Composição do IWDA: lista de ações e pesos

iShares Core MSCI World UCITS ETF (USD Acc)

1.211 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 IWDA realmente tem na carteira?

O IWDA (iShares Core MSCI World UCITS ETF (USD Acc)) tem 1211 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 5,53%, Apple com 5,07% e Microsoft com 3,90% do fundo. As dez maiores posições em ações somam 26,6 pontos percentuais da exposição informada do fundo. A maior exposição setorial é Technology, com 30,2%. Entre os 80 fundos acompanhados aqui, o IWDA se sobrepõe mais com o VWCE, compartilhando 78,4% do peso pelo método do menor dos dois. Quem tem o IWDA 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 1.211 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 26,6 pontos percentuais da exposição informada em issuer UCITS holdings file de 2026-08-31.

IWDA equity holdings

Showing the largest 500 of 1,211 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 1,211 holdings.

IWDA positive-weight equity holdings
# Company Ticker % of fund
1 Nvidia NVDA 5.53%
2 Apple AAPL 5.07%
3 Microsoft MSFT 3.90%
4 Amazon.Com Inc AMZN 2.74%
5 Alphabet Class A GOOGL 2.17%
6 Broadcom Inc AVGO 1.82%
7 Alphabet Class C GOOG 1.71%
8 Meta Platforms Class A META 1.37%
9 Micron Technology MU 1.18%
10 Tesla Inc TSLA 1.15%
11 Jpmorgan Chase & Co JPM 1.03%
12 Eli Lilly LLY 1.01%
13 Advanced Micro Devices AMD 0.83%
14 Berkshire Hathaway Inc Class B BRKB 0.77%
15 Exxonmobil Holdings Corp XOM 0.73%
16 Asml Holding ASML 0.71%
17 Johnson & Johnson JNJ 0.70%
18 Visa Class A V 0.69%
19 Mastercard Class A MA 0.52%
20 Walmart Inc WMT 0.50%
21 Abbvie ABBV 0.49%
22 Cisco Systems Inc CSCO 0.47%
23 Costco Wholesale Corp COST 0.45%
24 Bank Of America BAC 0.44%
25 Palantir Technologies Class A PLTR 0.44%
26 Intel Corporation INTC 0.43%
27 Chevron CVX 0.41%
28 Lam Research LRCX 0.41%
29 Caterpillar Inc CAT 0.40%
30 Merck & Co Inc MRK 0.40%
31 Applied Material Inc AMAT 0.39%
32 Ge Aerospace GE 0.38%
33 Unitedhealth Group Inc UNH 0.38%
34 Hsbc Holdings Plc HSBA 0.38%
35 Coca-Cola KO 0.37%
36 Netflix NFLX 0.37%
37 Procter & Gamble PG 0.37%
38 Home Depot HD 0.35%
39 Palo Alto Networks PANW 0.34%
40 Goldman Sachs Group GS 0.33%
41 Roche Ps Par Ag ROP 0.33%
42 Philip Morris International Inc PM 0.32%
43 Royal Bank Of Canada RY 0.31%
44 Rtx RTX 0.30%
45 Novartis Ag NOVN 0.30%
46 Wells Fargo WFC 0.29%
47 Oracle ORCL 0.28%
48 Shell Plc SHEL 0.28%
49 Morgan Stanley MS 0.27%
50 Astrazeneca Plc AZN 0.27%
51 Nestle Sa NESN 0.27%
52 Mitsubishi Ufj Financial Group 8306 0.27%
53 Ge Vernova GEV 0.26%
54 Texas Instrument Inc TXN 0.26%
55 Bhp Group Ltd BHP 0.26%
56 Siemens N Ag SIE 0.26%
57 Amgen Inc AMGN 0.25%
58 Crowdstrike Holdings Class A CRWD 0.25%
59 Kla KLAC 0.25%
60 Sandisk SNDK 0.25%
61 Thermo Fisher Scientific Inc TMO 0.25%
62 Linde Plc LIN 0.25%
63 Sap SAP 0.25%
64 Citigroup C 0.24%
65 International Business Machines IBM 0.24%
66 Arista Networks ANET 0.23%
67 Banco Santander SAN 0.23%
68 Salesforce CRM 0.22%
69 Toronto Dominion TD 0.22%
70 Verizon Communications Inc VZ 0.22%
71 Abbott Laboratories ABT 0.21%
72 Amphenol Corp Class A APH 0.21%
73 Walt Disney DIS 0.21%
74 Pepsico PEP 0.21%
75 Commonwealth Bank Of Australia CBA 0.21%
76 Allianz ALV 0.21%
77 At&T T 0.20%
78 Gilead Sciences GILD 0.20%
79 Marvell Technology MRVL 0.20%
80 Mcdonalds Corp MCD 0.20%
81 Qualcomm QCOM 0.20%
82 Charles Schwab SCHW 0.20%
83 Seagate Technology Holdings Plc STX 0.20%
84 Toyota Motor 7203 0.20%
85 Schneider Electric SU 0.20%
86 American Express AXP 0.19%
87 Analog Devices ADI 0.19%
88 Blackrock BLK 0.19%
89 Nextera Energy NEE 0.19%
90 Shopify Subordinate Voting Class A SHOP 0.19%
91 Union Pacific UNP 0.19%
92 Ubs Group Ag UBSG 0.19%
93 Totalenergies TTE 0.19%
94 Rolls-Royce Holdings Plc RR. 0.19%
95 Pfizer PFE 0.18%
96 Welltower WELL 0.18%
97 Boeing BA 0.17%
98 Booking Holdings BKNG 0.17%
99 Conocophillips COP 0.17%
100 Deere DE 0.17%
101 Western Digital Corp WDC 0.17%
102 Banco Bilbao Vizcaya Argentaria Sa BBVA 0.17%
103 Eaton Plc ETN 0.17%
104 Abb Ltd ABBN 0.17%
105 Advantest 6857 0.17%
106 Tokyo Electron 8035 0.17%
107 Sumitomo Mitsui Financial Group 8316 0.17%
108 Recruit Holdings Ltd 6098 0.17%
109 Servicenow NOW 0.16%
110 Tjx TJX 0.16%
111 Iberdrola IBE 0.16%
112 Sony Group 6758 0.16%
113 Hitachi 6501 0.16%
114 Novo Nordisk Class B NOVO B 0.16%
115 Bristol Myers Squibb BMY 0.15%
116 Dell Technologies Inc Class C DELL 0.15%
117 Intuitive Surgical ISRG 0.15%
118 Newmont NEM 0.15%
119 S&P Global SPGI 0.15%
120 Uber Technologies UBER 0.15%
121 Vertex Pharmaceuticals VRTX 0.15%
122 Safran Sa SAF 0.15%
123 Unilever Plc ULVR 0.15%
124 Airbus Group AIR 0.15%
125 Capital One Financial Corp COF 0.14%
126 Danaher DHR 0.14%
127 Progressive PGR 0.14%
128 Prologis Reit PLD 0.14%
129 Compagnie Financiere Richemont Sa CFR 0.14%
130 Siemens Energy N Ag ENR 0.14%
131 Lvmh MC 0.14%
132 Unicredit UCG 0.14%
133 Mizuho Financial Group 8411 0.14%
134 Adobe Inc ADBE 0.13%
135 Bank Of Montreal BMO 0.13%
136 Cvs Health CVS 0.13%
137 Corning GLW 0.13%
138 Lowes Companies Inc LOW 0.13%
139 Parker-Hannifin Corp PH 0.13%
140 Starbucks Corp SBUX 0.13%
141 Lair Liquide Societe Anonyme Pour AI 0.13%
142 Bnp Paribas Sa BNP 0.13%
143 Medtronic Plc MDT 0.13%
144 Chubb CB 0.13%
145 Kioxia Holdings 285A 0.13%
146 Softbank Group 9984 0.13%
147 Dbs Group Holdings Ltd D05 0.13%
148 Altria Group Inc MO 0.12%
149 Automatic Data Processing Inc ADP 0.12%
150 Bank Of New York Mellon Corp BNY 0.12%
151 Bank Of Nova Scotia BNS 0.12%
152 Blackstone BX 0.12%
153 Enbridge ENB 0.12%
154 Fortinet FTNT 0.12%
155 Freeport Mcmoran Inc FCX 0.12%
156 Lockheed Martin Corp LMT 0.12%
157 Marathon Petroleum MPC 0.12%
158 Snowflake SNOW 0.12%
159 Stryker SYK 0.12%
160 Valero Energy Corp VLO 0.12%
161 Zurich Insurance Group Ag ZURN 0.12%
162 Accenture Plc Class A ACN 0.12%
163 British American Tobacco BATS 0.12%
164 Intesa Sanpaolo ISP 0.12%
165 Bp Plc BP. 0.12%
166 Deutsche Telekom N Ag DTE 0.12%
167 Rio Tinto Plc RIO 0.12%
168 Agnico Eagle Mines AEM 0.11%
169 Cme Group Class A CME 0.11%
170 Canadian Imperial Bank Of Commerce CM 0.11%
171 Canadian Natural Resources Ltd CNQ 0.11%
172 Equinix Reit EQIX 0.11%
173 Howmet Aerospace HWM 0.11%
174 Intuit INTU 0.11%
175 Mckesson Corp MCK 0.11%
176 Pnc Financial Services Group PNC 0.11%
177 Phillips 66 PSX 0.11%
178 Southern SO 0.11%
179 Us Bancorp USB 0.11%
180 Loreal Sa OR 0.11%
181 Trane Technologies Plc TT 0.11%
182 Glaxosmithkline GSK 0.11%
183 Keyence 6861 0.11%
184 Sanofi Sa SAN 0.11%
185 Ing Groep INGA 0.11%
186 Aia Group 1299 0.11%
187 Csx CSX 0.10%
188 Cadence Design Systems CDNS 0.10%
189 Cloudflare Class A NET 0.10%
190 Comcast Class A CMCSA 0.10%
191 Duke Energy Corp DUK 0.10%
192 Emerson Electric EMR 0.10%
193 General Dynamics Corp GD 0.10%
194 Intercontinental Exchange Inc ICE 0.10%
195 Marsh MRSH 0.10%
196 Quanta Services Inc PWR 0.10%
197 Slb SLB 0.10%
198 T Mobile Us Inc TMUS 0.10%
199 3M MMM 0.10%
200 Vertiv Holdings Class A VRT 0.10%
201 Waste Management Inc WM 0.10%
202 Williams WMB 0.10%
203 Barclays Plc BARC 0.10%
204 Mitsubishi 8058 0.10%
205 American Tower Reit AMT 0.09%
206 Elevance Health Inc ELV 0.09%
207 Canadian Pacific Kansas City CP 0.09%
208 Constellation Energy Corp CEG 0.09%
209 Doordash Class A DASH 0.09%
210 Eog Resources EOG 0.09%
211 General Motors GM 0.09%
212 Marriott International Class A MAR 0.09%
213 Mercadolibre MELI 0.09%
214 Mondelez International Inc Class A MDLZ 0.09%
215 Regeneron Pharmaceuticals REGN 0.09%
216 Robinhood Markets Class A HOOD 0.09%
217 Space Exploration Technologies Cor SPCX 0.09%
218 Synopsys SNPS 0.09%
219 Travelers Companies TRV 0.09%
220 National Australia Bank Ltd NAB 0.09%
221 Infineon Technologies Ag IFX 0.09%
222 Axa Sa CS 0.09%
223 Johnson Controls International Plc JCI 0.09%
224 Lloyds Banking Group Plc LLOY 0.09%
225 Enel ENEL 0.09%
226 Tokio Marine Holdings 8766 0.09%
227 Fast Retailing 9983 0.09%
228 Spotify Technology SPOT 0.09%
229 Bae Systems Plc BA. 0.09%
230 Brookfield Class A BN 0.09%
231 Oversea-Chinese Banking Ltd O39 0.09%
232 Suncor Energy Inc SU 0.09%
233 Westpac Banking Corporation WBC 0.09%
234 Airbnb Class A ABNB 0.08%
235 Applovin Class A APP 0.08%
236 Barrick Mining ABX 0.08%
237 Boston Scientific Corp BSX 0.08%
238 Cigna CI 0.08%
239 Cintas CTAS 0.08%
240 Cummins Inc CMI 0.08%
241 Datadog Inc Class A DDOG 0.08%
242 Ecolab ECL 0.08%
243 Fedex Corp FDX 0.08%
244 Hewlett Packard Enterprise HPE 0.08%
245 Hilton Worldwide Holdings HLT 0.08%
246 Illinois Tool Inc ITW 0.08%
247 Lumentum Holdings LITE 0.08%
248 Manulife Financial MFC 0.08%
249 Moodys Corp MCO 0.08%
250 Motorola Solutions Inc MSI 0.08%
251 Norfolk Southern Corp NSC 0.08%
252 Northrop Grumman Corp NOC 0.08%
253 Oreilly Automotive Inc ORLY 0.08%
254 Ross Stores Inc ROST 0.08%
255 Sherwin Williams SHW 0.08%
256 Target Corp TGT 0.08%
257 United Parcel Service Inc Class B UPS 0.08%
258 Warner Bros. Discovery Series A WBD 0.08%
259 Anz Group Holdings Ltd ANZ 0.08%
260 Anheuser-Busch Inbev Sa ABI 0.08%
261 Deutsche Bank Ag DBK 0.08%
262 Muenchener Rueckversicherungs-Gese MUV2 0.08%
263 Industria De Diseno Textil Sa ITX 0.08%
264 Glencore Plc GLEN 0.08%
265 Natwest Group Plc NWG 0.08%
266 Itochu 8001 0.08%
267 Mitsui 8031 0.08%
268 Mitsubishi Heavy Industries 7011 0.08%
269 Murata Manufacturing 6981 0.08%
270 Investor Class B INVE B 0.08%
271 National Grid Plc NG. 0.08%
272 Air Products And Chemicals APD 0.07%
273 Allstate Corp ALL 0.07%
274 American Electric Power Inc AEP 0.07%
275 Cencora COR 0.07%
276 Baker Hughes Class A BKR 0.07%
277 Canadian National Railway CNR 0.07%
278 Cheniere Energy LNG 0.07%
279 Colgate-Palmolive CL 0.07%
280 Digital Realty Trust Reit DLR 0.07%
281 Arthur J Gallagher AJG 0.07%
282 Hca Healthcare HCA 0.07%
283 Honeywell International Inc HON 0.07%
284 Kkr And Co Inc KKR 0.07%
285 Kinder Morgan KMI 0.07%
286 Monster Beverage MNST 0.07%
287 Paccar Inc PCAR 0.07%
288 Simon Property Group Reit Inc SPG 0.07%
289 Transdigm Group TDG 0.07%
290 Truist Financial TFC 0.07%
291 United Rentals URI 0.07%
292 Wheaton Precious Metals WPM 0.07%
293 Macquarie Group Ltd Def MQG 0.07%
294 Wesfarmers WES 0.07%
295 Deutsche Boerse Ag DB1 0.07%
296 Aon Plc Class A AON 0.07%
297 Crh Public Limited Plc CRH 0.07%
298 Relx Plc REL 0.07%
299 Te Connectivity Plc TEL 0.07%
300 Shin Etsu Chemical 4063 0.07%
301 Panasonic Holdings 6752 0.07%
302 Mitsubishi Electric 6503 0.07%
303 Hermes International RMS 0.07%
304 Nordea Bank NDA FI 0.07%
305 Tc Energy TRP 0.07%
306 Vinci Sa DG 0.07%
307 Argenx ARGX 0.07%
308 Royal Caribbean Group RCL 0.07%
309 Aflac AFL 0.06%
310 Ametek Inc AME 0.06%
311 Apollo Global Management APO 0.06%
312 Autodesk ADSK 0.06%
313 Autozone AZO 0.06%
314 Becton Dickinson BDX 0.06%
315 Bloom Energy Class A BE 0.06%
316 Cardinal Health CAH 0.06%
317 Ciena CIEN 0.06%
318 Coherent COHR 0.06%
319 Comfort Systems Usa FIX 0.06%
320 Corteva CTVA 0.06%
321 Devon Energy DVN 0.06%
322 Dominion Energy D 0.06%
323 Entergy Corp ETR 0.06%
324 Fastenal FAST 0.06%
325 Ford Motor Co F 0.06%
326 Franco Nevada FNV 0.06%
327 Ww Grainger Inc GWW 0.06%
328 Keysight Technologies KEYS 0.06%
329 Metlife MET 0.06%
330 Monolithic Power Systems Inc MPWR 0.06%
331 National Bank Of Canada NA 0.06%
332 Nucor NUE 0.06%
333 Oneok OKE 0.06%
334 Public Storage Reit PSA 0.06%
335 Realty Income Reit O 0.06%
336 Sempra SRE 0.06%
337 State Street STT 0.06%
338 Targa Resources TRGP 0.06%
339 Teradyne TER 0.06%
340 Lonza Group Ag LONN 0.06%
341 Basf N BAS 0.06%
342 Bayer Ag BAYN 0.06%
343 Deutsche Post Ag DHL 0.06%
344 Rheinmetall Ag RHM 0.06%
345 Caixabank Sa CABK 0.06%
346 Nokia NOKIA 0.06%
347 Societe Generale Sa GLE 0.06%
348 Engie Sa ENGI 0.06%
349 Standard Chartered Plc STAN 0.06%
350 London Stock Exchange Group Plc LSEG 0.06%
351 Anglo American Plc AAL 0.06%
352 Hong Kong Exchanges And Clearing 388 0.06%
353 Kddi 9433 0.06%
354 Takeda Pharmaceutical 4502 0.06%
355 Japan Tobacco 2914 0.06%
356 Nintendo 7974 0.06%
357 Fujikura 5803 0.06%
358 Hoya 7741 0.06%
359 Nxp Semiconductors Nv NXPI 0.06%
360 Atlas Copco Class A ATCO A 0.06%
361 Essilorluxottica Sa EL 0.06%
362 Volvo Class B VOLV B 0.06%
363 Ferrari RACE 0.06%
364 Prosus Nv Class N PRX 0.06%
365 Csl CSL 0.06%
366 Agilent Technologies Inc A 0.05%
367 Alimentation Couche Tard Inc ATD 0.05%
368 American International Group AIG 0.05%
369 Ameriprise Finance Inc AMP 0.05%
370 Axon Enterprise AXON 0.05%
371 Cbre Group Class A CBRE 0.05%
372 Cameco CCO 0.05%
373 Carrier Global CARR 0.05%
374 Carvana Class A CVNA 0.05%
375 Cenovus Energy CVE 0.05%
376 Chipotle Mexican Grill CMG 0.05%
377 Coinbase Global Inc Class A COIN 0.05%
378 Constellation Software CSU 0.05%
379 Edwards Lifesciences EW 0.05%
380 Exelon Corp EXC 0.05%
381 Ferguson Enterprises Inc FERG 0.05%
382 Fifth Third Bancorp FITB 0.05%
383 Honeywell Aerospace Inc HONA 0.05%
384 Humana HUM 0.05%
385 Idexx Laboratories IDXX 0.05%
386 Iqvia Holdings IQV 0.05%
387 Keurig Dr Pepper Inc KDP 0.05%
388 L3Harris Technologies LHX 0.05%
389 Msci MSCI 0.05%
390 Nasdaq Inc NDAQ 0.05%
391 Natera NTRA 0.05%
392 Nike Class B NKE 0.05%
393 Occidental Petroleum Corp OXY 0.05%
394 Paypal Holdings PYPL 0.05%
395 Republic Services Inc RSG 0.05%
396 Rockwell Automation Inc ROK 0.05%
397 Roper Technologies ROP 0.05%
398 Block Class A XYZ 0.05%
399 Sun Life Financial Inc SLF 0.05%
400 Veeva Systems Class A VEEV 0.05%
401 Ventas Reit VTR 0.05%
402 Vistra VST 0.05%
403 Westinghouse Air Brake Technologie WAB 0.05%
404 Workday Class A WDAY 0.05%
405 Xcel Energy Inc XEL 0.05%
406 Erste Group Bank Ag EBS 0.05%
407 Holcim Ltd Ag HOLN 0.05%
408 Swiss Re Ag SREN 0.05%
409 E.On N EOAN 0.05%
410 Compass Group Plc CPG 0.05%
411 Diageo Plc DGE 0.05%
412 Haleon Plc HLN 0.05%
413 Reckitt Benckiser Group Plc RKT 0.05%
414 Garmin GRMN 0.05%
415 Eni ENI 0.05%
416 Orix 8591 0.05%
417 Komatsu 6301 0.05%
418 Sumitomo 8053 0.05%
419 Daiichi Life Group 8750 0.05%
420 Danone Sa BN 0.05%
421 Nebius Nv Class A NBIS 0.05%
422 Rio Tinto Ltd RIO 0.05%
423 Sea Ads Representing Class A SE 0.05%
424 Teva Pharmaceutical Industries Adr TEVA 0.05%
425 Vivmark Residential VMRK 0.05%
426 Asm International Nv ASM 0.05%
427 Woodside Energy Group Ltd WDS 0.05%
428 Archer Daniels Midland ADM 0.04%
429 Astera Labs ALAB 0.04%
430 Centene Corp CNC 0.04%
431 Consolidated Edison ED 0.04%
432 Crown Castle Inc CCI 0.04%
433 D R Horton DHI 0.04%
434 Dexcom Inc DXCM 0.04%
435 Diamondback Energy FANG 0.04%
436 Dollarama DOL 0.04%
437 Eqt EQT 0.04%
438 Ebay EBAY 0.04%
439 Emcor Group EME 0.04%
440 Expedia Group EXPE 0.04%
441 Hartford Insurance Group HIG 0.04%
442 Huntington Bancshares Inc HBAN 0.04%
443 Illumina Inc ILMN 0.04%
444 Intact Financial Corp IFC 0.04%
445 Interactive Brokers Group Inc Clas IBKR 0.04%
446 Iron Mountain Inc IRM 0.04%
447 Kenvue KVUE 0.04%
448 Kimberly Clark KMB 0.04%
449 Kinross Gold Corp K 0.04%
450 Kroger KR 0.04%
451 M&T Bank MTB 0.04%
452 Strategy Inc Class A MSTR 0.04%
453 Microchip Technology Inc MCHP 0.04%
454 Mongodb Class A MDB 0.04%
455 Netapp Inc NTAP 0.04%
456 Northern Trust NTRS 0.04%
457 Nutrien Ltd NTR 0.04%
458 Old Dominion Freight Line ODFL 0.04%
459 Paychex PAYX 0.04%
460 Power Corporation Of Canada POW 0.04%
461 Prudential Financial Inc PRU 0.04%
462 Public Service Enterprise Group PEG 0.04%
463 Raymond James RJF 0.04%
464 Resmed RMD 0.04%
465 Revolution Medicines RVMD 0.04%
466 Rocket Lab Corp RKLB 0.04%
467 Steel Dynamics Inc STLD 0.04%
468 Sysco SYY 0.04%
469 Take Two Interactive Software TTWO 0.04%
470 Twilio Class A TWLO 0.04%
471 Vulcan Materials VMC 0.04%
472 Waste Connections WCN 0.04%
473 Waters Corp WAT 0.04%
474 Yum Brands YUM 0.04%
475 Zoetis Inc Class A ZTS 0.04%
476 Goodman Group Units GMG 0.04%
477 Woolworths Group Ltd WOW 0.04%
478 Ucb Sa UCB 0.04%
479 Kbc Groep KBC 0.04%
480 Sika Ag SIKA 0.04%
481 Alcon Ag ALC 0.04%
482 Sandoz Group Ag SDZ 0.04%
483 Rwe Ag RWE 0.04%
484 Mercedes-Benz Group N Ag MBG 0.04%
485 Danske Bank DANSKE 0.04%
486 Vestas Wind Systems VWS 0.04%
487 Repsol REP 0.04%
488 Legrand Sa LR 0.04%
489 Compagnie De Saint Gobain Sa SGO 0.04%
490 Arch Capital Group ACGL 0.04%
491 Credo Technology Group Holding Ltd CRDO 0.04%
492 Experian Plc EXPN 0.04%
493 Willis Towers Watson WTW 0.04%
494 Sse Plc SSE 0.04%
495 3I Group Plc III 0.04%
496 Givaudan Sa GIVN 0.04%
497 Galderma Group N Ag GALD 0.04%
498 Bank Leumi Le Israel LUMI 0.04%
499 Assicurazioni Generali G 0.04%
500 Prysmian PRY 0.04%

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

Distribuição por setor

Technology 30,2%
Financials 16,5%
Industrials 11%
Health Care 9%
Consumer Discretionary 8,6%
Communication Services 8,2%
Consumer Staples 4,9%
Energy 4,2%
Materials 3,3%
Utilities 2,4%
Real Estate 1,6%

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 IWDA mais seus outros fundos realmente têm, combinados

O IWDA 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 IWDA 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.