Aktienfonds • Aktien Europa

Zusammensetzung Ossiam ESG Shiller Barclays CAPE Europe Sector UCITS ETF 1D EUR Dis.

WKN
ISIN
KVG
Ossiam
WKN
KVG
Ossiam
ISIN

99,010 EUR
+0,070 EUR+0,07 %
Geld
98,260 EUR
(50 Stk.)
Brief
100,280 EUR
(50 Stk.)

Fondsvolumen
Laufende Kosten
0,75 %
Benchmark
SHILLER BARCLAYS CAPE® …
Replikations­methode
Vollständig
Ertrags­ver­wendung
Ausschüttend
Morningstar ESG-Rating

Zusammensetzung nach Branchen

KonsumgüterRohstoffeGesundheitswesenEnergieIndustrie
Stand:
  • Konsumgüter (26,2 %)
  • Rohstoffe (26,0 %)
  • Gesundheitswesen (24,8 %)
  • Energie (22,6 %)

Zusammensetzung nach Land

SchweizGroßbritannienFrankreichDeutschlandDänemarkItalienNorwegenSpanienNiederlandeÖsterreichPortugalLuxemburgFinnlandSchwedenIrlandBelgien
Stand:
  • Schweiz (24,4 %)
  • Großbritannien (19,9 %)
  • Frankreich (15,3 %)
  • Deutschland (7,0 %)

Zusammensetzung nach Instrument

Aktien
Stand:
  • Aktien (99,9 %)

Zusammensetzung nach Währung

EuroSchweizer FrankenPfund SterlingUS-DollarDänische KronenNorwegische KroneSchwedische Krone
Stand:
  • Euro (44,7 %)
  • Schweizer Franken (22,5 %)
  • Pfund Sterling (11,3 %)
  • US-Dollar (10,3 %)

Top Holdings zu Ossiam ESG Shiller Barclays CAPE Europe Sector UCITS ETF 1D EUR Dis.

WertpapiernameAnteil
L'Oreal
Aktie · WKN 853888 · ISIN FR0000120321
4,99 %
Air Liquide
Aktie · WKN 850133 · ISIN FR0000120073
4,81 %
Unilever
Aktie · WKN A0JNE2 · ISIN GB00B10RZP78
4,73 %
Nestlé
Aktie · WKN A0Q4DC · ISIN CH0038863350
4,69 %
Roche
Aktie · WKN 855167 · ISIN CH0012032048
4,21 %
BASF
Aktie · WKN BASF11 · ISIN DE000BASF111
4,15 %
Eni
Aktie · WKN 897791 · ISIN IT0003132476
4,14 %
Novartis
Aktie · WKN 904278 · ISIN CH0012005267
4,12 %
Repsol
Aktie · WKN 876845 · ISIN ES0173516115
4,10 %
AstraZeneca
Aktie · WKN 886455 · ISIN GB0009895292
4,08 %
Summe:44,02 %
Stand:

ETF-Strategie zu Ossiam ESG Shiller Barclays CAPE Europe Sector UCITS ETF 1D EUR Dis.

The objective of the Fund is to deliver the net total returns of a selection of Europe equities which are part of the Shiller Barclays CAPE® Europe Sector Value Net TR Index (the 'Investment Universe'), while consistently integrating environmental, social and governance ('ESG') matters. The Index is sponsored by Barclays Bank plc. The Index is published and calculated by Bloomberg Index Service Limited. The Fund's Investment Universe consists solely of European equities included in the Shiller Barclays CAPE Europe Sector Value Net TR index, while consistently integrating environmental, social and governance ('ESG') issues. The Management Company's quantitative model implements a rule-based thematic approach that aims to evaluate the securities in the Investment Universe on the basis of ethical criteria and their contributions to greenhouse gas emissions. The Fund uses the 'Best-in-Class Filter' and excludes at least the bottom 20% of stocks in each sector of the Investment Universe according to ESG and carbon emission criteria. Stocks passing this filter then go through a 'Normative Filter', which aims to eliminate stocks of companies involved in serious violations of broadly international standards relating to responsible corporate behavior and controversial business activities. The Fund promotes environmental or social characteristics, or a combination of both, but does not aim for sustainable investment. Under certain market conditions, it may not be possible to optimize all constraints at the same time. In such circumstances, the Management Company may proportionally reduce some of these constraints. For a detailed description of the Investment Universe, please refer to the Investment Strategy section of the Fund Supplement.