Amundi STOXX Europe 600 Basic Resources UCITS ETF Acc
LBRE.DE
#1652
ETF rank
HK$4.32 B
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
HK$1,242
Share price
0.89%
Change (1 day)
92.27%
Change (1 year)

Amundi STOXX Europe 600 Basic Resources UCITS ETF Acc - Holdings

Etf holdings as of April 10, 2026Number of holdings: 57

Full holdings list

Weight %NameISINShares HeldCountry
9.04%
ASML HOLDING NVNL001027321547948Netherlands
7.38%
SIEMENS AG-REGDE0007236101216467Germany
6.89%
JOHNSON CONTROLS INTERNATIONALIE00BY7QL619381650United States
4.68%
AIRBUS SE PARISNL0000235190185771France
4.21%
TE CONNECTIVITY PLCIE000IVNQZ81144787Switzerland
4.17%
ALLIANZ SE-REGDE000840400574458Germany
4.05%
CRH PLC UKIE0001827041271402United States
3.88%
MUENCHENER RUECKVER AG-REGDE000843002647520Germany
3.74%
DEUTSCHE TELEKOM NAMEN (XETRA)DE0005557508811522Germany
3.71%
NORDEX SEDE000A0D6554543474Germany
2.97%
SIEMENS ENERGY AGDE000ENER6Y0119678Germany
2.82%
SAP SE / XETRADE0007164600136347Germany
2.34%
ELEVANCE HEALTH INCUS036752103859311United States
2.30%
DHL GROUP (XETRA)DE0005552004314617Germany
1.98%
PROCTER & GAMBLE CO/THEUS7427181091107566United States
1.76%
AMAZON.COM INCUS023135106758193United States
1.75%
TOTALENERGIES SE PARISFR0000120271150000France
1.74%
ALPHABET INC CL CUS02079K107943576United States
1.51%
BROADCOM INCUS11135F101232118United States
1.51%
MICRON TECHNOLOGY INCUS595112103828355United States
1.35%
RWE AGDE0007037129153462Germany
1.28%
SCOUT24 SEDE000A12DM80132154Germany
1.26%
NVIDIA CORPUS67066G104052896United States
1.26%
META PLATFORMS INC-CLASS AUS30303M102715783United States
1.25%
PEPSICO INCUS713448108162912United States
1.24%
MICROSOFT CORPUS594918104526372United States
1.10%
ENGIE PRIME DE FIDELITE 2027FR001400U6U4254255France
1.03%
FERROVIAL SE MADRIDNL0015001FS8114540United States
1.00%
ENGIE PRIME DE FIDELITEFR0013215407230948France
0.91%
FRESENIUS SE & CO KGAADE0005785604136647Germany
0.88%
SANOFI - PARISFR000012057874115United States
0.88%
ABN AMRO BANK NV-CVANL0011540547204000Netherlands
0.87%
APPLE INCUS037833100526324United States
0.83%
BNP PARIBASFR000013110461528France
0.80%
VINCI SA (PARIS)FR000012548639843France
0.78%
AIR LIQUIDE PRIME FIDELITEFR000005395127840France
0.71%
L OREAL PRIME DE FIDELITE 2028FR0014013RC713412France
0.71%
NEMETSCHEK AGDE000645290778141Germany
0.71%
WALMART INCUS931142103944133United States
0.69%
ELI LILLY & COUS53245710835799United States
0.66%
T-MOBILE US INCUS872590104026704United States
0.65%
NN GROUP NVNL001077384261624Netherlands
0.64%
AUMOVIO SEDE000AUM0V10120000Germany
0.64%
ASM INTERNATIONAL NVNL00003341185653Netherlands
0.59%
FLATEXDEGIRO SEDE000FTG1111116938Germany
0.58%
GEA GROUP AG EX MG TECHNOLOGIEDE000660200663080Germany
0.54%
DEUTSCHE LUFTHANSA NOMINATIVEDE0008232125455000Germany
0.54%
KBC GROUP NVBE000356573731471Belgium
0.39%
EXOR NV AMSTERDAMNL001205901837851Netherlands
0.34%
TALANX AGDE000TLX100519963Germany
0.31%
ORANGEFR0000133308116809France
0.21%
K+S AG-REGDE000KSAG88892429Germany
0.18%
INFINEON TECHNOLOGIES AGDE000623100429000Germany
0.17%
KION GROUP AGDE000KGX888126059Germany
0.14%
WOLTERS KLUWERNL000039590315553Netherlands
0.10%
COSTCO WHOLESALE CORPUS22160K1051759United States
0.04%
L OREAL PRIME DE FIDELITE 2027FR001400UH43815France