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SPFH - SPDR MSCI World UCITS ETF Hedged (EUR) (Acc) (IE000BZ1HVL2)

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(%)
IE000BZ1HVL2
SPFH ISIN
Fonds négociés en bourse (FNB)
Type de fonds
SPDR State Street Global Advisors
Fournisseur
15,84 EUR
valeur liquidative par action | 24/07/2026
19/07/2023
Date de lancement
Non
Paiement de dividendes
CEOGES
CFI
SPFH
Ticker
Formed
Status
Equity
Objet d'investissement
Broad Market
Secteur
Global
Géographie
MSCI World 100% Hedged to EUR Index
Benchmark
0.17 %
Ratio de coût total
Physical
Méthode de réplication
1.774,18 mln USD
Actif total du fonds | 24/10/2022
813,74 mln EUR
Volume des actits de classe "actions" | 24/07/2026
Oui
UCITS

Rendement au 24/07/2026, XETRA

  • YTD
    6,54 %
  • 1M
    2,05 %
  • 3M
    4,33 %
  • 6M
    10,43 %
  • 1Y
    21,7 %
  • 3Y
    -
  • 5Y
    -
  • 10Y
    -
Au prix de la bourse, avec prise en compte des paiements

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Fund profile

The SPDR MSCI World UCITS ETF seeks to replicate as closely as possible the price and yield performance of the MSCI World Index by investing in a portfolio comprised primarily of equity securities of global companies

SPFH profile

The SPDR MSCI World UCITS ETF Hedged (EUR) (Acc) is a(n) Equity Exchange Traded Funds (ETF) seeks to invest in Broad Market sector located in Global. The SPDR State Street Global Advisors fund’s base currency is USD and the share class was registered 19.07.2023 with unique ISIN - IE000BZ1HVL2. Main exchange is XETRA and ticker symbol is SPFH. The total expense ratio is 0.17%. The SPDR MSCI World UCITS ETF Hedged (EUR) (Acc) pays dividends 0 time(s) per year.

Structure SPFH au 23/07/2026

Titre Valeur
NVIDIA Corporation 5,46%
Apple Inc. 5,36%
Microsoft Corporation 3,05%
Amazon.com Inc. 2,57%
Alphabet Inc. Class A 2,1%
Broadcom Inc. 2%
Alphabet Inc. Class C 1,66%
Meta Platforms Inc Class A 1,5%
Micron Technology Inc. 1,26%
Eli Lilly and Company 1,08%
JPMorgan Chase & Co. 1,07%
Tesla Inc. 1,02%
Advanced Micro Devices Inc. 1%
ASML Holding NV 0,78%
Berkshire Hathaway Inc. Class B 0,77%
Exxonmobil Holdings Corporation 0,74%
Johnson & Johnson 0,71%
Visa Inc. Class A 0,66%
Walmart Inc. 0,53%
AbbVie Inc. 0,51%
Applied Materials Inc. 0,5%
Mastercard Incorporated Class A 0,5%
Intel Corporation 0,5%
Cisco Systems Inc. 0,5%
Caterpillar Inc. 0,47%
Bank of America Corp 0,47%
Costco Wholesale Corporation 0,46%
Lam Research Corporation 0,45%
UnitedHealth Group Incorporated 0,44%
GE Aerospace 0,42%
Chevron Corporation 0,41%
HSBC Holdings Plc 0,39%
Procter & Gamble Company 0,39%
Home Depot Inc. 0,36%
Merck & Co. Inc. 0,36%
Goldman Sachs Group Inc. 0,36%
Coca-Cola Company 0,35%
Roche Holding Ltd 0,34%
Philip Morris International Inc. 0,34%
Royal Bank of Canada 0,33%
Novartis AG 0,33%
KLA Corporation 0,33%
Netflix Inc. 0,33%
GE Vernova Inc. 0,32%
Wells Fargo & Company 0,31%
RTX Corporation 0,31%
Palantir Technologies Inc. Class A 0,31%
Palo Alto Networks Inc. 0,3%
Texas Instruments Incorporated 0,29%
AstraZeneca PLC 0,29%
Morgan Stanley 0,29%
Mitsubishi UFJ Financial Group Inc. 0,28%
Shell Plc 0,28%
Nestle S.A. 0,28%
Linde plc 0,27%
Siemens AG 0,26%
Citigroup Inc. 0,25%
BHP Group Ltd 0,25%
Thermo Fisher Scientific Inc. 0,24%
Oracle Corporation 0,23%
Toronto-Dominion Bank 0,23%
Commonwealth Bank of Australia 0,23%
Seagate Technology Holdings PLC 0,23%
Western Digital Corporation 0,22%
Amgen Inc. 0,22%
Arista Networks Inc 0,22%
Amphenol Corporation Class A 0,22%
Banco Santander S.A. 0,21%
International Business Machines Corporation 0,21%
American Express Company 0,21%
NextEra Energy Inc. 0,21%
CrowdStrike Holdings Inc. Class A 0,21%
Analog Devices Inc. 0,21%
Verizon Communications Inc. 0,21%
QUALCOMM Incorporated 0,2%
McDonald's Corporation 0,2%
Marvell Technology Inc. 0,2%
Union Pacific Corporation 0,2%
PepsiCo Inc. 0,2%
Abbott Laboratories 0,2%
TotalEnergies SE 0,2%
Allianz SE 0,2%
Toyota Motor Corp. 0,2%
Tokyo Electron Ltd. 0,19%
Welltower Inc. 0,19%
TJX Companies Inc 0,19%
UBS Group AG 0,19%
Charles Schwab Corp 0,19%
Eaton Corp. Plc 0,19%
Schneider Electric SE 0,18%
Walt Disney Company 0,18%
Gilead Sciences Inc. 0,18%
AT&T Inc 0,18%
Boeing Company 0,18%
Deere & Company 0,18%
Novo Nordisk A/S Class B 0,17%
Sumitomo Mitsui Financial Group Inc. 0,17%
BlackRock Inc. 0,17%
Iberdrola SA 0,17%
Rolls-Royce Holdings plc 0,17%
Autres - %

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