Amundi STOXX Europe 600 Basic Resources UCITS ETF Dist
E6BR.DE
#2047
ETF rank
โ‚น27.72 B
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
โ‚น18,713
Share price
-0.36%
Change (1 day)
91.15%
Change (1 year)

Amundi STOXX Europe 600 Basic Resources UCITS ETF Dist - Holdings

Etf holdings as of June 3, 2026Number of holdings: 49

Full holdings list

Weight %NameISINShares HeldCountry
9.36%
ASML HOLDING NVNL001027321550842Netherlands
8.65%
SIEMENS AG-REGDE0007236101253573Germany
7.97%
SIEMENS ENERGY AGDE000ENER6Y0401280Germany
7.69%
JOHNSON CONTROLS INTERNATIONALIE00BY7QL619489866United States
4.57%
AIRBUS SE PARISNL0000235190217543France
4.41%
ING GROEP NVNL00118212021353132Netherlands
4.09%
BROADCOM INCUS11135F101279959United States
3.76%
ABN AMRO BANK NV-CVANL0011540547898478Netherlands
3.65%
RWE AGDE0007037129515519Germany
3.62%
INFINEON TECHNOLOGIES AGDE0006231004331391Germany
3.34%
BE SEMICONDUCTOR INDUSTRIESNL001286641293280Netherlands
3.05%
DEUTSCHE TELEKOM NAMEN (XETRA)DE0005557508876820Germany
3.04%
MICRON TECHNOLOGY INCUS595112103826375United States
2.89%
MEDTRONIC PLCIE00BTN1Y115347245United States
2.80%
NORDEX SEDE000A0D6554550560Germany
2.38%
MICROSOFT CORPUS594918104552050United States
2.16%
APPLE INCUS037833100565096United States
1.88%
ORACLE CORPUS68389X105476340United States
1.85%
AMAZON.COM INCUS023135106769440United States
1.67%
ACCENTURE PLC -AIE00B4BNMY3488318United States
1.55%
AUMOVIO SEDE000AUM0V10306593Germany
1.44%
TOTALENERGIES SE PARISFR0000120271150000France
1.42%
GEA GROUP AG EX MG TECHNOLOGIEDE0006602006213858Germany
1.40%
COSTCO WHOLESALE CORPUS22160K105113678United States
1.15%
FERROVIAL SE MADRIDNL0015001FS8161972United States
1.13%
META PLATFORMS INC-CLASS AUS30303M102717056United States
1.13%
KONINKLIJKE AHOLD DELHAIZENL0011794037258324Netherlands
1.09%
KONINKLIJKE KPN NVNL00000090822000000Netherlands
1.05%
ALLEGION PLCIE00BFRT3W7475400United States
0.85%
ENGIE PRIME DE FIDELITE 2027FR001400U6U4254255France
0.77%
ENGIE PRIME DE FIDELITEFR0013215407230948France
0.71%
BNP PARIBASFR000013110461528France
0.71%
ALLIANZ SE-REGDE000840400515452Germany
0.68%
SANOFI - PARISFR000012057874115United States
0.62%
AIR LIQUIDE PRIME FIDELITEFR000005395127840France
0.62%
L OREAL PRIME DE FIDELITE 2028FR0014013RC713412France
0.61%
VINCI SA (PARIS)FR000012548639843France
0.45%
THYSSEN KRUPP AGDE0007500001304060Germany
0.38%
TALANX AGDE000TLX100531000Germany
0.30%
SBM OFFSHORE NVNL000036061873649Netherlands
0.30%
SCOUT24 SEDE000A12DM8033466Germany
0.26%
NOKIA OYJ HELSINKIFI0009000681142000Finland
0.26%
ORANGEFR0000133308116809France
0.21%
KBC GROUP NVBE000356573715591Belgium
0.13%
JPMORGAN CHASE & COUS46625H10054040United States
0.11%
PROSUS NVNL001365478321427China
0.05%
ASM INTERNATIONAL NVNL0000334118463Netherlands
0.04%
VOESTALPINE AGAT00009375036947Austria
0.04%
L OREAL PRIME DE FIDELITE 2027FR001400UH43815France