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total market cap:
A$217.849 T
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Watchlist
Account
SPDR S&P Global Dividend Aristocrats ESG UCITS ETF (Dist)
ZPD3.DE
#3112
ETF rank
A$35.1 M
Marketcap
๐ช๐บ EU
Market
A$35.10
Share price
-0.09%
Change (1 day)
N/A
Change (1 year)
% Dividend and Income ETFs
๐ฑ Socially Responsible ETFs
Categories
Market cap
Price history
Shares outstanding
Fees (Expense ratio)
Holdings
More
Fees (Expense ratio)
SPDR S&P Global Dividend Aristocrats ESG UCITS ETF (Dist) - Holdings
Etf holdings as of
August 17, 2026
Number of holdings:
118
Full holdings list
Weight %
Name
ISIN
Country
2.39%
Lenovo Group Limited
HK0992009065
2.00%
Verizon Communications Inc.
US92343V1044
1.80%
John Wiley & Sons Inc. Class A
US9682232064
1.75%
Franklin Templeton Inc.
US3546131018
1.74%
Best Buy Co. Inc.
US0865161014
1.72%
Pfizer Inc.
US7170811035
1.68%
ONEOK Inc.
US6826801036
1.64%
Edison International
US2810201077
1.62%
Energizer Holdings Inc.
US29272W1099
1.62%
Target Corporation
US87612E1064
1.61%
Amcor PLC
JE00BV7DQ550
1.56%
HA Sustainable Infrastructure Capital Inc.
US41068X1000
1.51%
United Parcel Service Inc. Class B
US9113121068
1.43%
Legal & General Group Plc
GB0005603997
1.39%
Sonoco Products Company
US8354951027
1.37%
Columbia Banking System Inc.
US1972361026
1.37%
Kilroy Realty Corporation
US49427F1084
1.32%
Chevron Corporation
US1667641005
1.32%
Bristol-Myers Squibb Company
US1101221083
1.30%
WesBanco Inc.
US9508101014
1.28%
Kimberly-Clark Corporation
US4943681035
1.28%
COPT Defense Properties
US22002T1088
1.27%
Prudential Financial Inc.
US7443201022
1.25%
Federal Realty Investment Trust
US3137451015
1.23%
Skyworks Solutions Inc.
US83088M1027
1.23%
Trinity Industries Inc.
US8965221091
1.22%
First Busey Corporation
US3193832041
1.22%
Extra Space Storage Inc.
US30225T1025
1.21%
T. Rowe Price Group Inc.
US74144T1088
1.19%
Teleperformance SE
FR0000051807
1.19%
Avista Corporation
US05379B1070
1.18%
First Financial Bancorp.
US3202091092
1.17%
Campbell's Company
US1344291091
1.14%
APA Group
AU000000APA1
1.10%
General Mills Inc.
US3703341046
1.07%
Northwest Natural Holding Co.
US66765N1054
1.07%
Eversource Energy
US30040W1080
1.06%
DNB Bank ASA
NO0010161896
1.06%
Truist Financial Corporation
US89832Q1094
1.05%
Lincoln National Corp
US5341871094
1.05%
Omnicom Group Inc
US6819191064
1.02%
Pembina Pipeline Corporation
CA7063271034
1.02%
Schroders PLC
GB00BP9LHF23
1.01%
TELUS Corporation
CA87971M1032
1.01%
KeyCorp
US4932671088
0.99%
Keyera Corp.
CA4932711001
0.98%
Far East Horizon Limited
HK0000077468
0.97%
DCC Energy plc
IE0002424939
0.95%
LondonMetric Property Plc
GB00B4WFW713
0.95%
Bosideng International Holdings Limited
KYG126521064
0.95%
Comcast Corporation Class A
US20030N1019
0.94%
Spire Inc.
US84857L1017
0.90%
UGI Corporation
US9026811052
0.89%
Elisa Oyj Class A
FI0009007884
0.86%
Enel SpA
IT0003128367
0.84%
SEGRO plc
GB00B5ZN1N88
0.82%
EDP S.A.
PTEDP0AM0009
0.82%
Sun Life Financial Inc.
CA8667961053
0.81%
Vanguard International Semiconductor Corp
TW0005347009
0.80%
Jiangsu Expressway Co. Ltd. Class H
CNE1000003J5
0.80%
Bank of Nova Scotia
CA0641491075
0.80%
Lazard Inc
US52110M1099
0.78%
TC Energy Corporation
CA87807B1076
0.78%
Derwent London plc
GB0002652740
0.78%
Canadian Utilities Limited Class A
CA1367178326
0.77%
United Utilities Group PLC
GB00B39J2M42
0.77%
Sino Land Co. Ltd.
HK0083000502
0.77%
Kansai Paint Co. Ltd.
JP3229400001
0.77%
Zeon Corporation
JP3725400000
0.77%
Warehouses De Pauw SA
BE0974349814
0.75%
Saudi Telecom Co.
SA0007879543
0.75%
Emirates Telecommunications Group Company PJSC
AEE000401019
0.74%
Royal Vopak NV
NL0009432491
0.74%
Banque Cantonale Vaudoise
CH0531751755
0.73%
Canadian Tire Corporation Limited Class A
CA1366812024
0.73%
Bouygues SA
FR0000120503
0.72%
Sonic Healthcare Limited
AU000000SHL7
0.72%
Zurich Insurance Group Ltd
CH0011075394
0.71%
DKSH Holding Ltd
CH0126673539
0.70%
Takeda Pharmaceutical Co. Ltd.
JP3463000004
0.70%
Terna S.p.A.
IT0003242622
0.70%
Sanofi SA
FR0000120578
0.70%
CK Infrastructure Holdings Limited
BMG2178K1009
0.70%
Julius Baer Gruppe AG
CH0102484968
0.69%
ERG S.p.A.
IT0001157020
0.68%
Coca-Cola Femsa SAB de CV Units Cons of 5 Shs -L- + 3 Shs Series -B-
MX01KO000002
0.67%
Hikma Pharmaceuticals Plc
GB00B0LCW083
0.67%
LG Uplus Corp
KR7032640005
0.66%
Valmet Corp
FI4000074984
0.65%
Japan Metropolitan Fund Investment Corporation
JP3039710003
0.65%
International Games System Co. Ltd.
TW0003293007
0.62%
China Merchants Bank Co. Ltd. Class H
CNE1000002M1
0.59%
A2A S.p.A.
IT0001233417
0.59%
HAZAMA ANDO Corporation
JP3767810009
0.53%
Cembra Money Bank AG
CH0225173167
0.52%
Ping An Insurance (Group) Company of China Ltd. Class H
CNE1000003X6
0.41%
Partners Group Holding AG
CH0024608827
Australian Dollar
Unassigned
British Pounds
Unassigned
Canadian Dollar
Unassigned
China Renminbi
Unassigned
Danish Krone
Unassigned
Euro
Unassigned
Hong Kong Dollar
Unassigned
Japanese Yen
Unassigned
M EMINI SEP26
Unassigned
Mexican Peso
Unassigned
Norwegian Krone
Unassigned
Saudi Arabian Riyal
Unassigned
Singapore Dollar
Unassigned
South African Rand
Unassigned
South Korean Won
Unassigned
Swedish Krona
Unassigned
Swiss Franc
Unassigned
Taiwan Dollar
Unassigned
U.S. Dollar
Unassigned
UAE Dirham
Unassigned