L&G Global Brands ETF USD Accumulation
TOPB.DE
#2697
ETF rank
โ‚ฌ51.76 M
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
14,34ย โ‚ฌ
Share price
0.04%
Change (1 day)
4.36%
Change (1 year)

L&G Global Brands ETF USD Accumulation - Holdings

Etf holdings as of October 10, 2025

Number of holdings: 80

Full holdings list

Weight %NameTickerISIN
7.51%NVIDIA CORP USD 0.001NVDA.OQUS67066G1040
6.28%ALPHABET INC CLASS AGOOGL.OQUS02079K3059
5.50%MICROSOFT COM USD0.00000625MSFT.OQUS5949181045
5.38%META PLATFORMS INC USD 0.000006FB.OQUS30303M1027
5.03%APPLE INC USD 0.00001AAPL.OQUS0378331005
4.89%AMAZON COM INC USD 0.01AMZN.OQUS0231351067
4.84%TESLA INC USD 0.001TSLA.OQUS88160R1014
4.45%TAIWAN SEMICONDUCTOR MANUF TWD 10.02330.TWTW0002330008
3.82%BERKSHIRE HATHAWAY INC SH B 0.0033BRKb.NUS0846707026
3.06%JPMORGAN CHASE + CO USD 1.0JPM.NUS46625H1005
2.99%ORACLE CORP USD 0.01ORCL.NUS68389X1054
2.97%WALMART INCWMT.NUS9311421039
2.16%VISA INC USD 0.0001V.NUS92826C8394
1.88%NETFLIX INC USD 0.001NFLX.OQUS64110L1061
1.82%MASTERCARD INCMA.NUS57636Q1040
1.59%SAMSUNG ELECTRONICS CO LT KRW 100.0005930.KSKR7005930003
1.51%ALIBABA GROUP HLDG USD 0.000025 ADRBABA.NUS01609W1027
1.49%COSTCO WHOLESALE CORP NEW USD 0.005COST.OQUS22160K1051
1.36%HOME DEPOT INC USD 0.05HD.NUS4370761029
1.35%BANK AMER CORP USD 0.01BAC.NUS0605051046
1.28%PROCTER + GAMBLE CO NPVPG.NUS7427181091
1.20%SAP SE NPVSAPG.DEDE0007164600
1.18%UNITEDHEALTH GROUP INC USD 0.01UNH.NUS91324P1021
1.17%LVMH MOET HENNESSY VUITTON SELVMH.PAFR0000121014
1.09%TOYOTA MOTOR CORP NPV7203.TJP3633400001
1.05%COCA COLA CO USD 0.25KO.NUS1912161007
0.98%CISCO SYS INC USD 0.001CSCO.OQUS17275R1023
0.94%INTERNATIONAL BUSINESS MACH USD 0.2IBM.NUS4592001014
0.90%NESTLE SA CHF 0.1NESN.SCH0038863350
0.87%HERMES INTERNATIONAL SCA NPVHRMS.PAFR0000052292
0.85%HSBC HOLDINGS PLC USD 0.5HSBA.LGB0005405286
0.85%SALESFORCE INC USD 0.001CRM.NUS79466L3024
0.84%LOREAL SA EUR 0.2OREP.PAFR0000120321
0.81%SIEMENS AG NPVSIEGn.DEDE0007236101
0.80%AMERICAN EXPRESS CO USD 0.2AXP.NUS0258161092
0.77%MCDONALDS CORP USD 0.01MCD.NUS5801351017
0.75%PEPSICO INC USD 0.017PEP.OQUS7134481081
0.72%DISNEY WALT CO USD 0.01DIS.NUS2546871060
0.68%AT+T INC USD 1.0T.NUS00206R1023
0.66%SONY GROUP CORP JPY 1.06758.TJP3435000009
0.64%CITIGROUP INC USD 0.01C.NUS1729674242
0.62%DEUTSCHE TELEKOM AG NPVDTEGn.DEDE0005557508
0.62%INDUSTRIA DE DISENO TEXTIL EUR 0.03ITX.MCES0148396007
0.61%VERIZON COMMUNICATIONS INC USD 0.1VZ.NUS92343V1044
0.55%ACCENTURE PLC USD 0.000023ACN.NIE00B4BNMY34
0.54%BANCO SANTANDER SA EUR 0.5SAN.MCES0113900J37
0.54%UNILEVER PLC 0.031111PULVR.LGB00B10RZP78
0.40%COMCAST CORP NEW USD 0.01CMCSA.OQUS20030N1019
0.39%ANHEUSER-BUSCH INBEV SA/NV NPVABI.BRBE0974293251
0.37%AXA SA EUR 2.29 RFDAXAF.PAFR0000120628
0.37%CIE FINANCIERE RICHEMONT SA CHF 1.0CFR.SCH0210483332
0.36%CVS HEALTH CORPORATION USD 0.01CVS.NUS1266501006
0.33%NTT INC NPV9432.TJP3735400008
0.29%CAPITAL ON COM USD0.01COF.NUS14040H1059
0.29%MONDELEZ INTL INC NPVMDLZ.OQUS6092071058
0.28%ELEVANCE HEALTH INC USD 0.01ELV.NUS0367521038
0.28%NIKE INC CLASS B COM NPVNKE.NUS6541061031
0.26%BARCLAYS PLC 25PBARC.LGB0031348658
0.25%PAYPAL HLDGS INC USD 0.0001PYPL.OQUS70450Y1038
0.22%HILTON WORLDWIDE HLDGS INC USD 0.01HLT.NUS43300A2033
0.22%MERCEDES-BENZ GROUP AG NPVDAIGn.DEDE0007100000
0.22%UNITED PARCEL SVC INC USD 0.01UPS.NUS9113121068
0.21%BAYERISCHE MOTOREN WERKE AG EUR 1.0BMWG.DEDE0005190003
0.20%GENERAL MTRS CO USD 0.01GM.NUS37045V1008
0.20%HONDA MOTOR CO LTD NPV7267.TJP3854600008
0.19%DIAGEO PLC 28.93518PDGE.LGB0002374006
0.19%FEDEX CORP USD 0.1FDX.NUS31428X1063
0.19%VOLKSWAGEN AG CUM PFDVOWG_p.DEDE0007664039
0.18%JD COM INC USD 0.00002 ADRJD.OQUS47215P1066
0.16%FORD MTR CO DEL USD 0.01F.NUS3453708600
0.16%HEINEKEN NV EUR 1.6HEIN.ASNL0000009165
0.15%ADIDAS AG NPVADSGn.DEDE000A1EWWW0
0.15%ORANGE EUR 4.0ORAN.PAFR0000133308
0.15%KERING SA EUR 4.0PRTP.PAFR0000121485
0.14%HYUNDAI MOTOR CO KRW 5000.0005380.KSKR7005380001
0.14%TARGET CORP USD 0.0833TGT.NUS87612E1064
0.14%KONINKLIJKE AHOLD DELHAIZE EUR 0.01AD.ASNL0011794037
0.13%CHARTER COMMUNICATIONS IN USD 0.001CHTR.OQUS16119P1084
0.08%DR ING HC F PORSCHE AG PFD 144ADE000PAG9113
0.02%SONY FINANCIAL GROUP INC NPV8729.TJP3435350008