Amundi S&P World Utilities Screened UCITS ETF Dist
MWOI.DE
#3163
ETF rang
€16.94 M
Capitalisation boursière
🇪🇺 EU
Marché
12,11 €
Prix de l'action
-0.06%
Changement (1 jour)
14.03%
Changement (1 an)

Amundi S&P World Utilities Screened UCITS ETF Dist - Composition

Composition de l'ETF au 4 Juin, 2026Nombre de participations : 50

Liste complète de la composition

Poids %NomISINActions détenuesPays
9.58%
NEXTERA ENERGY INCUS65339F1012203930United States
9.56%
IBERDROLA SAES0144580Y14766405Spain
5.92%
CONSTELLATION ENERGYUS21037T109740801United States
5.67%
ENEL SPAIT0003128367929702Italy
5.51%
NATIONAL GRID PLCGB00BDR05C01623557United Kingdom
4.81%
AMERICAN ELECTRIC POWERUS025537101768607United States
4.30%
SEMPRAUS816851109086914United States
4.02%
DOMINION ENERGY INCUS25746U1097110349United States
3.88%
ENGIEFR0010208488228752France
3.47%
ENTERGY CORPUS29364G103157974United States
3.36%
EXELON CORPUS30161N1019137505United States
3.18%
E.ON SEDE000ENAG999276082Germany
2.79%
PUBLIC SERVICE ENTERPRISE GPUS744573106765258United States
2.73%
CONSOLIDATED EDISON INCUS209115104147907United States
2.65%
SSE PLCGB0007908733150799United Kingdom
2.10%
FORTIS INCCA349553107969202Canada
1.89%
EVERSOURCE ENERGYUS30040W108049347United States
1.71%
AMERICAN WATER WORKSUS030420103325516United States
1.70%
OSAKA GAS CO JPY50JP318040000891000Japan
1.65%
TOKYO GAS CO Y50JP357300000177300Japan
1.20%
ALTAGAS LTDCA021361100154834Canada
1.08%
TERNA-RETE ELETTRICA NAZIONAIT0003242622171602Italy
1.07%
EDP SAPTEDP0AM0009384294Portugal
1.06%
NATURGY ENERGY GROUP SAES011687031458250Spain
1.03%
HYDRO ONE LTDCA448811208346515Canada
1.00%
SNAM SPAIT0003153415252937Italy
0.92%
UNITED UTILITIES GROUP PLC NEWGB00B39J2M4295487United Kingdom
0.87%
ENDESA SAES013067011237466Spain
0.85%
CENTRICA PLCGB00B033F229613374United Kingdom
0.78%
FORTUM OYJFI000900713258696Finland
0.77%
APA GROUPAU000000APA1191556Australia
0.76%
ORSTED A/SDK006009492855401Denmark
0.75%
SEVERN TRENT PLCGB00B1FH8J7234504United Kingdom
0.73%
ENLIGHT RENEWABLE ENERGY LTD ILSIL000720011114269Israel
0.70%
POWER ASSETS HOLDINGS LTDHK0006000050177500Hong Kong
0.69%
HONG KONG & CHINA GASHK00030000381449362Hong Kong
0.54%
ELIA GROUP SA/NVBE00038223936332Belgium
0.46%
XAU UTILITIES 06/26 CME9.5566901309857United States
0.43%
CONTACT ENERGY LTDNZCENE0001S6140284New Zealand
0.43%
VERBUND AGAT000074640911499Austria
0.43%
OPC ENERGY LTDIL001141571320108Israel
0.40%
SEMBCORP INDUSTRIESSG1R50925390149600Singapore
0.38%
EDP RENOVAVEISES012779701941809Portugal
0.35%
MERIDIAN ENERGY LTDNZMELE0002S7186151New Zealand
0.34%
CK INFRASTRUCTURE HOLDINGS LBMG2178K100986000Hong Kong
0.24%
MERCURY NZ LTDNZMRPE0001S2106470New Zealand
0.21%
STOXX 600 UTIL 06/26 EUREXDE000F2ZVMH212
0.10%
EVN AGAT00007410535604Austria
0.05%
EDISON SPA-RSPIT000337220539453Italy
0.00%
EDP RENOVAVEIS-BONUS RIGHTSES062779793141356Spain