HSBC MSCI World Value ESG UCITS ETF (Acc)
HWVL.L
#2005
ETF rank
ยฃ0.23 B
Marketcap
๐Ÿ‡ฌ๐Ÿ‡ง UK
Market
ยฃ21.42
Share price
0.62%
Change (1 day)
23.16%
Change (1 year)

HSBC MSCI World Value ESG UCITS ETF (Acc) - Holdings

Etf holdings as of July 20, 2026Number of holdings: 222

Full holdings list

Weight %NameISINShares HeldCountry
6.30%
NVIDIA CorpUS67066G104096978United States
3.88%
Apple IncUS037833100537184United States
3.04%
Applied Materials IncUS038222105118066United States
2.49%
Microsoft CorpUS594918104519361United States
2.36%
Citigroup IncUS172967424257412United States
2.10%
Novartis AG Registered SharesCH001200526743240Switzerland
2.01%
Micron Technology IncUS59511210387246United States
2.00%
Verizon Communications IncUS92343V1044143859United States
1.76%
Pfizer IncUS7170811035222941United States
1.74%
Salesforce IncUS79466L302431261United States
1.70%
Merck & Co IncUS58933Y105542679United States
1.64%
Broadcom IncUS11135F101213553United States
1.46%
BNP Paribas Act. Cat.AFR000013110438858France
1.45%
Cisco Systems IncUS17275R102341044United States
1.25%
Trane Technologies PLC Class AIE00BK9ZQ9678364United States
1.20%
Sony Group CorpJP3435000009175873Japan
1.20%
Sanofi SAFR000012057842758France
1.19%
Adobe IncUS00724F101215879United States
1.18%
PNC Financial Services Group IncUS693475105714774United States
1.18%
U.S. BancorpUS902973304858379United States
1.18%
Progressive CorpUS743315103917353United States
1.16%
Amazon.com IncUS023135106714467United States
1.15%
Barclays PLCGB0031348658523794United Kingdom
1.11%
Accenture PLC Class AIE00B4BNMY3424062United States
1.11%
Cummins IncUS23102110635414United States
1.07%
Comcast Corp Class AUS20030N1019140639United States
1.05%
Elevance Health IncUS03675210388610United States
1.05%
Phillips 66US718546104015716United States
1.03%
National Grid PLCGB00BDR05C01194923United Kingdom
1.02%
3M CoUS88579Y101020081United States
1.02%
Intuit IncUS461202103410839United States
1.01%
ABB LtdCH001222171632238Switzerland
0.98%
The Travelers Companies IncUS89417E10918335United States
0.94%
The Cigna GroupUS125523100310334United States
0.91%
ServiceNow IncUS81762P102127054United States
0.90%
Alphabet Inc Class CUS02079K10798030United States
0.86%
Synopsys IncUS87160710767140United States
0.86%
General Motors CoUS37045V100835428United States
0.84%
CRH PLCIE000182704126237United States
0.82%
Agnico Eagle Mines LtdCA008474108518901Canada
0.82%
Allstate CorpUS020002101410121United States
0.81%
UBS Group AG Registered SharesCH024476758548976Switzerland
0.81%
NXP Semiconductors NVNL00095387849477United States
0.80%
Alphabet Inc Class AUS02079K30597120United States
0.77%
Deutsche Bank AGDE000514000868863Germany
0.76%
Target CorpUS87612E106417102United States
0.75%
Lam Research CorpUS51280730627655United States
0.74%
ONEOK IncUS682680103624693United States
0.74%
Prosus NV Ordinary Shares - Class NNL001365478350431Netherlands
0.72%
Panasonic Holdings CorpJP386680000092175Japan
0.69%
Societe Generale SAFR000013080925044France
0.66%
Newmont CorpUS651639106623158United States
0.66%
Investor AB Class BSE001581196349931Sweden
0.65%
KDDI CorpJP3496400007114851Japan
0.65%
MetLife IncUS59156R108621723United States
0.63%
CaixaBank SAES0140609019137655Spain
0.63%
Nokia OyjFI0009000681192310Finland
0.63%
Swiss Re AGCH012688156111709Switzerland
0.61%
PayPal Holdings IncUS70450Y103833375United States
0.59%
Exelon CorpUS30161N101940089United States
0.57%
Manulife Financial CorpCA56501R106441849Canada
0.56%
Western Digital CorpUS95810210553625United States
0.52%
Bank of New York Mellon CorpUS064058100710308United States
0.52%
Rio Tinto LtdAU000000RIO114573Australia
0.50%
SSE PLCGB000790873347509United Kingdom
0.49%
SoftBank CorpJP37320000091127762Japan
0.44%
Mercedes-Benz Group AGDE000710000026992Germany
0.44%
Alcon IncCH043249246719584Switzerland
0.43%
Honda Motor Co LtdJP3854600008142088Japan
0.41%
Sompo Holdings IncJP316500000531791Japan
0.41%
Komatsu LtdJP330420000333677Japan
0.41%
3i Group OrdGB00B1YW440937855United Kingdom
0.40%
Zoetis Inc Class AUS98978V103516482United States
0.40%
MSCI World USD Net Total Return Future Sept 26DE000C71QQS68Germany
0.39%
Bank Hapoalim BMIL000662577151689Israel
0.38%
W.W. Grainger IncUS3848021040861United States
0.37%
Hewlett Packard Enterprise CoUS42824C109926001United States
0.36%
Advanced Micro Devices IncUS00790310782247United States
0.35%
United Rentals IncUS91136310901091United States
0.32%
Recruit Holdings Co LtdJP397030000412823Japan
0.32%
State Street CorpUS85747710315521United States
0.32%
FUJIFILM Holdings CorpJP381400000044253Japan
0.31%
Otsuka Holdings Co LtdJP318822000214438Japan
0.31%
Bridgestone CorpJP383080000341745Japan
0.30%
Humana IncUS44485910282323United States
0.29%
Japan Post Holdings Co LtdJP375290000563931Japan
0.28%
Bayerische Motoren Werke AGDE000519000313240Germany
0.28%
Koninklijke Ahold Delhaize NVNL001179403720960Netherlands
0.27%
ING Groep NVNL001182120225857Netherlands
0.27%
BOC Hong Kong Holdings LtdHK2388011192138037China
0.26%
Prudential Financial IncUS74432010226919United States
0.26%
International Business Machines CorpUS45920010143752United States
0.25%
Sun Hung Kai Properties LtdHK001600013251100Hong Kong
0.25%
Qualcomm IncUS74752510364622United States
0.25%
Merck KGaADE00065999055097Germany
0.25%
Archer-Daniels-Midland CoUS03948310209042United States
0.25%
Cheniere Energy IncUS16411R20852907United States
0.24%
The Hartford Insurance Group IncUS41651510485389United States
0.23%
Credit Agricole SAFR000004507235579France
0.22%
Arch Capital Group LtdBMG0450A10536807United States
0.22%
Central Japan Railway CoJP356680000329404Japan
0.22%
Vonovia SEDE000A1ML7J128280Germany
0.19%
NetApp IncUS64110D10463770United States
0.19%
Raymond James Financial IncUS75473010903540United States
0.19%
KBC Groupe NVBE00035657374346Belgium
0.19%
Xylem IncUS98419M10094812United States
0.18%
Veeva Systems Inc Class AUS92247510842881United States
0.18%
ASML Holding NVNL0010273215324Netherlands
0.18%
Fairfax Financial Holdings Ltd Shs Subord.VtgCA3039011026341Canada
0.18%
Biogen IncUS09062X10372750United States
0.18%
Fiserv IncUS337738108810630United States
0.18%
Eversource EnergyUS30040W10807416United States
0.17%
QBE Insurance Group LtdAU000000QBE929089Australia
0.17%
Nomura Holdings IncJP376260000955250Japan
0.16%
Henkel AG & Co KGaA Participating PreferredDE00060484326034Germany
0.16%
Synchrony FinancialUS87165B10356966United States
0.15%
Roche Holding AG Bearer SharesCH00120321131149Switzerland
0.15%
ABN AMRO Bank NVNL001154054710977Netherlands
0.15%
AerCap Holdings NVNL00006876633159United States
0.15%
NN Group NVNL00107738425197Netherlands
0.15%
Regeneron Pharmaceuticals IncUS75886F1075683United States
0.14%
Smurfit WestRock PLCIE00028FXN2410273Ireland
0.14%
F5 IncUS31561610241073United States
0.14%
Royalty Pharma PLC Class AGB00BMVP7Y097704United States
0.14%
Banco Bilbao Vizcaya Argentaria SAES011321183517305Spain
0.14%
HP IncUS40434L105217764United States
0.14%
Veralto CorpUS92338C10364608United States
0.13%
First Solar IncUS33643310702010United States
0.12%
Steris PLCIE00BFY8C7541817United States
0.12%
General Mills IncUS370334104610317United States
0.12%
Incyte CorpUS45337C10273299United States
0.11%
Brambles LtdAU000000BXB126357Australia
0.11%
Bank of Nova ScotiaCA06414910754100Canada
0.11%
Nippon Steel CorpJP338100000395587Japan
0.11%
Zimmer Biomet Holdings IncUS98956P10213832United States
0.11%
Essity AB Class BSE000992216411336Sweden
0.10%
RB Global IncCA74935Q10722910United States
0.10%
DSM-Firmenich AGCH12164787973231Switzerland
0.10%
Daiwa House Industry Co LtdJP350500000411083Japan
0.10%
Wolters Kluwer NVNL00003959034443Netherlands
0.10%
Everest Group LtdBMG3223R1088808United States
0.10%
EDP-Energias De Portugal SAPTEDP0AM000957395Portugal
0.09%
CSL LtdAU000000CSL83416Australia
0.09%
Segro PLCGB00B5ZN1N8824226United Kingdom
0.09%
Boliden ABSE00200504175570Sweden
0.09%
Deckers Outdoor CorpUS24353710732782United States
0.09%
Bunge Global SACH13006462672392United States
0.09%
Henkel AG & Co KGaADE00060484083563Germany
0.09%
Delta Air Lines IncUS24736170233228United States
0.09%
Unibail-Rodamco-Westfield Act. SIIC ET STES FONC.EUROP.FR00133262462276France
0.09%
Asahi Kasei CorpJP311120000623997Japan
0.08%
Nippon Yusen Kabushiki KaishaJP37530000037533Japan
0.08%
CGI Inc Class ACA12532H10473808Canada
0.08%
Shionogi & Co LtdJP334720000214208Japan
0.08%
Sekisui House LtdJP342060000311175Japan
0.08%
Obayashi CorpJP319000000412144Japan
0.08%
A P Moller Maersk AS Class ADK001024442595Denmark
0.07%
Trimble IncUS89623910044316United States
0.07%
Mitsui O.S.K. Lines LtdJP33627000016505Japan
0.07%
Mizrahi Tefahot Bank LtdIL00069543792935Israel
0.07%
CarrefourFR000012017211068France
0.07%
Orsted ASDK00600949289062Denmark
0.06%
Atkinsrealis Group IncCA04764T10493206Canada
0.06%
BouyguesFR00001205033625France
0.06%
United Airlines Holdings IncUS91004710961601United States
0.06%
Pentair PLCIE00BLS09M332976United States
0.06%
Toray Industries IncJP362100000325944Japan
0.06%
Rexel SAFR00104512034205France
0.06%
Mitsubishi Chemical Group CorpJP389770000524943Japan
0.06%
Eiffage SA Bearer and / or registered sharesFR00001304521283France
0.06%
KlepierreFR00001219644049France
0.06%
Mowi ASANO00030541088523Norway
0.05%
Element Fleet Management CorpCA28618120147906Canada
0.05%
CNH Industrial NVNL001054566116589United States
0.05%
Subaru CorpJP381480000310959Japan
0.05%
Auckland International Airport LtdNZAIAE0002S633314New Zealand
0.05%
Associated British Foods PLCGB00067312356020United Kingdom
0.05%
WH Group Ltd Shs Unitary 144A/Reg SKYG960071028150425Hong Kong
0.05%
Sainsbury (J) PLCGB00B019KW7232593United Kingdom
0.05%
LY CorpJP393380000954416Japan
0.05%
West Japan Railway CoJP36590000088102Japan
0.05%
Yokogawa Electric CorpJP39550000094322Japan
0.05%
Isuzu Motors LtdJP313720000610045Japan
0.05%
Yamaha Motor Co LtdJP394280000818111Japan
0.04%
Dai Nippon Printing Co LtdJP34938000017111Japan
0.04%
Hankyu Hanshin Holdings IncJP37742000044723Japan
0.04%
International Consolidated Airlines Group SAES017754201822087United Kingdom
0.04%
Vicinity CentresAU000000VCX769550Australia
0.04%
Kingfisher PLCGB003319521432498United Kingdom
0.04%
MTR Corp LtdHK006600969430757Hong Kong
0.04%
Land Securities Group PLCGB00BYW0PQ6013319United Kingdom
0.04%
Israel Discount Bank Ltd Class AIL000691212011728Israel
0.04%
Svenska Cellulosa AB Class BSE000011272411448Sweden
0.04%
Akzo Nobel NVNL00132679091831Netherlands
0.04%
Stora Enso Oyj Class RFI000900596110813Finland
0.04%
Alstom SAFR00102204756488France
0.04%
Fujitsu LtdJP38180000065725Japan
0.04%
Kesko Oyj Class BFI00090002025046Finland
0.04%
Deutsche Lufthansa AGDE000823212511339Germany
0.04%
JFE Holdings IncJP338603000510890Japan
0.04%
Kawasaki Kisen Kaisha LtdJP32238000086570Japan
0.03%
Sun Life Financial IncCA86679610531317Canada
0.03%
Qantas Airways LtdAU000000QAN213858Australia
0.03%
Contact Energy LtdNZCENE0001S617831New Zealand
0.03%
Seibu Holdings IncJP34172000074270Japan
0.03%
Wilmar International LtdSG1T5693084831299Singapore
0.03%
Sino Land Co LtdHK008300050267278Hong Kong
0.03%
Ayvens SAFR00132586626970France
0.03%
Mapfre SAES0124244E3417266Spain
0.03%
Annaly Capital Management IncUS03571083903739United States
0.03%
AT&T IncUS00206R10233819United States
0.03%
Swire Pacific Ltd Class AHK00190001627018Hong Kong
0.02%
Gecina NomFR0010040865868France
0.02%
Sembcorp Industries LtdSG1R5092539016571Singapore
0.02%
Covivio SAFR00000645781053France
0.02%
The Kraft Heinz CoUS50075410642287United States
0.02%
ANA Holdings IncJP34298000002876Japan
0.01%
Toyota Motor CorpJP36334000012058Japan
0.01%
Keysight Technologies IncUS49338L103593United States
0.00%
EMCOR Group IncUS29084Q100411United States
0.00%
Lloyds Banking Group PLCGB0008706128384United Kingdom
0.00%
MichelinFR001400AJ452France