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total market cap:
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Watchlist
Account
Amundi MSCI Switzerland UCITS ETF - CHF (C)
18MN.DE
#1794
ETF rank
HK$3.14 B
Marketcap
๐ช๐บ EU
Market
HK$125.58
Share price
0.49%
Change (1 day)
26.95%
Change (1 year)
Market cap
Price history
Shares outstanding
Fees (Expense ratio)
Holdings
More
Fees (Expense ratio)
Amundi MSCI Switzerland UCITS ETF - CHF (C) - Holdings
Etf holdings as of
February 11, 2026
Number of holdings:
59
Full holdings list
Weight %
Name
ISIN
Shares Held
Country
8.21%
NVIDIA CORP
US67066G1040
293022
United States
7.77%
ALPHABET INC CL A
US02079K3059
169480
United States
7.61%
META PLATFORMS INC-CLASS A
US30303M1027
77109
United States
7.52%
TESLA INC
US88160R1014
119096
United States
5.48%
APPLE INC
US0378331005
134781
United States
4.47%
AMAZON.COM INC
US0231351067
148486
United States
4.36%
MERCK & CO. INC.
US58933Y1055
247817
United States
4.33%
COMCAST CORP-CLASS A
US20030N1019
903913
United States
4.11%
BROADCOM INC
US11135F1012
81265
United States
3.84%
BANK OF AMERICA CORP
US0605051046
483041
United States
3.35%
MICROSOFT CORP
US5949181045
56220
United States
3.33%
AUTOZONE INC
US0533321024
6052
United States
2.28%
PROLOGIS INC
US74340W1036
110485
United States
2.27%
BOOKING HOLDINGS INC
US09857L1089
3569
United States
2.27%
TOTALENERGIES SE PARIS
FR0000120271
201848
France
2.22%
GENERAL ELECTRIC
US3696043013
47898
United States
2.00%
COLGATE-PALMOLIVE CO
US1941621039
142496
United States
1.86%
BERKSHIRE HATHAWAY INC-CL B
US0846707026
25201
United States
1.80%
L OREAL PRIME FIDELITE
FR0011149590
26262
France
1.70%
SHERWIN-WILLIAMS CO/THE
US8243481061
31450
United States
1.61%
WAYFAIR INC- CLASS A
US94419L1017
123948
United States
1.55%
APPLIED MATERIALS INC
US0382221051
30903
United States
1.46%
CONSTELLATION ENERGY
US21037T1097
35690
United States
1.23%
BRISTOL-MYERS SQUIBB CO
US1101221083
138703
United States
1.22%
DELTA AIR LINES
US2473617023
115815
United States
1.22%
T-MOBILE US INC
US8725901040
39385
United States
1.11%
INTEL CORP
US4581401001
156190
United States
1.02%
SANOFI - PARIS
FR0000120578
70348
United States
0.99%
AMERICAN EXPRESS
US0258161092
18962
United States
0.92%
ECOLAB INC
US2788651006
20600
United States
0.89%
AIR LIQUIDE PRIME FIDELITE
FR0000053951
30371
France
0.84%
JPMORGAN CHASE & CO
US46625H1005
18257
United States
0.71%
TEXAS INSTRUMENTS COM USD1
US8825081040
21305
United States
0.53%
ARCH CAPITAL GROUP LTD
BMG0450A1053
36642
United States
0.51%
CADENCE DESIGN SYS INC
US1273871087
11471
United States
0.47%
ENGIE PRIME DE FIDELITE
FR0013215407
100106
France
0.46%
SHOPIFY INC USD
CA82509L1076
26183
Canada
0.46%
PEPSICO INC
US7134481081
18337
United States
0.41%
MARSH & MCLENNAN COS
US5717481023
16185
United States
0.32%
ORANGE
FR0000133308
107416
France
0.29%
ATLASSIAN CORP-CL A
US0494681010
22724
United States
0.28%
MORGAN STANLEY
US6174464486
10851
United States
0.19%
ALEXANDRIA REAL
US0152711091
24364
United States
0.17%
ALPHABET INC CL C
US02079K1079
3648
United States
0.17%
GENERAC HOLDINGS
US3687361044
5266
United States
0.16%
PTC INC
US69370C1009
6965
United States
0.16%
HOLOGIC INC
US4364401012
14023
United States
0.13%
MOLINA HEALTHCARE INC
US60855R1005
7302
United States
0.13%
BLOCK INC
US8522341036
16603
United States
0.11%
WATERS CORP
US9418481035
2350
United States
0.09%
CHEWY INC - CLASS A
US16679L1098
24818
United States
0.09%
TRANSDIGM GROUP INC
US8936411003
479
United States
0.05%
THE CIGNA GROUP
US1255231003
1163
United States
0.04%
HEWLETT PACKARD ENTERPRISE
US42824C1099
11476
United States
0.03%
ACCOR SA
FR0000120404
3442
France
0.03%
METTLER-TOLEDO INTERNATIONAL
US5926881054
139
United States
0.03%
COMFORT SYSTEMS USA INC
US1999081045
135
United States
0.02%
INSULET CORP
US45784P1012
528
United States
0.02%
TRIMBLE INC
US8962391004
1627
United States