Invesco Global Clean Energy UCITS ETF Acc
G1CE.DE
#2535
ETF rank
โ‚น9.25 B
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
โ‚น2,251
Share price
-0.48%
Change (1 day)
72.65%
Change (1 year)

Invesco Global Clean Energy UCITS ETF Acc - Holdings

Etf holdings as of March 20, 2026Number of holdings: 111

Full holdings list

Weight %NameISIN
1.40%
SOLAREDGE TECHNOLOGIES INC USD0.0001US83417M1045
1.39%
Verbio SE NPVDE000A0JL9W6
1.35%
CS WIND CORP KRW500KR7112610001
1.29%
NORDEX SE NPVDE000A0D6554
1.23%
CONTEMPORARY A HKD 1.000000000CNE100006WS8
1.19%
LS ELECTRIC CO LTD KRW5000KR7010120004
1.17%
TSEC CORP TWD 10.0000TW0006443005
1.14%
PLUG POWER INC USD0.01US72919P2020
1.12%
SOLARIA ENERGIA Y MEDIO AMBI EUR0.01ES0165386014
1.11%
MOTECH INDUSTRIES INC TWD10TW0006244007
1.10%
REPT BATTERO E HKD 1.000000000CNE1000069Z2
1.09%
BALLARD POWER SYSTEMS INC NPVCA0585861085
1.09%
LS CORP KRW5000KR7006260004
1.09%
SMA SOLAR TECHNOLOGY AG NPVDE000A0DJ6J9
1.07%
DELTA ELECTRONICS INC TWD10TW0002308004
1.04%
GREEN PLAINS Inc USD0.001US3932221043
1.03%
ENLIGHT RENEWABLE ENERGY LTD ILs 0.0100IL0007200111
1.02%
NIO INC - ADRUS62914V1061
1.02%
DARLING INGREDIENTS INC USD0.01US2372661015
1.02%
DOOSAN FUEL CELL CO LTD KRW100KR7336260005
1.02%
VERBUND AG NPVAT0000746409
1.01%
ACCIONA SA EUR1ES0125220311
1.01%
KEMPOWER OYJ EUR NPVFI4000513593
1.01%
GS YUASA CORP NPVJP3385820000
1.01%
BLOOM ENERGY CORP- A USD0.0001US0937121079
1.01%
SINO-AMERICAN SILICON PRODUC TWD10TW0005483002
1.00%
WASION GROUP HOLDINGS LTD HKD0.01KYG9463P1081
0.99%
RIVIAN AUTOMOTIVE INC-A USD 0.0010US76954A1034
0.99%
CALB GROUP CO LTD CNY 1CNE100005LL8
0.99%
CERES POWER HOLDINGS PLC GBp 10.0000GB00BG5KQW09
0.98%
BYD CO LTD-H CNY1CNE100000296
0.98%
BORALEX INC -A NPVCA09950M3003
0.97%
NFI GROUP INC NPVCA62910L1022
0.97%
ITM POWER PLC GBp 5.0000GB00B0130H42
0.96%
GRENERGY RENOVABLES NPVES0105079000
0.95%
QUIMICA Y MINERA CHIL-SP ADRUS8336351056
0.95%
LUCID GROUP INC USD 0.0001US5494982029
0.94%
ACBEL POLYTECH INC TWD10TW0006282007
0.93%
ENPHASE ENERGY INC USD0.00001US29355A1079
0.93%
OY NOFAR ENERGY LTD ILS NPVIL0011708778
0.93%
SAMSUNG SDI CO LTD KRW5000KR7006400006
0.93%
HA Sustainable Infrastructure Capital Inc USD 0.01US41068X1000
0.93%
XPENG INC - ADRUS98422D1054
0.93%
WEST HOLDINGS CORP NPVJP3154750008
0.92%
ERG SPA EUR0.1IT0001157020
0.92%
MERCURY NZ LTD NPVNZMRPE0001S2
0.92%
SCATEC ASA NOK0.025NO0010715139
0.91%
ZHEJIANG LEAPM HKD 1.000000000CNE100005K77
0.91%
VESTAS WIND SYSTEM DKK 0.20DK0061539921
0.90%
RENOVA INC JPY NPVJP3981200003
0.90%
ELIA GROUP NPVBE0003822393
0.90%
ENERGIX-RENEWABLE ENERGIES NPVIL0011233553
0.89%
HD HYUNDAI ELECTRIC & Energy System Co Ltd KRW5000KR7267260008
0.89%
PHIHONG TECHNOLOGY CO LTD TWD10TW0002457009
0.89%
XINYI SOLAR HOLDINGS LTD HKD0.1KYG9829N1025
0.89%
BLUE BIRD CORP USD0.0001US0953061068
0.89%
ITRON INC NPVUS4657411066
0.89%
XINYI ENERGY HOLDINGS LTD HKD0.01VGG9833A1049
0.88%
TAMURA CORP NPVJP3471000004
0.88%
TERNA SPA EUR0.22IT0003242622
0.88%
YADEA GROUP HOLDINGS LTD USD0.00001KYG9830F1063
0.88%
EDP RENOVAVEIS SA EUR5ES0127797019
0.88%
CHUNG HSIN ELECTRIC & MACHIN TWD10TW0001513000
0.88%
CORP ACCIONA ENERGIAS RENOVA EUR NPVES0105563003
0.88%
SHIHLIN ELECTRIC & ENGINEER TWD10TW0001503001
0.87%
CHINA DATANG CORP RENEWABL-H HKD 1.0000CNE100000X69
0.87%
Ganfeng Lithium Group Co Ltd CNY 1CNE1000031W9
0.87%
FORTUNE ELECTRIC CO LTD TWD10TW0001519007
0.87%
SANYO DENKI CO LTD NPVJP3340800006
0.86%
J&V ENERGY TECH TWD 10.000000000TW0006869001
0.86%
FSP TECHNOLOGY INC TWD10TW0003015004
0.86%
HUBBELL INC USD0.01US4435106079
0.86%
ALLIS ELECTRIC CO LTD TWD10TW0001514008
0.85%
ORSTED A/S DKK10DK0060094928
0.84%
LANDIS+GYR GROUP AG CHF10CH0371153492
0.84%
TOYO TANSO CO LTD NPVJP3616000000
0.84%
PRYSMIAN SPA EUR0.1IT0004176001
0.83%
NKT A/S DKK20DK0010287663
0.83%
ECOPRO BM CO LTD KRW500KR7247540008
0.83%
Lotte Energy Materials Corp KRW500KR7020150009
0.83%
ORMAT TECHNOLOGIES INC USD0.001US6866881021
0.82%
HAINAN DRINDA HKD 1.000000000CNE100006JZ0
0.82%
LG ENERGY SOLUTION KRW 500.0000KR7373220003
0.82%
FIRST SOLAR INC USD0.001US3364331070
0.81%
TIANNENG POWER INTL LTD HKD0.1KYG8655K1094
0.80%
SPIE SA EUR0.47FR0012757854
0.80%
SIGNIFY NV NPVNL0011821392
0.80%
LEGRAND SA EUR4FR0010307819
0.80%
JINKOSOLAR HOLDING CO-ADRUS47759T1007
0.80%
ATKORE INC. USD 0.01US0476491081
0.80%
NIBE INDUSTRIER AB SEK NPVSE0015988019
0.79%
QUANTUMSCAPE CORP USD 0.0001US74767V1098
0.79%
TA YA ELECTRIC WIRE & CABLE TWD10TW0001609006
0.79%
WACKER CHEMIE AG NPVDE000WCH8881
0.78%
ALFEN BEHEER B.V. EUR0.1NL0012817175
0.77%
FLAT GLASS GROUP CO LTD-H HKD 0.2500CNE100002375
0.77%
TECO ELECTRIC & MACHINERY TWD10TW0001504009
0.77%
CORE & MAIN INC-CLASS A USD 0.0100US21874C1027
0.76%
VOLTRONIC POWER TECHNOLOGY TWD10TW0006409006
0.75%
REXEL SA EUR5FR0010451203
0.75%
KINGSPAN GROUP PLC EUR0.13IE0004927939
0.73%
NEXANS SA EUR1FR0000044448
0.70%
UNIVERSAL DISPLAY CORP USD0.01US91347P1057
0.67%
CANADIAN SOLAR INC NPVCA1366351098
0.63%
SUNRUN INC USD0.0001US86771W1053
0.62%
EVGO INC USD 0.0001US30052F1003
0.59%
SHOALS TECHNOLOGIES GROUP -A USD 0.0000US82489W1071
0.59%
ARRAY TECHNOLOGIES INC USD 0.0010US04271T1007
0.58%
SES AI CORP USD 0.0001US78397Q1094
0.45%
EOS ENERGY ENTERPRISES INC USD 0.0001US29415C1018
0.02%
Cash and/or Derivatives