Composição do CSPX: lista de ações e pesos

iShares Core S&P 500 UCITS ETF (USD Acc)

503 posições em ações com peso positivo nos dados · BlackRock (iShares) · composição em 2026-08-31

Esta lista cobre as posições em ações presentes nos dados. Caixa, derivativos, opções, notas estruturadas e outros ativos que não são ações ficam de fora, então os pesos listados podem não somar 100% e não são um inventário completo de todos os ativos do fundo.

O que o CSPX realmente tem na carteira?

O CSPX (iShares Core S&P 500 UCITS ETF (USD Acc)) tem 503 posições em ações com peso positivo presentes nos dados em 2026-08-31. A fonte é issuer UCITS holdings file da BlackRock (iShares). As três maiores posições são Nvidia com 8,07%, Apple com 7,02% e Microsoft com 5,69% do fundo. As dez maiores posições em ações somam 37,8 pontos percentuais da exposição informada do fundo. A maior exposição setorial é Technology, com 38,2%. Entre os 80 fundos acompanhados aqui, o CSPX se sobrepõe mais com o SPY, compartilhando 96,3% do peso pelo método do menor dos dois. Quem tem o CSPX ao lado de outro fundo amplo pode ter as mesmas empresas duas vezes sem perceber, porque a alocação por fundo não diz nada sobre as ações por baixo. Todos os pesos desta página são lidos do conjunto de dados datado de 2026-08-31, não estimados nem modelados pelo OverlapCheck.

Holdings source and freshness

Issuer
BlackRock (iShares)
Source type
issuer UCITS holdings file (issuer_ucits)
Holdings as of
Source status
fallback
Source checked
Filing date
Not supplied in the dataset
SEC accession
Not supplied in the dataset
Source link
Not supplied in the dataset

Todas as 503 posições em ações presentes estão disponíveis nesta página. As 500 maiores vêm no HTML inicial; pesquise ou carregue mais para navegar pelo restante em blocos. As dez maiores somam 37,8 pontos percentuais da exposição informada em issuer UCITS holdings file de 2026-08-31.

CSPX equity holdings

Showing the largest 500 of 503 positive-weight equity holdings in the initial HTML, ordered from highest to lowest reported weight. Search or load additional chunks to browse the complete list without leaving this page.

Showing 500 of 503 holdings.

CSPX positive-weight equity holdings
# Company Ticker % of fund
1 Nvidia NVDA 8.07%
2 Apple AAPL 7.02%
3 Microsoft MSFT 5.69%
4 Amazon.Com Inc AMZN 3.84%
5 Alphabet Class A GOOGL 3.00%
6 Broadcom Inc AVGO 2.65%
7 Alphabet Class C GOOG 2.39%
8 Meta Platforms Class A META 1.90%
9 Micron Technology MU 1.63%
10 Tesla Inc TSLA 1.56%
11 Jpmorgan Chase & Co JPM 1.44%
12 Berkshire Hathaway Inc Class B BRKB 1.39%
13 Eli Lilly LLY 1.38%
14 Advanced Micro Devices AMD 1.16%
15 Exxonmobil Holdings Corp XOM 1.01%
16 Johnson & Johnson JNJ 0.97%
17 Visa Class A V 0.95%
18 Mastercard Class A MA 0.72%
19 Walmart Inc WMT 0.69%
20 Abbvie ABBV 0.68%
21 Intel Corporation INTC 0.67%
22 Cisco Systems Inc CSCO 0.66%
23 Palantir Technologies Class A PLTR 0.65%
24 Costco Wholesale Corp COST 0.63%
25 Bank Of America BAC 0.61%
26 Chevron CVX 0.58%
27 Lam Research LRCX 0.57%
28 Applied Material Inc AMAT 0.55%
29 Caterpillar Inc CAT 0.55%
30 Merck & Co Inc MRK 0.55%
31 Ge Aerospace GE 0.53%
32 Unitedhealth Group Inc UNH 0.53%
33 Coca-Cola KO 0.52%
34 Netflix NFLX 0.51%
35 Procter & Gamble PG 0.51%
36 Home Depot HD 0.49%
37 Palo Alto Networks PANW 0.47%
38 Goldman Sachs Group GS 0.46%
39 Philip Morris International Inc PM 0.44%
40 Rtx RTX 0.42%
41 Wells Fargo WFC 0.40%
42 Morgan Stanley MS 0.39%
43 Oracle ORCL 0.38%
44 Crowdstrike Holdings Class A CRWD 0.36%
45 Ge Vernova GEV 0.36%
46 Texas Instrument Inc TXN 0.36%
47 Amgen Inc AMGN 0.35%
48 Kla KLAC 0.35%
49 Sandisk SNDK 0.35%
50 Thermo Fisher Scientific Inc TMO 0.35%
51 Citigroup C 0.34%
52 Linde Plc LIN 0.34%
53 International Business Machines IBM 0.33%
54 Salesforce CRM 0.32%
55 Arista Networks ANET 0.31%
56 Verizon Communications Inc VZ 0.31%
57 Abbott Laboratories ABT 0.29%
58 Amphenol Corp Class A APH 0.29%
59 Pepsico PEP 0.29%
60 Walt Disney DIS 0.28%
61 Marvell Technology MRVL 0.28%
62 Mcdonalds Corp MCD 0.28%
63 Seagate Technology Holdings Plc STX 0.28%
64 At&T T 0.27%
65 American Express AXP 0.27%
66 Analog Devices ADI 0.27%
67 Gilead Sciences GILD 0.27%
68 Qualcomm QCOM 0.27%
69 Charles Schwab SCHW 0.27%
70 Union Pacific UNP 0.27%
71 Nextera Energy NEE 0.26%
72 Blackrock BLK 0.25%
73 Boeing BA 0.25%
74 Deere DE 0.25%
75 Welltower WELL 0.25%
76 Conocophillips COP 0.24%
77 Pfizer PFE 0.24%
78 Eaton Plc ETN 0.24%
79 Booking Holdings BKNG 0.23%
80 Servicenow NOW 0.23%
81 Uber Technologies UBER 0.23%
82 Western Digital Corp WDC 0.23%
83 Tjx TJX 0.22%
84 Bristol Myers Squibb BMY 0.21%
85 Vertex Pharmaceuticals VRTX 0.21%
86 Capital One Financial Corp COF 0.20%
87 Danaher DHR 0.20%
88 Dell Technologies Inc Class C DELL 0.20%
89 Intuitive Surgical ISRG 0.20%
90 Newmont NEM 0.20%
91 Prologis Reit PLD 0.20%
92 S&P Global SPGI 0.20%
93 Parker-Hannifin Corp PH 0.19%
94 Progressive PGR 0.19%
95 Adobe Inc ADBE 0.18%
96 Cvs Health CVS 0.18%
97 Corning GLW 0.18%
98 Starbucks Corp SBUX 0.18%
99 Accenture Plc Class A ACN 0.18%
100 Medtronic Plc MDT 0.18%
101 Chubb CB 0.18%
102 Altria Group Inc MO 0.17%
103 Automatic Data Processing Inc ADP 0.17%
104 Bank Of New York Mellon Corp BNY 0.17%
105 Lockheed Martin Corp LMT 0.17%
106 Lowes Companies Inc LOW 0.17%
107 Stryker SYK 0.17%
108 Blackstone BX 0.16%
109 Cme Group Class A CME 0.16%
110 Equinix Reit EQIX 0.16%
111 Fortinet FTNT 0.16%
112 Freeport Mcmoran Inc FCX 0.16%
113 Marathon Petroleum MPC 0.16%
114 Mckesson Corp MCK 0.16%
115 Valero Energy Corp VLO 0.16%
116 Howmet Aerospace HWM 0.15%
117 Intuit INTU 0.15%
118 Pnc Financial Services Group PNC 0.15%
119 Phillips 66 PSX 0.15%
120 Southern SO 0.15%
121 Vertiv Holdings Class A VRT 0.15%
122 Trane Technologies Plc TT 0.15%
123 Csx CSX 0.14%
124 Cadence Design Systems CDNS 0.14%
125 Comcast Class A CMCSA 0.14%
126 Duke Energy Corp DUK 0.14%
127 General Dynamics Corp GD 0.14%
128 Intercontinental Exchange Inc ICE 0.14%
129 Marsh MRSH 0.14%
130 Quanta Services Inc PWR 0.14%
131 Slb SLB 0.14%
132 3M MMM 0.14%
133 Us Bancorp USB 0.14%
134 Williams WMB 0.14%
135 Elevance Health Inc ELV 0.13%
136 Applovin Class A APP 0.13%
137 Constellation Energy Corp CEG 0.13%
138 Doordash Class A DASH 0.13%
139 Emerson Electric EMR 0.13%
140 Robinhood Markets Class A HOOD 0.13%
141 Synopsys SNPS 0.13%
142 T Mobile Us Inc TMUS 0.13%
143 Johnson Controls International Plc JCI 0.13%
144 Airbnb Class A ABNB 0.12%
145 American Tower Reit AMT 0.12%
146 Cummins Inc CMI 0.12%
147 Datadog Inc Class A DDOG 0.12%
148 Eog Resources EOG 0.12%
149 General Motors GM 0.12%
150 Mondelez International Inc Class A MDLZ 0.12%
151 Motorola Solutions Inc MSI 0.12%
152 Norfolk Southern Corp NSC 0.12%
153 Regeneron Pharmaceuticals REGN 0.12%
154 Sherwin Williams SHW 0.12%
155 Travelers Companies TRV 0.12%
156 United Parcel Service Inc Class B UPS 0.12%
157 Waste Management Inc WM 0.12%
158 Boston Scientific Corp BSX 0.11%
159 Cigna CI 0.11%
160 Colgate-Palmolive CL 0.11%
161 Ecolab ECL 0.11%
162 Fedex Corp FDX 0.11%
163 Hilton Worldwide Holdings HLT 0.11%
164 Illinois Tool Inc ITW 0.11%
165 Kkr And Co Inc KKR 0.11%
166 Lumentum Holdings LITE 0.11%
167 Marriott International Class A MAR 0.11%
168 Moodys Corp MCO 0.11%
169 Northrop Grumman Corp NOC 0.11%
170 Oreilly Automotive Inc ORLY 0.11%
171 Ross Stores Inc ROST 0.11%
172 Target Corp TGT 0.11%
173 Warner Bros. Discovery Series A WBD 0.11%
174 Air Products And Chemicals APD 0.10%
175 Allstate Corp ALL 0.10%
176 American Electric Power Inc AEP 0.10%
177 Cencora COR 0.10%
178 Apollo Global Management APO 0.10%
179 Baker Hughes Class A BKR 0.10%
180 Cintas CTAS 0.10%
181 Digital Realty Trust Reit DLR 0.10%
182 Arthur J Gallagher AJG 0.10%
183 Hca Healthcare HCA 0.10%
184 Hewlett Packard Enterprise HPE 0.10%
185 Honeywell International Inc HON 0.10%
186 Kinder Morgan KMI 0.10%
187 Monster Beverage MNST 0.10%
188 Paccar Inc PCAR 0.10%
189 Simon Property Group Reit Inc SPG 0.10%
190 Transdigm Group TDG 0.10%
191 United Rentals URI 0.10%
192 Aon Plc Class A AON 0.10%
193 Crh Public Limited Plc CRH 0.10%
194 Royal Caribbean Group RCL 0.10%
195 Corteva CTVA 0.09%
196 Dominion Energy D 0.09%
197 Fastenal FAST 0.09%
198 Ww Grainger Inc GWW 0.09%
199 Monolithic Power Systems Inc MPWR 0.09%
200 Nucor NUE 0.09%
201 Oneok OKE 0.09%
202 Realty Income Reit O 0.09%
203 Targa Resources TRGP 0.09%
204 Truist Financial TFC 0.09%
205 Te Connectivity Plc TEL 0.09%
206 Nxp Semiconductors Nv NXPI 0.09%
207 Aflac AFL 0.08%
208 Ameriprise Finance Inc AMP 0.08%
209 Ametek Inc AME 0.08%
210 Autodesk ADSK 0.08%
211 Becton Dickinson BDX 0.08%
212 Cardinal Health CAH 0.08%
213 Carvana Class A CVNA 0.08%
214 Ciena CIEN 0.08%
215 Coherent COHR 0.08%
216 Comfort Systems Usa FIX 0.08%
217 Delta Air Lines DAL 0.08%
218 Devon Energy DVN 0.08%
219 Edwards Lifesciences EW 0.08%
220 Ford Motor Co F 0.08%
221 Honeywell Aerospace Inc HONA 0.08%
222 Keysight Technologies KEYS 0.08%
223 Metlife MET 0.08%
224 Public Storage Reit PSA 0.08%
225 Sempra SRE 0.08%
226 State Street STT 0.08%
227 Teradyne TER 0.08%
228 Agilent Technologies Inc A 0.07%
229 Autozone AZO 0.07%
230 Axon Enterprise AXON 0.07%
231 Carrier Global CARR 0.07%
232 Chipotle Mexican Grill CMG 0.07%
233 Ebay EBAY 0.07%
234 Entergy Corp ETR 0.07%
235 Exelon Corp EXC 0.07%
236 Ferguson Enterprises Inc FERG 0.07%
237 Fifth Third Bancorp FITB 0.07%
238 Humana HUM 0.07%
239 Idexx Laboratories IDXX 0.07%
240 Interactive Brokers Group Inc Clas IBKR 0.07%
241 Iqvia Holdings IQV 0.07%
242 Keurig Dr Pepper Inc KDP 0.07%
243 L3Harris Technologies LHX 0.07%
244 Moderna MRNA 0.07%
245 Nasdaq Inc NDAQ 0.07%
246 Nike Class B NKE 0.07%
247 Occidental Petroleum Corp OXY 0.07%
248 Paypal Holdings PYPL 0.07%
249 Republic Services Inc RSG 0.07%
250 Rockwell Automation Inc ROK 0.07%
251 Block Class A XYZ 0.07%
252 Veeva Systems Class A VEEV 0.07%
253 Ventas Reit VTR 0.07%
254 Vistra VST 0.07%
255 Westinghouse Air Brake Technologie WAB 0.07%
256 Xcel Energy Inc XEL 0.07%
257 Garmin GRMN 0.07%
258 Vivmark Residential VMRK 0.07%
259 American International Group AIG 0.06%
260 Archer Daniels Midland ADM 0.06%
261 Cbre Group Class A CBRE 0.06%
262 Coinbase Global Inc Class A COIN 0.06%
263 Consolidated Edison ED 0.06%
264 D R Horton DHI 0.06%
265 Diamondback Energy FANG 0.06%
266 Hartford Insurance Group HIG 0.06%
267 Msci MSCI 0.06%
268 Microchip Technology Inc MCHP 0.06%
269 Netapp Inc NTAP 0.06%
270 Old Dominion Freight Line ODFL 0.06%
271 Paychex PAYX 0.06%
272 Prudential Financial Inc PRU 0.06%
273 Public Service Enterprise Group PEG 0.06%
274 Roper Technologies ROP 0.06%
275 Sysco SYY 0.06%
276 Take Two Interactive Software TTWO 0.06%
277 Waters Corp WAT 0.06%
278 Workday Class A WDAY 0.06%
279 Yum Brands YUM 0.06%
280 Flex Ltd FLEX 0.06%
281 Ares Management Class A ARES 0.05%
282 Biogen BIIB 0.05%
283 Cboe Global Markets CBOE 0.05%
284 Centene Corp CNC 0.05%
285 Cognizant Technology Solutions Cla CTSH 0.05%
286 Crown Castle Inc CCI 0.05%
287 Dexcom Inc DXCM 0.05%
288 Eqt EQT 0.05%
289 Emcor Group EME 0.05%
290 Expedia Group EXPE 0.05%
291 Ge Healthcare Technologies GEHC 0.05%
292 Halliburton HAL 0.05%
293 Huntington Bancshares Inc HBAN 0.05%
294 Iron Mountain Inc IRM 0.05%
295 Jabil JBL 0.05%
296 Kenvue KVUE 0.05%
297 Kimberly Clark KMB 0.05%
298 Kroger KR 0.05%
299 M&T Bank MTB 0.05%
300 Martin Marietta Materials MLM 0.05%
301 Northern Trust NTRS 0.05%
302 Raymond James RJF 0.05%
303 Resmed RMD 0.05%
304 Steel Dynamics Inc STLD 0.05%
305 United Airlines Holdings UAL 0.05%
306 Vulcan Materials VMC 0.05%
307 Wec Energy Group WEC 0.05%
308 Zoetis Inc Class A ZTS 0.05%
309 Arch Capital Group ACGL 0.05%
310 Carnival Corp Ltd CCL 0.05%
311 Willis Towers Watson WTW 0.05%
312 Ameren AEE 0.04%
313 American Water Works AWK 0.04%
314 Atmos Energy ATO 0.04%
315 Caseys General Stores Inc CASY 0.04%
316 Centerpoint Energy CNP 0.04%
317 Expand Energy EXE 0.04%
318 Church And Dwight Inc CHD 0.04%
319 Cincinnati Financial CINF 0.04%
320 Citizens Financial Group Inc CFG 0.04%
321 Copart Inc CPRT 0.04%
322 Corpay CPAY 0.04%
323 Dte Energy DTE 0.04%
324 Darden Restaurants Inc DRI 0.04%
325 Dollar General Corp DG 0.04%
326 Dover Corp DOV 0.04%
327 Eversource Energy ES 0.04%
328 Expeditors International Of Washin EXPD 0.04%
329 Extra Space Storage Reit EXR 0.04%
330 Fair Isaac FICO 0.04%
331 Fiserv Inc FISV 0.04%
332 Firstenergy Corp FE 0.04%
333 Hp Inc HPQ 0.04%
334 Hershey Foods HSY 0.04%
335 Hubbell Inc HUBB 0.04%
336 Ingersoll Rand Inc IR 0.04%
337 Labcorp Holdings LH 0.04%
338 Estee Lauder Inc Class A EL 0.04%
339 Live Nation Entertainment LYV 0.04%
340 Mettler Toledo MTD 0.04%
341 Nrg Energy Inc NRG 0.04%
342 Omnicom Group Inc OMC 0.04%
343 On Semiconductor Corp ON 0.04%
344 Otis Worldwide OTIS 0.04%
345 Pg&E Corp PCG 0.04%
346 Ppg Industries PPG 0.04%
347 Ppl Corp PPL 0.04%
348 T Rowe Price Group TROW 0.04%
349 Pultegroup PHM 0.04%
350 Qnity Electronics Q 0.04%
351 Quest Diagnostics Inc DGX 0.04%
352 Regions Financial RF 0.04%
353 Synchrony Financial SYF 0.04%
354 Tapestry TPR 0.04%
355 Teledyne Technologies Inc TDY 0.04%
356 Ulta Beauty Inc ULTA 0.04%
357 Veralto Corp VLTO 0.04%
358 Verisign VRSN 0.04%
359 Verisk Analytics VRSK 0.04%
360 Vici Pptys Inc VICI 0.04%
361 West Pharmaceutical Services WST 0.04%
362 Williams Sonoma Inc WSM 0.04%
363 Xylem Inc XYL 0.04%
364 Smurfit Westrock Plc SW 0.04%
365 Alliant Energy Corp LNT 0.03%
366 Ball Corp BALL 0.03%
367 Wr Berkley WRB 0.03%
368 Broadridge Financial Solutions Inc BR 0.03%
369 Brown & Brown Inc BRO 0.03%
370 Cdw CDW 0.03%
371 Cf Industries Holdings Inc CF 0.03%
372 Ch Robinson Worldwide CHRW 0.03%
373 Cms Energy CMS 0.03%
374 Charter Communications Class A CHTR 0.03%
375 Constellation Brands Class A STZ 0.03%
376 Dollar Tree Inc DLTR 0.03%
377 Dow DOW 0.03%
378 Dupont De Nemours DD 0.03%
379 Edison International EIX 0.03%
380 Equifax EFX 0.03%
381 Essex Property Trust Reit ESS 0.03%
382 Evergy EVRG 0.03%
383 F5 FFIV 0.03%
384 Fidelity National Information Serv FIS 0.03%
385 First Solar FSLR 0.03%
386 Fortive FTV 0.03%
387 General Mills Inc GIS 0.03%
388 Genuine Parts GPC 0.03%
389 Global Payments Inc GPN 0.03%
390 Jb Hunt Transport Services JBHT 0.03%
391 Idex IEX 0.03%
392 Incyte Corp INCY 0.03%
393 International Flavors & Fragrances IFF 0.03%
394 International Paper IP 0.03%
395 Jacobs Solutions Inc J 0.03%
396 Kraft Heinz KHC 0.03%
397 Leidos Holdings LDOS 0.03%
398 Lennar A Class A LEN 0.03%
399 Loews L 0.03%
400 Nvr NVR 0.03%
401 Nisource NI 0.03%
402 Nordson NDSN 0.03%
403 Gen Digital GEN 0.03%
404 Ptc PTC 0.03%
405 Packaging Corp Of America PKG 0.03%
406 Principal Financial Group Inc PFG 0.03%
407 Reddit Class A RDDT 0.03%
408 Sba Communications Reit Corp Class SBAC 0.03%
409 Snap On Inc SNA 0.03%
410 Southwest Airlines LUV 0.03%
411 Super Micro Computer Inc SMCI 0.03%
412 Texas Pacific Land TPL 0.03%
413 Tractor Supply TSCO 0.03%
414 Viatris VTRS 0.03%
415 Weyerhaeuser Reit WY 0.03%
416 Zebra Technologies Corp Class A ZBRA 0.03%
417 Zimmer Biomet Holdings ZBH 0.03%
418 Amcor Plc AMCR 0.03%
419 Steris STE 0.03%
420 Lyondellbasell Industries Class A LYB 0.03%
421 Keycorp KEY 0.03%
422 Aes AES 0.02%
423 Akamai Technologies Inc AKAM 0.02%
424 Albemarle Corp ALB 0.02%
425 Align Technology ALGN 0.02%
426 Apa APA 0.02%
427 Assurant Inc AIZ 0.02%
428 Avery Dennison Corp AVY 0.02%
429 Baxter International BAX 0.02%
430 Best Buy BBY 0.02%
431 Bio Techne TECH 0.02%
432 Camden Property Trust Reit CPT 0.02%
433 Charles River Laboratories Interna CRL 0.02%
434 Clorox CLX 0.02%
435 Cooper COO 0.02%
436 Costar Group CSGP 0.02%
437 Deckers Outdoor DECK 0.02%
438 Dominos Pizza DPZ 0.02%
439 Echostar Class A ECHO 0.02%
440 Factset Research Systems FDS 0.02%
441 Fedex Freight Holding Company Inc FDXF 0.02%
442 Fox Class A FOXA 0.02%
443 Franklin Templeton BEN 0.02%
444 Gartner IT 0.02%
445 Generac Holdings GNRC 0.02%
446 Globe Life GL 0.02%
447 Godaddy Class A GDDY 0.02%
448 Hasbro HAS 0.02%
449 Healthpeak Properties Inc DOC 0.02%
450 Jack Henry And Associates Inc JKHY 0.02%
451 Host Hotels & Resorts Reit HST 0.02%
452 Huntington Ingalls Industries HII 0.02%
453 Insulet PODD 0.02%
454 Invitation Homes INVH 0.02%
455 Kimco Realty Reit Corp KIM 0.02%
456 Las Vegas Sands LVS 0.02%
457 Lennox International LII 0.02%
458 Lululemon Athletica LULU 0.02%
459 Masco MAS 0.02%
460 Mccormick & Co Non-Voting MKC 0.02%
461 Mid America Apartment Communities MAA 0.02%
462 News Class A NWSA 0.02%
463 Revvity RVTY 0.02%
464 Pinnacle West PNW 0.02%
465 Ralph Lauren Class A RL 0.02%
466 Regency Centers Reit Corp REG 0.02%
467 Rollins Inc ROL 0.02%
468 Skyworks Solutions SWKS 0.02%
469 Jm Smucker SJM 0.02%
470 Solventum SOLV 0.02%
471 Stanley Black & Decker Inc SWK 0.02%
472 Tko Group Holdings Inc Class A TKO 0.02%
473 Textron Inc TXT 0.02%
474 Trimble Inc TRMB 0.02%
475 Tyler Technologies TYL 0.02%
476 Tyson Foods Inc Class A TSN 0.02%
477 Udr Reit UDR 0.02%
478 Allegion Plc ALLE 0.02%
479 Everest Group EG 0.02%
480 Invesco Ltd IVZ 0.02%
481 Bunge Global Sa BG 0.02%
482 Bxp BXP 0.01%
483 Builders Firstsource Inc BLDR 0.01%
484 Davita Inc DVA 0.01%
485 Erie Indemnity Class A ERIE 0.01%
486 Federal Realty Investment Trust Re FRT 0.01%
487 Fox Class B FOX 0.01%
488 Hormel Foods Corp HRL 0.01%
489 Mgm Resorts International MGM 0.01%
490 Molson Coors Brewing Class B TAP 0.01%
491 Mosaic MOS 0.01%
492 News Class B NWS 0.01%
493 Paramount Skydance Corp Class B PSKY 0.01%
494 Henry Schein HSIC 0.01%
495 A O Smith AOS 0.01%
496 Trade Desk Inc Class A TTD 0.01%
497 Universal Health Services Inc Clas UHS 0.01%
498 Wynn Resorts WYNN 0.01%
499 Aptiv Plc APTV 0.01%
500 Norwegian Cruise Line Holdings NCLH 0.01%

Tem o CSPX junto com outros fundos? A mesma ação pode estar em vários deles ao mesmo tempo — veja sua exposição combinada real →

Distribuição por setor

Technology 38,2%
Financials 12,2%
Communication Services 9,7%
Health Care 9%
Consumer Discretionary 8,9%
Industrials 8,2%
Consumer Staples 4,4%
Energy 3,6%
Utilities 2%
Materials 1,8%
Real Estate 1,8%

Setores atribuídos pela participação nos ETFs setoriais do S&P 500; small caps e ações internacionais aparecem como Não classificado. Veja a metodologia.

Mais se sobrepõe com

Menor sobreposição de composição

Estas são as menores pontuações de sobreposição entre os fundos acompanhados aqui, não recomendações. Sobreposição de posições não mede correlação, volatilidade, exposição geográfica ou a fatores, taxas nem adequação ao investidor.

→ Veja o que o CSPX mais seus outros fundos realmente têm, combinados

O CSPX é um fundo UCITS. Classes de cotas e listagens, e quais combinações populares de UCITS repetem as mesmas gigantes americanas, estão no guia sobreposição de ETFs para investidores europeus.

Combinar o CSPX com outros fundos é a visão de interseção de ações — a parte que mais faz falta do antigo Morningstar Instant X-Ray. Veja nossa alternativa ao Morningstar Instant X-Ray.