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SAWI - iShares MSCI ACWI SRI UCITS ETF (USD) (Dist) (IE00013A2XD6)

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(%)
IE00013A2XD6
SAWI ISIN
Fonds négociés en bourse (FNB)
Type de fonds
BlackRock
Fournisseur
8,23 USD
valeur liquidative par action | 14/07/2026
07/12/2022
Date de lancement
2 fois par an
Paiement de dividendes
CEOIES
CFI
SAWI
Ticker
Formed
Status
Equity
Objet d'investissement
Environmental social and corporate governance & Corporate Social Responsibility
Secteur
Global
Géographie
MSCI ACWI SRI Select Reduced Fossil Fuel Index
Benchmark
0.2 %
Ratio de coût total
Physical
Méthode de réplication
143,54 mln USD
Actif total du fonds | 13/07/2026
Oui
UCITS

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Fund profile

The iShares MSCI ACWI SRI UCITS ETF seeks to replicate as close as possible the price and yield performance of the MSCI ACWI SRI Select Reduced Fossil Fuel Index by investing in a portfolio comprised primarily of companies included in the MSCI ACWI Index, selected on the basis of correspondence to ESG criteria

SAWI profile

The iShares MSCI ACWI SRI UCITS ETF (USD) (Dist) is a(n) Equity Exchange Traded Funds (ETF) seeks to invest in Environmental social and corporate governance & Corporate Social Responsibility sector located in Global. The BlackRock fund’s base currency is USD and the share class was registered 07.12.2022 with unique ISIN - IE00013A2XD6. Main exchange is Euronext Amsterdam and ticker symbol is SAWI. The total expense ratio is 0.2%. The iShares MSCI ACWI SRI UCITS ETF (USD) (Dist) pays dividends 2 time(s) per year.

Structure SAWI au 13/07/2026

Titre Valeur
NVIDIA CORP 7,18%
TAIWAN SEMICONDUCTOR MANUFACTURING 4,92%
TESLA INC 3,58%
ASML HOLDING NV 3,31%
VISA INC CLASS A 2,42%
APPLIED MATERIAL INC 2,21%
LAM RESEARCH CORP 2%
VERIZON COMMUNICATIONS INC 1,52%
WALT DISNEY 1,45%
COCA-COLA 1,32%
PALO ALTO NETWORKS INC 1,3%
GE VERNOVA INC 1,14%
NOVARTIS AG 1,12%
HOME DEPOT INC 1,08%
TOKYO ELECTRON LTD 0,95%
WESTERN DIGITAL CORP 0,93%
MARVELL TECHNOLOGY INC 0,9%
TORONTO DOMINION 0,81%
SAP 0,81%
AMGEN INC 0,79%
PEPSICO INC 0,77%
AMERICAN EXPRESS 0,76%
SCHNEIDER ELECTRIC 0,68%
GILEAD SCIENCES INC 0,66%
ABB LTD 0,66%
SUMITOMO MITSUI FINANCIAL GROUP IN 0,63%
DEERE 0,58%
SERVICENOW INC 0,56%
DELTA ELECTRONICS INC 0,56%
PROGRESSIVE CORP 0,55%
S&P GLOBAL INC 0,53%
HITACHI LTD 0,52%
CADENCE DESIGN SYSTEMS INC 0,5%
VERTEX PHARMACEUTICALS INC 0,5%
BHARTI AIRTEL LTD 0,47%
ZURICH INSURANCE GROUP AG 0,45%
ADOBE INC 0,45%
STRYKER CORP 0,45%
BOOKING HOLDINGS INC 0,44%
BANK OF NOVA SCOTIA 0,44%
KDDI CORP 0,43%
TRANE TECHNOLOGIES PLC 0,43%
LOREAL SA 0,43%
BANK OF NEW YORK MELLON CORP 0,42%
EQUINIX REIT INC 0,42%
AUTOMATIC DATA PROCESSING INC 0,41%
PNC FINANCIAL SERVICES GROUP INC 0,41%
ACCENTURE PLC CLASS A 0,41%
RECRUIT HOLDINGS LTD 0,41%
ELECTRONIC ARTS INC 0,4%
AIA GROUP LTD 0,4%
US BANCORP 0,39%
NETEASE INC 0,39%
SONY GROUP CORP 0,39%
INTUIT INC 0,39%
SYNOPSYS INC 0,38%
ELEVANCE HEALTH INC 0,38%
LOWES COMPANIES INC 0,38%
ING GROEP NV 0,37%
CUMMINS INC 0,37%
JOHNSON CONTROLS INTERNATIONAL PLC 0,36%
CHINA CONSTRUCTION BANK CORP H 0,34%
NXP SEMICONDUCTORS NV 0,34%
TOKIO MARINE HOLDINGS INC 0,34%
AXA SA 0,33%
CIGNA 0,33%
SOFTBANK CORP 0,33%
AMERICAN TOWER REIT CORP 0,32%
INTERCONTINENTAL EXCHANGE INC 0,31%
EXELON CORP 0,31%
MUENCHENER RUECKVERSICHERUNGS-GESE 0,3%
HEWLETT PACKARD ENTERPRISE 0,3%
MOODYS CORP 0,3%
TRAVELERS COMPANIES INC 0,3%
NOKIA 0,29%
AGNICO EAGLE MINES LTD 0,29%
SK SQUARE LTD 0,29%
ECOLAB INC 0,28%
UNITED RENTALS INC 0,28%
CRH PUBLIC LIMITED PLC 0,28%
MERCADOLIBRE INC 0,27%
UNITED MICRO ELECTRONICS CORP 0,27%
KEYSIGHT TECHNOLOGIES INC 0,27%
NATIONAL BANK OF CANADA 0,25%
DIGITAL REALTY TRUST REIT INC 0,25%
HCA HEALTHCARE INC 0,25%
TARGET CORP 0,25%
WW GRAINGER INC 0,25%
COMFORT SYSTEMS USA INC 0,24%
RELX PLC 0,24%
ESSILORLUXOTTICA SA 0,24%
OREILLY AUTOMOTIVE INC 0,23%
HILTON WORLDWIDE HOLDINGS INC 0,23%
SAMSUNG ELECTRO MECHANICS LTD 0,23%
SOCIETE GENERALE SA 0,22%
LONDON STOCK EXCHANGE GROUP PLC 0,22%
AUTODESK INC 0,22%
HOYA CORP 0,22%
DANONE SA 0,22%
EDWARDS LIFESCIENCES CORP 0,21%
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