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HSWO - HSBC Developed World Sustainable Equity UCITS ETF (USD) (IE00BKY59K37)

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(%)
IE00BKY59K37
HSWO ISIN
Exchange Traded Funds (ETF)
Fondstyp
HSBC Asset Management
Anbieter
33,89 USD
NAV pro Aktie | 16/07/2026
09/07/2020
Startdatum
Nein
Ausschüttung von Dividenden
CEOGES
CFI
HSWO
Ticker
Formed
Status
Equity
Investitionsobjekt
Environmental social and corporate governance & Corporate Social Responsibility
Sektor
Developed markets
Geographie
FTSE Developed ESG Low Carbon Select Index
Benchmark
0.18 %
Gesamtkostenquote
371,8 Mio. USD
Gesamtes Fondsvermögen | 01/05/2026
Ja
UCITS

Rendite auf 17/07/2026, London S.E.

  • YTD
    9,71 %
  • 1M
    4,5 %
  • 3M
    6,64 %
  • 6M
    12,54 %
  • 1J
    26,3 %
  • 3J
    58,95 %
  • 5J
    -
  • 10J
    -
Zum Börsenpreis einschliesslich Einkommenszahlungen

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Kurse (HSWO)

Entdecken Sie die umfangreichste Datenbank

1 000 000

Anleihen weltweit

100 000

Aktien

175 910

ETF & Funds

100 000

Indizes

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HSWO profile

The HSBC Developed World Sustainable Equity UCITS ETF (USD) is a(n) Equity Exchange Traded Funds (ETF) seeks to invest in Environmental social and corporate governance & Corporate Social Responsibility sector located in Developed markets. The HSBC Asset Management fund’s base currency is USD and the share class was registered 09.07.2020 with unique ISIN - IE00BKY59K37. Main exchange is London S.E. and ticker symbol is HSWO. The total expense ratio is 0.18%. The HSBC Developed World Sustainable Equity UCITS ETF (USD) pays dividends 0 time(s) per year.

Struktur HSWO auf 14/07/2026

Wertpapier Wertpapier
Johnson & Johnson 6,25%
Visa Inc Class A 6,22%
Microsoft Corp 6,09%
Cisco Systems Inc 4,74%
NVIDIA Corp 3,34%
Apple Inc 2,68%
Intel Corp 2,49%
Mitsubishi UFJ Financial Group Inc 2,07%
Merck & Co Inc 1,5%
Advanced Micro Devices Inc 1,49%
Citigroup Inc 1,44%
Amazon.com Inc 1,36%
Samsung Electronics Co Ltd 1,24%
Verizon Communications Inc 1,01%
Johnson Controls International PLC Registered Shares 0,98%
Wells Fargo & Co 0,97%
MSCI World USD Net Total Return Future Sept 26 0,94%
Alphabet Inc Class A 0,9%
Royal Bank of Canada 0,87%
Meta Platforms Inc Class A 0,81%
Newmont Corp 0,79%
Capital Cash Ctrl 0,77%
National Australia Bank Ltd 0,75%
General Motors Co 0,74%
Alphabet Inc Class C 0,73%
Texas Instruments Inc 0,72%
Mizuho Financial Group Inc 0,72%
Barclays PLC 0,72%
Linde PLC 0,71%
Nestle SA 0,71%
Amgen Inc 0,7%
Ecolab Inc 0,69%
Hewlett Packard Enterprise Co 0,65%
Allstate Corp 0,63%
Enel SpA 0,59%
L'Oreal SA 0,57%
Salesforce Inc 0,54%
The Home Depot Inc 0,53%
UBS Group AG Registered Shares 0,53%
eBay Inc 0,52%
Usd Capital Cash 0,52%
Micron Technology Inc 0,51%
Coca-Cola Co 0,51%
Qualcomm Inc 0,51%
Marvell Technology Inc 0,51%
Accenture PLC Class A 0,51%
ServiceNow Inc 0,5%
BNP Paribas Act. Cat.A 0,49%
ING Groep NV 0,48%
Toyota Motor Corp 0,48%
Canadian Imperial Bank of Commerce 0,46%
Lloyds Banking Group PLC 0,46%
Nokia Oyj 0,46%
Iberdrola SA 0,45%
AT&T Inc 0,45%
Novartis AG Registered Shares 0,43%
PepsiCo Inc 0,41%
Deutsche Boerse AG 0,39%
The Hartford Insurance Group Inc 0,38%
Diageo PLC 0,38%
DBS Group Holdings Ltd 0,37%
SK Hynix Inc 0,34%
Bank of Nova Scotia 0,34%
Bank of Montreal 0,33%
Siemens AG 0,32%
ITOCHU Corp 0,32%
Morgan Stanley 0,31%
ASML Holding NV 0,27%
Fast Retailing Co Ltd 0,26%
Teck Resources Ltd Class B (Sub Voting) 0,26%
Sun Life Financial Inc 0,26%
Zurich Insurance Group AG 0,26%
Aviva PLC 0,26%
KBC Groupe NV 0,26%
Eversource Energy 0,25%
Commonwealth Bank of Australia 0,25%
Fifth Third Bancorp 0,25%
Skandinaviska Enskilda Banken AB Class A 0,23%
JPMorgan Chase & Co 0,23%
Workday Inc Class A 0,23%
Regeneron Pharmaceuticals Inc 0,23%
Schneider Electric SE 0,23%
Autodesk Inc 0,23%
Deutsche Bank AG 0,23%
Manulife Financial Corp 0,22%
Mastercard Inc Class A 0,22%
Cintas Corp 0,22%
Samsung Electro-Mechanics Co Ltd 0,21%
TJX Companies Inc 0,21%
SoftBank Corp 0,2%
NatWest Group PLC 0,2%
Applied Materials Inc 0,2%
KDDI Corp 0,2%
HSBC Holdings PLC 0,19%
Hyundai Mobis Co Ltd 0,19%
Eli Lilly and Co 0,18%
Nomura Holdings Inc 0,18%
Deutsche Telekom AG 0,18%
Westpac Banking Corp 0,17%
Analog Devices Inc 0,17%
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