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SDWD - iShares MSCI World ESG Screened UCITS ETF USD (Dist) (IE00BFNM3K80)

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(%)
IE00BFNM3K80
SDWD ISIN
Borsa Yatırım Fonları (BYF)
Fon türü
BlackRock
Sağlayıcı
12,07 USD
Hisse başına net varlık değeri | 19.06.2026
19.10.2018
Başlangıç ​​tarihi
2 yılda ... kez
Temettü ödemeleri
CEOIES
CFI
SDWD
Menkul değer sembolü
Formed
Status
Equity
Yatırım kategorisi
Environmental social and corporate governance & Corporate Social Responsibility
Sektör
Global
Coğrafya
MSCI World ESG Screened Index
Karşılaştırma ölçütü (benchmark)
0.2 %
Toplam Maliyet Oranı
7.493,43 milyon USD
Fonun toplam varlıkları | 19.06.2026
1.320,63 milyon USD
Hisse senedi sınıfı varlıkları | 19.06.2026
Evet
UCITS

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Kotasyonlar (SDWD)

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1 000 000

tahvi̇ller

80 234

hisse senetleri

167 970

ETF & Funds

80 000

endeksler

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Fund profile

The iShares MSCI World ESG Screened UCITS ETF seeks to replicate as close as possible the price and yield performance of the MSCI World ESG Screened Index by investing in a portfolio comprised primarily of global companies that stand with ESG criteria

SDWD profile

The iShares MSCI World ESG Screened 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 19.10.2018 with unique ISIN - IE00BFNM3K80. Main exchange is London S.E. (USD) and ticker symbol is SDWD. The total expense ratio is 0.2%. The iShares MSCI World ESG Screened UCITS ETF USD (Dist) pays dividends 2 time(s) per year.

Yapı SDWD on 19.06.2026

Menkul kıymet Değer
NVIDIA CORP 5,87%
APPLE INC 5,28%
MICROSOFT CORP 3,23%
AMAZON.COM INC 2,86%
ALPHABET INC CLASS A 2,59%
BROADCOM INC 2,23%
ALPHABET INC CLASS C 2,05%
MICRON TECHNOLOGY INC 1,54%
META PLATFORMS INC CLASS A 1,53%
TESLA INC 1,36%
ELI LILLY 1,07%
ADVANCED MICRO DEVICES INC 1,06%
JPMORGAN CHASE & CO 1,05%
ASML HOLDING NV 0,89%
BERKSHIRE HATHAWAY INC CLASS B 0,82%
INTEL CORPORATION 0,71%
EXXON MOBIL CORP 0,69%
JOHNSON & JOHNSON 0,66%
VISA INC CLASS A 0,66%
WALMART INC 0,62%
LAM RESEARCH CORP 0,59%
APPLIED MATERIAL INC 0,59%
CISCO SYSTEMS INC 0,57%
CATERPILLAR INC 0,56%
COSTCO WHOLESALE CORP 0,51%
MASTERCARD INC CLASS A 0,48%
ABBVIE INC 0,46%
BANK OF AMERICA CORP 0,46%
GE AEROSPACE 0,45%
UNITEDHEALTH GROUP INC 0,44%
KLA CORP 0,41%
HOME DEPOT INC 0,4%
NETFLIX INC 0,4%
HSBC HOLDINGS PLC 0,39%
GOLDMAN SACHS GROUP INC 0,39%
ORACLE CORP 0,38%
GE VERNOVA INC 0,36%
TEXAS INSTRUMENT INC 0,35%
MERCK & CO INC 0,34%
ROCHE PS PAR AG 0,34%
PALANTIR TECHNOLOGIES INC CLASS A 0,34%
ROYAL BANK OF CANADA 0,34%
NOVARTIS AG 0,32%
ASTRAZENECA PLC 0,32%
MORGAN STANLEY 0,32%
MARVELL TECHNOLOGY INC 0,32%
WESTERN DIGITAL CORP 0,31%
WELLS FARGO 0,3%
CITIGROUP INC 0,29%
QUALCOMM INC 0,29%
LINDE PLC 0,29%
SIEMENS N AG 0,28%
SEAGATE TECHNOLOGY HOLDINGS PLC 0,28%
PALO ALTO NETWORKS INC 0,28%
INTERNATIONAL BUSINESS MACHINES CO 0,28%
BHP GROUP LTD 0,27%
MITSUBISHI UFJ FINANCIAL GROUP INC 0,26%
KIOXIA HOLDINGS CORP 0,26%
ANALOG DEVICES INC 0,26%
TOKYO ELECTRON LTD 0,26%
AMPHENOL CORP CLASS A 0,25%
TORONTO DOMINION 0,24%
BANCO SANTANDER 0,24%
MCDONALDS CORP 0,24%
COMMONWEALTH BANK OF AUSTRALIA 0,23%
VERIZON COMMUNICATIONS INC 0,23%
ARISTA NETWORKS INC 0,22%
WALT DISNEY 0,22%
AMERICAN EXPRESS 0,22%
SCHNEIDER ELECTRIC 0,22%
AMGEN INC 0,22%
TJX INC 0,22%
NEXTERA ENERGY INC 0,22%
CROWDSTRIKE HOLDINGS INC CLASS A 0,21%
ALLIANZ 0,21%
THERMO FISHER SCIENTIFIC INC 0,21%
ABB LTD 0,21%
SOFTBANK GROUP CORP 0,2%
EATON PLC 0,2%
TOTALENERGIES 0,2%
TOYOTA MOTOR CORP 0,19%
UBS GROUP AG 0,19%
SAP 0,19%
CORNING INC 0,19%
ABBOTT LABORATORIES 0,19%
BLACKROCK INC 0,19%
AT&T INC 0,19%
ROLLS-ROYCE HOLDINGS PLC 0,19%
GILEAD SCIENCES INC 0,19%
CHARLES SCHWAB CORP 0,18%
UNION PACIFIC CORP 0,18%
SUMITOMO MITSUI FINANCIAL GROUP IN 0,18%
DEERE 0,18%
ADVANTEST CORP 0,18%
WELLTOWER INC 0,18%
PFIZER INC 0,17%
IBERDROLA SA 0,17%
INTUITIVE SURGICAL INC 0,17%
NOVO NORDISK CLASS B 0,17%
USD CASH 0,17%
Other - %

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