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SSAC - iShares MSCI ACWI UCITS ETF USD (Acc) (IE00B6R52259)

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(%)
IE00B6R52259
SSAC ISIN
Fonds négociés en bourse (FNB)
Type de fonds
BlackRock
Fournisseur
119,92 USD
valeur liquidative par action | 12/06/2026
21/10/2011
Date de lancement
Non
Paiement de dividendes
CEOGMS
CFI
SSAC
Ticker
Formed
Status
Equity
Objet d'investissement
Broad Market
Secteur
Global
Géographie
MSCI ACWI Index
Benchmark
0.2 %
Ratio de coût total
34.292,9 mln USD
Actif total du fonds | 12/06/2026
33.152,02 mln USD
Volume des actits de classe "actions" | 12/06/2026
Oui
UCITS

Rendement au 12/06/2026, London S.E.

  • YTD
    8,99 %
  • 1M
    2,93 %
  • 3M
    5,8 %
  • 6M
    10,81 %
  • 1Y
    25,43 %
  • 3Y
    62,34 %
  • 5Y
    -
  • 10Y
    -
Au prix de la bourse, avec prise en compte des paiements

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Cotations (SSAC)

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Fund profile

The iShares MSCI ACWI UCITS ETF seeks to replicate as close as possible the price and yield performance of the MSCI ACWI Index by investing in a portfolio comprised primarily of companies across developed and emerging countries

SSAC profile

The iShares MSCI ACWI UCITS ETF USD (Acc) is a(n) Equity Exchange Traded Funds (ETF) seeks to invest in Broad Market sector located in Global. The BlackRock fund’s base currency is USD and the share class was registered 21.10.2011 with unique ISIN - IE00B6R52259. Main exchange is London S.E. and ticker symbol is SSAC. The total expense ratio is 0.2%. The iShares MSCI ACWI UCITS ETF USD (Acc) pays dividends 0 time(s) per year.

Structure SSAC au 11/06/2026

Titre Valeur
NVIDIA CORP 4,73%
APPLE INC 4,34%
MICROSOFT CORP 2,75%
AMAZON.COM INC 2,34%
ALPHABET INC CLASS A 2,08%
TAIWAN SEMICONDUCTOR MANUFACTURING 1,75%
BROADCOM INC 1,73%
ALPHABET INC CLASS C 1,65%
ProShares Short Basic Materials 1,29%
META PLATFORMS INC CLASS A 1,25%
TESLA INC 1,12%
MICRON TECHNOLOGY INC 1,12%
ELI LILLY 0,93%
SAMSUNG ELECTRONICS LTD 0,91%
JPMORGAN CHASE & CO 0,85%
ADVANCED MICRO DEVICES INC 0,8%
SK HYNIX INC 0,76%
ASML HOLDING NV 0,7%
BERKSHIRE HATHAWAY INC CLASS B 0,68%
EXXON MOBIL CORP 0,61%
JOHNSON & JOHNSON 0,57%
VISA INC CLASS A 0,54%
WALMART INC 0,52%
INTEL CORPORATION 0,52%
CISCO SYSTEMS INC 0,48%
iShares TA-35 Israel UCITS ETF 0,46%
LAM RESEARCH CORP 0,46%
iShares UK Property UCITS ETF 0,44%
APPLIED MATERIAL INC 0,43%
COSTCO WHOLESALE CORP 0,43%
CATERPILLAR INC 0,41%
MASTERCARD INC CLASS A 0,41%
ABBVIE INC 0,4%
BANK OF AMERICA CORP 0,38%
TENCENT HOLDINGS LTD 0,36%
UNITEDHEALTH GROUP INC 0,36%
CHEVRON CORP 0,35%
GE AEROSPACE 0,35%
PROCTER & GAMBLE 0,34%
NETFLIX INC 0,34%
COCA-COLA 0,33%
HOME DEPOT INC 0,32%
ProShares Ultra 7-10 Year Treasury 0,31%
KLA CORP 0,31%
GOLDMAN SACHS GROUP INC 0,31%
ORACLE CORP 0,31%
HSBC HOLDINGS PLC 0,3%
PALANTIR TECHNOLOGIES INC CLASS A 0,3%
MERCK & CO INC 0,29%
ROCHE PS PAR AG 0,28%
NOVARTIS AG 0,28%
ROYAL BANK OF CANADA 0,28%
PHILIP MORRIS INTERNATIONAL INC 0,27%
ASTRAZENECA PLC 0,27%
TEXAS INSTRUMENT INC 0,27%
WELLS FARGO 0,26%
MORGAN STANLEY 0,25%
INTERNATIONAL BUSINESS MACHINES CO 0,25%
NESTLE SA 0,25%
CITIGROUP INC 0,25%
SHELL PLC 0,24%
GE VERNOVA INC 0,24%
RTX CORP 0,24%
LINDE PLC 0,24%
MARVELL TECHNOLOGY INC 0,24%
ALIBABA GROUP HOLDING LTD 0,23%
SIEMENS N AG 0,22%
PALO ALTO NETWORKS INC 0,22%
MITSUBISHI UFJ FINANCIAL GROUP INC 0,22%
QUALCOMM INC 0,22%
BHP GROUP LTD 0,21%
ANALOG DEVICES INC 0,2%
MCDONALDS CORP 0,2%
TOKYO ELECTRON LTD 0,2%
USD CASH 0,2%
TORONTO DOMINION 0,19%
AMGEN INC 0,19%
PEPSICO INC 0,19%
TJX INC 0,19%
VERIZON COMMUNICATIONS INC 0,19%
COMMONWEALTH BANK OF AUSTRALIA 0,19%
WESTERN DIGITAL CORP 0,18%
MEDIATEK INC 0,18%
AMPHENOL CORP CLASS A 0,18%
SEAGATE TECHNOLOGY HOLDINGS PLC 0,18%
AMERICAN EXPRESS 0,18%
WALT DISNEY 0,18%
THERMO FISHER SCIENTIFIC INC 0,18%
TOTALENERGIES 0,18%
BANCO SANTANDER 0,17%
NEXTERA ENERGY INC 0,17%
BOEING 0,17%
ARISTA NETWORKS INC 0,17%
CROWDSTRIKE HOLDINGS INC CLASS A 0,17%
SAP 0,17%
TOYOTA MOTOR CORP 0,16%
ALLIANZ 0,16%
SCHNEIDER ELECTRIC 0,16%
AT&T INC 0,16%
ABB LTD 0,16%
Autres - %

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