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Account
Deka iBoxx โฌ Liquid Corporates Diversified UCITS ETF
EL49.DE
#1913
ETF rank
NZ$0.63 B
Marketcap
๐ช๐บ EU
Market
NZ$195.91
Share price
0.13%
Change (1 day)
4.92%
Change (1 year)
๐๏ธ Bond ETFs
Categories
Market cap
Price history
Shares outstanding
Fees (Expense ratio)
Holdings
Distributions
More
Fees (Expense ratio)
Distributions
Deka iBoxx โฌ Liquid Corporates Diversified UCITS ETF - Holdings
Etf holdings as of
May 4, 2026
Number of holdings:
100
Full holdings list
Weight %
Name
ISIN
Country
1.79%
BANCO SANTANDER 4.875% 23-18/10/2031
XS2705604234
Spanien
1.65%
BANCO SANTANDER 24-02/04/2029 FRN
XS2908735504
Spanien
1.58%
HSBC HOLDINGS 23-23/05/2033 FRN
XS2621539910
Grossbritannien
1.44%
BNP PARIBAS 25-15/01/2031 FRN
FR001400WLJ1
Frankreich
1.36%
INTESA SANPAOLO 5.125% 23-29/08/2031
XS2673808726
Italien
1.34%
BAYER AG 4.625% 23-26/05/2033
XS2630111719
Deutschland
1.30%
BNP PARIBAS 4.095% 24-13/02/2034
FR001400NV51
Frankreich
1.28%
BANQ FED CRD MUT 4.125% 23-13/03/2029
FR001400GGZ0
Frankreich
1.27%
HSBC HOLDINGS 25-13/05/2034 FRN
XS3069291782
Grossbritannien
1.27%
ING GROEP NV 24-03/09/2030 FRN
XS2891742731
Niederlande
1.27%
LVMH MOET HENNES 3.5% 23-07/09/2033
FR001400KJO0
Frankreich
1.27%
CRED AGRICOLE SA 3.875% 23-20/04/2031
FR001400HCR4
Frankreich
1.26%
CRED AGRICOLE SA 3.75% 24-22/01/2034
FR001400N2M9
Frankreich
1.23%
BPCE 26-19/12/2031 FRN
FR0014015K76
Frankreich
1.22%
ING GROEP NV 25-17/08/2036 FRN
XS3002547647
Niederlande
1.22%
UBS GROUP 26-13/02/2031 FRN
CH1512676888
Schweiz
1.22%
UBS GROUP 26-13/01/2037 FRN
CH1512676896
Schweiz
1.20%
NOVO NORDISK FIN 2.375% 25-27/05/2028
XS3002552993
Niederlande
1.13%
INTESA SANPAOLO 4.875% 23-19/05/2030
XS2625196352
Italien
1.12%
NOVO NORDISK A/S 3.375% 24-21/05/2034
XS2820460751
Niederlande
1.11%
ORANGE 3.5% 25-13/11/2034
FR00140144C3
Frankreich
1.10%
LLOYDS BK GR PLC 23-21/09/2031 FRN
XS2690137299
Grossbritannien
1.10%
ENI SPA 4.25% 23-19/05/2033
XS2623956773
Italien
1.07%
DEUTSCHE BOERSE 3.875% 23-28/09/2033
DE000A351ZT4
Deutschland
1.06%
ROBERT BOSCH 4% 23-02/06/2035
XS2629470845
Deutschland
1.06%
NATWEST GROUP 25-13/05/2036 FRN
XS3069320714
Grossbritannien
1.06%
KERING 3.875% 23-05/09/2035
FR001400KHX5
Frankreich
1.06%
STELLANTIS NV 4.25% 23-16/06/2031
XS2634690114
Niederlande
1.06%
SIEMENS FINAN 3.375% 23-24/08/2031
XS2589790109
Niederlande
1.05%
BARCLAYS PLC 25-14/08/2031 FRN
XS3069319468
Grossbritannien
1.05%
BANCO BILBAO VIZ 3.875% 24-15/01/2034
XS2747065030
Spanien
1.05%
COOPERATIEVE RAB 23-25/04/2029 FRN
XS2613658041
Niederlande
1.04%
SIEMENS FINAN 3.125% 24-22/05/2032
XS2769894135
Niederlande
1.04%
STELLANTIS NV 4.375% 23-14/03/2030
XS2597110027
Niederlande
1.04%
SWISSCOM FIN 3.5% 24-29/11/2031
XS2827696035
Niederlande
1.04%
AB INBEV SA/NV 3.375% 25-19/05/2033
BE6364524635
Belgien
1.04%
UNICREDIT SPA 4% 24-05/03/2034
IT0005585051
Italien
1.03%
DSV FINANCE BV 3.25% 24-06/11/2030
XS2932834604
Niederlande
1.03%
NATWEST MARKETS 3% 25-03/09/2030
XS3170277530
Grossbritannien
1.02%
ESSILORLUXOTTICA 2.875% 24-05/03/2029
FR001400RYN6
Frankreich
1.02%
AMER MED SYST EU 3.5% 24-08/03/2032
XS2772266693
Niederlande
1.02%
CAIXABANK 26-20/01/2037 FRN
XS3261883105
Spanien
1.02%
UNICREDIT SPA 26-15/07/2030 FRN
IT0005689986
Italien
1.02%
NATIONWIDE BLDG 25-27/01/2036 FRN
XS2986730617
Grossbritannien
1.01%
BPCE 25-26/02/2036 FRN
FR001400XLI1
Frankreich
1.01%
BANQ FED CRD MUT 3.125% 25-11/03/2031
FR0014014TL2
Frankreich
1.01%
CAPGEMINI SE 3.125% 25-25/09/2031
FR0014012S97
Frankreich
1.01%
BARCLAYS PLC 25-31/10/2036 FRN
XS3219356568
Grossbritannien
1.01%
BANCO BILBAO VIZ 3.75% 26-15/01/2036
XS3268962761
Spanien
1.00%
CAPGEMINI SE 3.5% 25-25/09/2034
FR0014012S89
Frankreich
0.97%
VOLKSWAGEN LEAS 3.875% 24-11/10/2028
XS2745725155
Deutschland
0.95%
MERCEDES-BENZ IN 3.25% 24-15/11/2030
DE000A382988
Niederlande
0.94%
BMS IRELAND CAP 3.363% 25-10/11/2033
XS3215466338
Irland
0.93%
VOLKSW FIN SERVI 3.625% 24-19/05/2029
XS2941605078
Deutschland
0.92%
LOREAL SA 3.375% 25-19/01/2036
FR0014014A46
Frankreich
0.92%
CARLSBERG BREW 3.5% 25-28/02/2035
XS3002420902
Dรคnemark
0.92%
TOTALENERGIES 3.647% 25-01/07/2035
XS3106109849
Frankreich
0.90%
THERMO FISHER 3.628% 25-01/12/2035
XS3241802811
Niederlande
0.89%
LVMH MOET HENNES 2.625% 25-07/03/2029
FR001400ZED2
Frankreich
0.87%
EUROGRID GMBH 3.732% 24-18/10/2035
XS2919680236
Deutschland
0.86%
MERCEDES-BENZ IN 3.7% 23-30/05/2031
DE000A3LH6U5
Niederlande
0.86%
ELEC DE FRANCE 4.125% 24-17/06/2031
FR001400QR62
Frankreich
0.86%
MOTABILITY OPS 4.25% 24-17/06/2035
XS2838538374
Grossbritannien
0.85%
BOUYGUS SA 3.875% 23-17/07/2031
FR001400IBM5
Frankreich
0.84%
ROBERT BOSCH 3.625% 23-02/06/2030
XS2629468278
Deutschland
0.84%
AB INBEV SA/NV 3.45% 24-22/09/2031
BE6350702153
Belgien
0.84%
CIE DE ST GOBAIN 3.875% 23-29/11/2030
XS2723549361
Frankreich
0.83%
ENI SPA 3.875% 24-15/01/2034
XS2739132897
Italien
0.83%
BMW FINANCE NV 2.625% 25-20/05/2028
XS3075491152
Niederlande
0.82%
RTE RESEAU DE TR 3.75% 23-04/07/2035
FR001400J150
Frankreich
0.82%
SNAM 3.25% 25-01/07/2032
XS3096163160
Italien
0.82%
ENBW 3.75% 24-20/11/2035
XS2942479044
Niederlande
0.82%
STANDARD CHART 25-17/03/2033 FRN
XS3022397460
Grossbritannien
0.82%
SANTANDER UK PLC 3.346% 25-25/03/2030
XS3032020136
Grossbritannien
0.82%
NORDEA BANK ABP 3.625% 24-15/03/2034
XS2784667011
Finnland
0.82%
ABN AMRO BANK NV 2.75% 25-04/06/2029
XS3083189319
Niederlande
0.82%
MOTABILITY OPS 3.875% 24-24/01/2034
XS2742660660
Grossbritannien
0.82%
NATIONWIDE BLDG 3.125% 25-18/08/2032
XS3150924267
Grossbritannien
0.82%
TOTALENERGIES 3.075% 25-01/07/2031
XS3106109765
Frankreich
0.82%
NORDEA BANK ABP 3.25% 26-29/04/2031
XS3357292930
Finnland
0.81%
STANDARD CHART 26-14/01/2034 FRN
XS3258445660
Grossbritannien
0.81%
BMW FINANCE NV 2.625% 26-27/01/2029
XS3280518856
Niederlande
0.81%
DIAGEO FIN PLC 3.125% 24-28/02/2031
XS2833390920
Grossbritannien
0.81%
CARLSBERG BREW 3.25% 25-28/02/2032
XS3002420498
Dรคnemark
0.81%
SVENSKA HANDELSBANKEN 3.5% 26-29/04/2033
XS3358268251
Schweden
0.81%
LLOYDS BK GR PLC 25-04/03/2036 FRN
XS3010675695
Grossbritannien
0.80%
LOREAL SA 2.75% 25-19/11/2030
FR0014014A38
Frankreich
0.80%
ORANGE 3.125% 25-13/11/2031
FR00140144B5
Frankreich
0.80%
DHL GROUP AG 3.5% 24-25/03/2036
XS2784415718
Deutschland
0.80%
CAIXABANK 3.375% 25-26/06/2035
XS3103589670
Spanien
0.80%
ABN AMRO BANK NV 2.625% 26-16/01/2029
XS3273008063
Niederlande
0.80%
COOPERATIEVE RAB 3.548% 25-08/10/2035
XS3200103490
Niederlande
0.80%
TELEFONICA EMIS 3.707% 26-02/05/2033
XS3285006634
Spanien
0.80%
KBC GROUP NV 26-15/01/2033 FRN
BE0390280494
Belgien
0.80%
CIE DE ST GOBAIN 3.625% 24-08/04/2034
XS2796659964
Frankreich
0.80%
DEUTSCHE BANK AG 25-07/02/2031 FRN
DE000A460DW4
Deutschland
0.80%
ESSILORLUXOTTICA 2.625% 25-10/01/2030
FR0014010BK0
Frankreich
0.80%
TELEFONICA EMIS 3.724% 25-23/01/2034
XS2984223102
Spanien
0.79%
KERING 3.375% 24-11/03/2032
FR001400OM10
Frankreich
0.79%
LANDBK HESSEN-TH 3% 25-05/03/2032
XS3017208235
Deutschland