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Watchlist
Account
Amundi MSCI World Health Care UCITS ETF
LYPE.DE
#1425
ETF rank
$0.79 B
Marketcap
๐ช๐บ EU
Market
$531.77
Share price
0.15%
Change (1 day)
6.62%
Change (1 year)
โ๏ธ Healthcare ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Fees (Expense ratio)
Holdings
More
Cost to borrow
Fees (Expense ratio)
Amundi MSCI World Health Care UCITS ETF - Holdings
Etf holdings as of
April 23, 2026
Number of holdings:
58
Full holdings list
Weight %
Name
ISIN
Shares Held
Country
9.21%
NVIDIA CORP
US67066G1040
414225
United States
8.44%
AMAZON.COM INC
US0231351067
296829
United States
7.64%
MICROSOFT CORP
US5949181045
164839
United States
6.60%
TESLA INC
US88160R1014
158575
United States
4.94%
ADVANCED MICRO DEVICES
US0079031078
145217
United States
4.65%
APPLE INC
US0378331005
152768
United States
4.61%
ANALOG DEVICES INC
US0326541051
102391
United States
4.60%
ALPHABET INC CL A
US02079K3059
121888
United States
4.41%
META PLATFORMS INC-CLASS A
US30303M1027
60029
United States
4.33%
ELI LILLY & CO
US5324571083
42315
United States
4.20%
PFIZER INC
US7170811035
1414074
United States
3.88%
NETFLIX INC USD
US64110L1061
375622
United States
3.59%
JPMORGAN CHASE & CO
US46625H1005
103476
United States
2.96%
REGENERON PHARMACEUTICALS
US75886F1075
34634
United States
2.93%
DEXCOM INC
US2521311074
418991
United States
2.15%
MICRON TECHNOLOGY INC
US5951121038
40010
United States
1.99%
TJX COMPANIES INC
US8725401090
112885
United States
1.92%
SERVICENOW INC
US81762P1021
202947
United States
1.72%
HILTON WORLDWIDE HOLDINGS IN
US43300A2033
46252
United States
1.09%
FIRST SOLAR INC
US3364331070
49885
United States
0.93%
WALT DISNEY CO/THE
US2546871060
80456
United States
0.93%
CROWDSTRIKE HOLDINGS INC - A
US22788C1053
18697
United States
0.87%
VERISIGN INC
US92343E1029
28218
United States
0.86%
ENGIE PRIME DE FIDELITE
FR0013215407
228726
France
0.83%
WALMART INC
US9311421039
56368
United States
0.81%
KLA CORP
US4824801009
3989
United States
0.67%
DOORDASH INC - A
US25809K1051
34031
United States
0.65%
FORTINET INC
US34959E1091
70765
United States
0.58%
HOME DEPOT INC
US4370761029
15199
United States
0.54%
ARISTA NETWORKS INC
US0404132054
28173
United States
0.53%
CONSTELLATION ENERGY
US21037T1097
16208
United States
0.53%
BROADCOM INC
US11135F1012
11286
United States
0.46%
TRADE DESK INC/THE -CLASS A
US88339J1051
183593
United States
0.46%
JOHNSON & JOHNSON
US4781601046
17960
United States
0.42%
WABTEC CORP
US9297401088
13975
United States
0.38%
NVR INC
US62944T1051
514
United States
0.37%
DANAHER CORP
US2358511028
18749
United States
0.35%
CONSOLIDATED EDISON INC
US2091151041
28555
United States
0.35%
AMERICAN ELECTRIC POWER
US0255371017
22942
United States
0.29%
CURTISS-WRIGHT
US2315611010
3608
United States
0.25%
ALNYLAM PHARMACEUTICALS INC
US02043Q1076
7238
United States
0.19%
LULULEMON ATHLETICA INC
US5500211090
12226
United States
0.19%
TYLER TECHNOLOGIES INC
US9022521051
5084
United States
0.17%
HOWMET AEROSPACE INC
US4432011082
6128
United States
0.14%
NORDSON CORP
US6556631025
4445
United States
0.13%
SS&C TECHNOLOGIES HOLDINGS INC
US78467J1007
17187
United States
0.04%
ALPHABET INC CL C
US02079K1079
1101
United States
0.02%
TWILIO INC - A
US90138F1021
1478
United States
0.02%
GILEAD SCIENCES INC
US3755581036
1437
United States
0.02%
MOTOROLA SOLUTIONS INC
US6200763075
425
United States
0.02%
GENERAL ELECTRIC
US3696043013
642
United States
0.02%
CINTAS CORP
US1729081059
1002
United States
0.02%
RTX CORP
US75513E1010
954
United States
0.02%
EXXON MOBIL CORP
US30231G1022
1128
United States
0.02%
INSULET CORP
US45784P1012
854
United States
0.02%
ARES MANAGEMENT CORP - A
US03990B1017
1301
United States
0.01%
IDEXX LABORATORIES INC
US45168D1046
121
United States
0.00%
GE VERNOVA INC
US36828A1016
11
United States