc.US29272W1099
1.22%
Canadian Natural Resources LimitedCA1363851017
1.21%
Target CorporationUS87612E1064
1.20%
LondonMetric Property PlcGB00B4WFW713
1.18%
Pembina Pipeline CorporationCA7063271034
1.18%
Avista CorporationUS05379B1070
1.14%
Chevron CorporationUS1667641005
1.13%
HA Sustainable Infrastructure Capital Inc.US41068X1000
1.13%
Bristol-Myers Squibb CompanyUS1101221083
1.13%
Warehouses De Pauw SABE0974349814
1.13%
Bosideng International Holdings LimitedKYG126521064
1.13%
EDP S.A.PTEDP0AM0009
1.11%
Bank of Communications Co. Ltd. Class HCNE100000205
1.11%
Keyera Corp.CA4932711001
1.11%
Far East Horizon LimitedHK0000077468
1.10%
AES CorporationUS00130H1059
1.10%
Teleperformance SEFR0000051807
1.09%
Kimberly-Clark CorporationUS4943681035
1.09%
Peoples Bancorp Inc.US7097891011
1.09%
DNB Bank ASANO0010161896
1.08%
Jiangsu Expressway Co. Ltd. Class HCNE1000003J5
1.07%
Schroders PLCGB00BP9LHF23
1.05%
Portland General Electric CompanyUS7365088472
1.04%
GS Holdings Corp.KR7078930005
1.03%
Bouygues SAFR0000120503
1.03%
Franklin Resources Inc.US3546131018
1.03%
COPT Defense PropertiesUS22002T1088
1.02%
TC Energy CorporationCA87807B1076
1.00%
Columbia Banking System Inc.US1972361026
0.99%
Campbell's CompanyUS1344291091
0.98%
Eversource EnergyUS30040W1080
0.98%
Hope Bancorp Inc.US43940T1097
0.98%
General Mills Inc.US3703341046
0.97%
Kilroy Realty CorporationUS49427F1084
0.97%
Provident Financial Services Inc.US74386T1051
0.97%
Enel SpAIT0003128367
0.97%
United Utilities Group PLCGB00B39J2M42
0.96%
Comcast Corporation Class AUS20030N1019
0.96%
Skyworks Solutions Inc.US83088M1027
0.95%
Saudi Telecom Co.SA0007879543
0.94%
Canadian Utilities Limited Class ACA1367178326
0.93%
Sanofi SAFR0000120578
0.92%
First Interstate BancSystem Inc.US32055Y2019
0.90%
Virtus Investment Partners Inc.US92828Q1094
0.90%
Emirates Telecommunications Group Company PJSCAEE000401019
0.89%
Safety Insurance Group Inc.US78648T1007
0.89%
WesBanco Inc.US9508101014
0.88%
Emera IncorporatedCA2908761018
0.88%
LG Uplus CorpKR7032640005
0.86%
Banque Cantonale VaudoiseCH0531751755
0.85%
Coca-Cola Femsa SAB de CV Units Cons of 5 Shs -L- + 3 Shs Series -B-MX01KO000002
0.85%
Japan Metropolitan Fund Investment CorporationJP3039710003
0.84%
OceanFirst Financial Corp.US6752341080
0.84%
Vanguard International Semiconductor CorpTW0005347009
0.83%
Kansai Paint Co. Ltd.JP3229400001
0.82%
Terna S.p.A.IT0003242622
0.81%
T. Rowe Price Group Inc.US74144T1088
0.81%
CVB Financial Corp.US1266001056
0.81%
HAZAMA ANDO CorporationJP3767810009
0.80%
Valmet CorpFI4000074984
0.80%
Prudential Financial Inc.US7443201022
0.77%
Derwent London plcGB0002652740
0.76%
ERG S.p.A.IT0001157020
0.76%
Zurich Insurance Group LtdCH0011075394
0.74%
A2A S.p.A.IT0001233417
0.73%
Henderson Land Development Co. Ltd.HK0012000102
0.71%
Sun Life Financial Inc.CA8667961053
0.68%
Sino Land Co. Ltd.HK0083000502
0.68%
Cembra Money Bank AGCH0225173167
0.67%
Bank of Nova ScotiaCA0641491075
0.66%
Shandong Weigao Group Medical Polymer Co. Ltd. Class HCNE100000171
0.65%
Power Assets Holdings LimitedHK0006000050
0.63%
Ping An Insurance (Group) Company of China Ltd. Class HCNE1000003X6
0.55%
Partners Group Holding AGCH0024608827
0.54%
CK Infrastructure Holdings LimitedBMG2178K1009
0.53%
CLP Holdings LimitedHK0002007356
Australian DollarUnassigned
British PoundsUnassigned
Canadian DollarUnassigned
Danish KroneUnassigned
EMINI S&P JUN26Unassigned
EURO STOXX 50 Jun26Unassigned
EuroUnassigned
Hong Kong DollarUnassigned
Japanese YenUnassigned
Mexican PesoUnassigned
Norwegian KroneUnassigned
S&P/TSX 60 IX FUT Jun16Unassigned
Saudi Arabian RiyalUnassigned
Singapore DollarUnassigned
South African RandUnassigned
South Korean WonUnassigned
Swedish KronaUnassigned
Swiss FrancUnassigned
Taiwan DollarUnassigned
Thailand BahtUnassigned
U.S. DollarUnassigned
UAE DirhamUnassigned