Companies:
11,075
total market cap:
โฌ132.667 T
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Watchlist
Account
HSBC MSCI World Value ESG UCITS ETF (Acc)
HWVL.L
#2023
ETF rank
โฌ0.26 B
Marketcap
๐ฌ๐ง UK
Market
25,06ย โฌ
Share price
0.69%
Change (1 day)
28.32%
Change (1 year)
๐ฑ Socially Responsible ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Fees (Expense ratio)
Holdings
More
Cost to borrow
Fees (Expense ratio)
HSBC MSCI World Value ESG UCITS ETF (Acc) - Holdings
Etf holdings as of
June 29, 2026
Number of holdings:
223
Full holdings list
Weight %
Name
ISIN
Shares Held
Country
6.02%
NVIDIA Corp
US67066G1040
94238
United States
4.00%
Applied Materials Inc
US0382221051
17556
United States
3.34%
Apple Inc
US0378331005
36134
United States
2.64%
Micron Technology Inc
US5951121038
7042
United States
2.60%
Citigroup Inc
US1729674242
55790
United States
2.27%
Microsoft Corp
US5949181045
18815
United States
2.15%
Novartis AG Registered Shares
CH0012005267
42018
Switzerland
2.02%
Verizon Communications Inc
US92343V1044
139795
United States
1.76%
Merck & Co Inc
US58933Y1055
41473
United States
1.73%
Pfizer Inc
US7170811035
216643
United States
1.61%
Broadcom Inc
US11135F1012
13171
United States
1.57%
Salesforce Inc
US79466L3024
30377
United States
1.54%
Cisco Systems Inc
US17275R1023
39884
United States
1.42%
BNP Paribas Act. Cat.A
FR0000131104
37760
France
1.28%
Trane Technologies PLC Class A
IE00BK9ZQ967
8128
United States
1.21%
Progressive Corp
US7433151039
16863
United States
1.19%
Cummins Inc
US2310211063
5262
United States
1.17%
Sanofi SA
FR0000120578
41550
France
1.16%
PNC Financial Services Group Inc
US6934751057
14356
United States
1.14%
Sony Group Corp
JP3435000009
170905
Japan
1.14%
U.S. Bancorp
US9029733048
56729
United States
1.12%
Barclays PLC
GB0031348658
508998
United Kingdom
1.11%
Amazon.com Inc
US0231351067
14059
United States
1.08%
ABB Ltd
CH0012221716
31328
Switzerland
1.08%
Comcast Corp Class A
US20030N1019
136667
United States
1.06%
Elevance Health Inc
US0367521038
8366
United States
1.04%
Adobe Inc
US00724F1012
15431
United States
1.04%
3M Co
US88579Y1010
19513
United States
1.03%
National Grid PLC
GB00BDR05C01
189417
United Kingdom
1.02%
Synopsys Inc
US8716071076
6938
United States
1.00%
Lam Research Corp
US5128073062
7439
United States
0.96%
Accenture PLC Class A
IE00B4BNMY34
23382
United States
0.92%
Agnico Eagle Mines Ltd
CA0084741085
18367
Canada
0.92%
Intuit Inc
US4612021034
10533
United States
0.92%
The Cigna Group
US1255231003
10042
United States
0.91%
CRH PLC
IE0001827041
25495
United States
0.90%
Alphabet Inc Class C
US02079K1079
7804
United States
0.88%
The Travelers Companies Inc
US89417E1091
8099
United States
0.87%
General Motors Co
US37045V1008
34428
United States
0.87%
Phillips 66
US7185461040
15272
United States
0.86%
ServiceNow Inc
US81762P1021
26290
United States
0.84%
NXP Semiconductors NV
NL0009538784
9209
United States
0.80%
Alphabet Inc Class A
US02079K3059
6918
United States
0.80%
Panasonic Holdings Corp
JP3866800000
89571
Japan
0.78%
Nokia Oyj
FI0009000681
186878
Finland
0.78%
Allstate Corp
US0200021014
9835
United States
0.77%
UBS Group AG Registered Shares
CH0244767585
47592
Switzerland
0.75%
Western Digital Corp
US9581021055
3523
United States
0.74%
Deutsche Bank AG
DE0005140008
66917
Germany
0.73%
Target Corp
US87612E1064
16618
United States
0.70%
Prosus NV Ordinary Shares - Class N
NL0013654783
49007
Netherlands
0.70%
Societe Generale SA
FR0000130809
24336
France
0.70%
ONEOK Inc
US6826801036
23995
United States
0.70%
Newmont Corp
US6516391066
22504
United States
0.65%
Investor AB Class B
SE0015811963
48521
Sweden
0.61%
KDDI Corp
JP3496400007
111607
Japan
0.61%
CaixaBank SA
ES0140609019
133767
Spain
0.60%
Exelon Corp
US30161N1019
38957
United States
0.60%
Swiss Re AG
CH0126881561
11379
Switzerland
0.59%
MetLife Inc
US59156R1086
21109
United States
0.56%
Rio Tinto Ltd
AU000000RIO1
14161
Australia
0.54%
Manulife Financial Corp
CA56501R1064
40667
Canada
0.49%
SSE PLC
GB0007908733
46167
United Kingdom
0.47%
Bank of New York Mellon Corp
US0640581007
10016
United States
0.47%
PayPal Holdings Inc
US70450Y1038
32433
United States
0.46%
SoftBank Corp
JP3732000009
1095904
Japan
0.42%
Mercedes-Benz Group AG
DE0007100000
26230
Germany
0.42%
Alcon Inc
CH0432492467
19030
Switzerland
0.42%
Komatsu Ltd
JP3304200003
32725
Japan
0.41%
Honda Motor Co Ltd
JP3854600008
138074
Japan
0.40%
3i Group Ord
GB00B1YW4409
36785
United Kingdom
0.39%
United Rentals Inc
US9113631090
1061
United States
0.39%
Sompo Holdings Inc
JP3165000005
30893
Japan
0.39%
Advanced Micro Devices Inc
US0079031078
2183
United States
0.38%
Zoetis Inc Class A
US98978V1035
16016
United States
0.38%
Bank Hapoalim BM
IL0006625771
50229
Israel
0.37%
W.W. Grainger Inc
US3848021040
837
United States
0.37%
Hewlett Packard Enterprise Co
US42824C1099
25267
United States
0.33%
International Business Machines Corp
US4592001014
3646
United States
0.31%
Otsuka Holdings Co Ltd
JP3188220002
14030
Japan
0.31%
MSCI World USD Net Total Return Future Sept 26
DE000C71QQS6
6
Germany
0.31%
FUJIFILM Holdings Corp
JP3814000000
43003
Japan
0.30%
State Street Corp
US8574771031
5365
United States
0.29%
Humana Inc
US4448591028
2257
United States
0.28%
Recruit Holdings Co Ltd
JP3970300004
12461
Japan
0.28%
Bridgestone Corp
JP3830800003
40565
Japan
0.28%
Qualcomm Inc
US7475251036
4492
United States
0.27%
Merck KGaA
DE0006599905
4953
Germany
0.27%
Japan Post Holdings Co Ltd
JP3752900005
62125
Japan
0.27%
Koninklijke Ahold Delhaize NV
NL0011794037
20368
Netherlands
0.26%
ING Groep NV
NL0011821202
25127
Netherlands
0.24%
BOC Hong Kong Holdings Ltd
HK2388011192
134137
China
0.24%
Prudential Financial Inc
US7443201022
6723
United States
0.24%
Sun Hung Kai Properties Ltd
HK0016000132
49656
Hong Kong
0.23%
Bayerische Motoren Werke AG
DE0005190003
10778
Germany
0.23%
The Hartford Insurance Group Inc
US4165151048
5237
United States
0.23%
Cheniere Energy Inc
US16411R2085
2825
United States
0.23%
Credit Agricole SA
FR0000045072
34573
France
0.22%
Archer-Daniels-Midland Co
US0394831020
8786
United States
0.22%
Vonovia SE
DE000A1ML7J1
27482
Germany
0.21%
Arch Capital Group Ltd
BMG0450A1053
6615
United States
0.20%
Central Japan Railway Co
JP3566800003
28574
Japan
0.19%
Biogen Inc
US09062X1037
2672
United States
0.19%
ASML Holding NV
NL0010273215
314
Netherlands
0.19%
NetApp Inc
US64110D1046
3664
United States
0.19%
KBC Groupe NV
BE0003565737
4224
Belgium
0.18%
Xylem Inc
US98419M1009
4676
United States
0.18%
Fairfax Financial Holdings Ltd Shs Subord.Vtg
CA3039011026
331
Canada
0.17%
Eversource Energy
US30040W1080
7206
United States
0.17%
Synchrony Financial
US87165B1035
6770
United States
0.17%
Raymond James Financial Inc
US7547301090
3440
United States
0.17%
Fiserv Inc
US3377381088
10330
United States
0.16%
Henkel AG & Co KGaA Participating Preferred
DE0006048432
5864
Germany
0.16%
Veeva Systems Inc Class A
US9224751084
2799
United States
0.16%
QBE Insurance Group Ltd
AU000000QBE9
28267
Australia
0.16%
Roche Holding AG Bearer Shares
CH0012032113
1117
Switzerland
0.15%
Nomura Holdings Inc
JP3762600009
53690
Japan
0.15%
Smurfit WestRock PLC
IE00028FXN24
9983
Ireland
0.15%
First Solar Inc
US3364331070
1954
United States
0.15%
AerCap Holdings NV
NL0000687663
3069
United States
0.15%
ABN AMRO Bank NV
NL0011540547
10667
Netherlands
0.14%
NN Group NV
NL0010773842
5051
Netherlands
0.14%
F5 Inc
US3156161024
1043
United States
0.14%
Royalty Pharma PLC Class A
GB00BMVP7Y09
7486
United States
0.14%
Regeneron Pharmaceuticals Inc
US75886F1075
663
United States
0.14%
Banco Bilbao Vizcaya Argentaria SA
ES0113211835
16817
Spain
0.13%
Veralto Corp
US92338C1036
4478
United States
0.13%
HP Inc
US40434L1052
17262
United States
0.12%
Steris PLC
IE00BFY8C754
1765
United States
0.12%
Incyte Corp
US45337C1027
3205
United States
0.12%
General Mills Inc
US3703341046
10025
United States
0.11%
Brambles Ltd
AU000000BXB1
25613
Australia
0.11%
Bank of Nova Scotia
CA0641491075
3984
Canada
0.11%
Zimmer Biomet Holdings Inc
US98956P1021
3724
United States
0.11%
RB Global Inc
CA74935Q1072
2828
United States
0.10%
Nippon Steel Corp
JP3381000003
92887
Japan
0.10%
Essity AB Class B
SE0009922164
11016
Sweden
0.10%
Boliden AB
SE0020050417
5412
Sweden
0.10%
Daiwa House Industry Co Ltd
JP3505000004
10769
Japan
0.10%
DSM-Firmenich AG
CH1216478797
3139
Switzerland
0.10%
Delta Air Lines Inc
US2473617023
3136
United States
0.09%
EDP-Energias De Portugal SA
PTEDP0AM0009
55773
Portugal
0.09%
Everest Group Ltd
BMG3223R1088
786
United States
0.09%
Wolters Kluwer NV
NL0000395903
4317
Netherlands
0.09%
Henkel AG & Co KGaA
DE0006048408
3463
Germany
0.09%
Segro PLC
GB00B5ZN1N88
23542
United Kingdom
0.09%
Deckers Outdoor Corp
US2435371073
2704
United States
0.09%
CSL Ltd
AU000000CSL8
3320
Australia
0.09%
Unibail-Rodamco-Westfield Act. SIIC ET STES FONC.EUROP.
FR0013326246
2212
France
0.09%
Asahi Kasei Corp
JP3111200006
23319
Japan
0.08%
Bunge Global SA
CH1300646267
2324
United States
0.08%
Shionogi & Co Ltd
JP3347200002
13806
Japan
0.08%
Obayashi Corp
JP3190000004
11800
Japan
0.08%
CGI Inc Class A
CA12532H1047
3700
Canada
0.08%
Nippon Yusen Kabushiki Kaisha
JP3753000003
7321
Japan
0.07%
Sekisui House Ltd
JP3420600003
10859
Japan
0.07%
Pentair PLC
IE00BLS09M33
2892
United States
0.07%
A P Moller Maersk AS Class A
DK0010244425
93
Denmark
0.07%
Trimble Inc
US8962391004
4194
United States
0.07%
United Airlines Holdings Inc
US9100471096
1555
United States
0.07%
Mitsui O.S.K. Lines Ltd
JP3362700001
6321
Japan
0.07%
Carrefour
FR0000120172
10756
France
0.06%
Orsted AS
DK0060094928
8806
Denmark
0.06%
Bouygues
FR0000120503
3523
France
0.06%
Mizrahi Tefahot Bank Ltd
IL0006954379
2853
Israel
0.06%
Atkinsrealis Group Inc
CA04764T1049
3116
Canada
0.06%
CNH Industrial NV
NL0010545661
16121
United States
0.06%
Eiffage SA Bearer and / or registered shares
FR0000130452
1247
France
0.06%
Toray Industries Inc
JP3621000003
25212
Japan
0.06%
Rexel SA
FR0010451203
4087
France
0.06%
Mitsubishi Chemical Group Corp
JP3897700005
24239
Japan
0.05%
Klepierre
FR0000121964
3935
France
0.05%
Element Fleet Management Corp
CA2861812014
7682
Canada
0.05%
Mowi ASA
NO0003054108
8283
Norway
0.05%
WH Group Ltd Shs Unitary 144A/Reg S
KYG960071028
146175
Hong Kong
0.05%
Subaru Corp
JP3814800003
10649
Japan
0.05%
Auckland International Airport Ltd
NZAIAE0002S6
32372
New Zealand
0.05%
Associated British Foods PLC
GB0006731235
5850
United Kingdom
0.05%
Yokogawa Electric Corp
JP3955000009
4200
Japan
0.05%
LY Corp
JP3933800009
52878
Japan
0.04%
Bayerische Motoren Werke AG Participating Preferred
DE0005190037
2088
Germany
0.04%
International Consolidated Airlines Group SA
ES0177542018
21463
United Kingdom
0.04%
West Japan Railway Co
JP3659000008
7874
Japan
0.04%
Yamaha Motor Co Ltd
JP3942800008
17599
Japan
0.04%
Sainsbury (J) PLC
GB00B019KW72
31673
United Kingdom
0.04%
Isuzu Motors Ltd
JP3137200006
9761
Japan
0.04%
Dai Nippon Printing Co Ltd
JP3493800001
6911
Japan
0.04%
Deutsche Lufthansa AG
DE0008232125
11019
Germany
0.04%
Vicinity Centres
AU000000VCX7
67586
Australia
0.04%
Hankyu Hanshin Holdings Inc
JP3774200004
4589
Japan
0.04%
Kingfisher PLC
GB0033195214
31580
United Kingdom
0.04%
Akzo Nobel NV
NL0013267909
1779
Netherlands
0.04%
MTR Corp Ltd
HK0066009694
29889
Hong Kong
0.04%
Israel Discount Bank Ltd Class A
IL0006912120
11396
Israel
0.04%
Svenska Cellulosa AB Class B
SE0000112724
11124
Sweden
0.04%
Fujitsu Ltd
JP3818000006
5563
Japan
0.04%
Land Securities Group PLC
GB00BYW0PQ60
12943
United Kingdom
0.04%
Stora Enso Oyj Class R
FI0009005961
10507
Finland
0.04%
Kesko Oyj Class B
FI0009000202
4904
Finland
0.04%
Alstom SA
FR0010220475
6304
France
0.03%
JFE Holdings Inc
JP3386030005
10582
Japan
0.03%
Sun Life Financial Inc
CA8667961053
1279
Canada
0.03%
Qantas Airways Ltd
AU000000QAN2
13466
Australia
0.03%
Kawasaki Kisen Kaisha Ltd
JP3223800008
6384
Japan
0.03%
Contact Energy Ltd
NZCENE0001S6
17327
New Zealand
0.03%
Ayvens SA
FR0013258662
6774
France
0.03%
Sino Land Co Ltd
HK0083000502
65378
Hong Kong
0.03%
Wilmar International Ltd
SG1T56930848
30415
Singapore
0.03%
Annaly Capital Management Inc
US0357108390
3633
United States
0.03%
Mapfre SA
ES0124244E34
16778
Spain
0.03%
Seibu Holdings Inc
JP3417200007
4150
Japan
0.03%
AT&T Inc
US00206R1023
3711
United States
0.03%
Sembcorp Industries Ltd
SG1R50925390
16103
Singapore
0.02%
Swire Pacific Ltd Class A
HK0019000162
6820
Hong Kong
0.02%
Gecina Nom
FR0010040865
844
France
0.02%
Covivio SA
FR0000064578
1023
France
0.02%
The Kraft Heinz Co
US5007541064
2223
United States
0.02%
ANA Holdings Inc
JP3429800000
2794
Japan
0.01%
Toyota Motor Corp
JP3633400001
2000
Japan
0.01%
Keysight Technologies Inc
US49338L1035
91
United States
0.00%
EMCOR Group Inc
US29084Q1004
11
United States
0.00%
Lloyds Banking Group PLC
GB0008706128
374
United Kingdom
0.00%
Michelin
FR001400AJ45
2
France