First Trust Value Line Dividend Index UCITS ETF Class A USD Accumulation
FVD.DE
#3096
ETF rang
€4.79 M
Capitalisation boursière
🇪🇺 EU
Marché
23,98 €
Prix de l'action
0.13%
Changement (1 jour)
-7.22%
Changement (1 an)

First Trust Value Line Dividend Index UCITS ETF Class A USD Accumulation - Composition

Composition de l'ETF au 27 Novembre, 2025

Nombre de participations : 239

Liste complète de la composition

Poids %NomSymboleISIN
0.43%Amgen Inc.AMGN
0.43%British American Tobacco Plc (ADR)BTI
0.43%Franklin Electric Co., Inc.FELE
0.43%JPMorgan Chase & Co.JPM
0.43%Kimberly-Clark CorporationKMB
0.43%Lowe's Companies, Inc.LOW
0.43%MSA Safety IncorporatedMSA
0.43%Merck & Co., Inc.MRK
0.43%Philip Morris International Inc.PM
0.43%The Bank of Nova ScotiaBNS
0.43%The Goldman Sachs Group, Inc.GS
0.43%The Home Depot, Inc.HD
0.43%Zoetis Inc.ZTS
0.42%Abbott LaboratoriesABT
0.42%Accenture PlcACN
0.42%Air Products and Chemicals, Inc.APD
0.42%Alliant Energy CorporationLNT
0.42%Altria Group, Inc.MO
0.42%Amcor PlcAMCR
0.42%Ameren CorporationAEE
0.42%American International Group, Inc.AIG
0.42%American States Water CompanyAWR
0.42%AptarGroup, Inc.ATR
0.42%AstraZeneca Plc (ADR)AZN
0.42%Automatic Data Processing, Inc.ADP
0.42%Avery Dennison CorporationAVY
0.42%Avista CorporationAVA
0.42%Axis Capital Holdings LimitedAXS
0.42%Bank of MontrealBMO
0.42%Becton, Dickinson and CompanyBDX
0.42%Black Hills CorporationBKH
0.42%BlackRock, Inc.BLK
0.42%Brady CorporationBRC
0.42%Bristol-Myers Squibb CompanyBMY
0.42%CME Group Inc.CME
0.42%CMS Energy CorporationCMS
0.42%CNA Financial CorporationCNA
0.42%CSX CorporationCSX
0.42%Camden Property TrustCPT
0.42%Canadian Imperial Bank of CommerceCM
0.42%Canadian National Railway CompanyCNI
0.42%Caterpillar Inc.CAT
0.42%Cboe Global Markets Inc.CBOE
0.42%Church & Dwight Co., Inc.CHD
0.42%Cigna CorporationCI
0.42%Coca-Cola European Partners PlcCCEP
0.42%Cognizant Technology Solutions CorporationCTSH
0.42%Colgate-Palmolive CompanyCL
0.42%Conagra Brands, Inc.CAG
0.42%Consolidated Edison, Inc.ED
0.42%Constellation Brands, Inc. (Class A)STZ
0.42%Corteva Inc.CTVA
0.42%Cummins Inc.CMI
0.42%Dominion Energy, Inc.D
0.42%Donaldson Company, Inc.DCI
0.42%Dover CorporationDOV
0.42%Duke Energy CorporationDUK
0.42%Eaton Corporation PlcETN
0.42%Emera IncorporatedEMA
0.42%Emerson Electric Co.EMR
0.42%Enbridge Inc.ENB
0.42%Entergy CorporationETR
0.42%Equity ResidentialEQR
0.42%Eversource EnergyES
0.42%Expeditors International of Washington, Inc.EXPD
0.42%FactSet Research Systems Inc.FDS
0.42%Fastenal CompanyFAST
0.42%Fortis Inc.FTS
0.42%General Dynamics CorporationGD
0.42%Genuine Parts CompanyGPC
0.42%Gilead Sciences, Inc.GILD
0.42%GlaxoSmithKline Plc (ADR)GSK
0.42%Graco Inc.GGG
0.42%HSBC Holdings Plc (ADR)HSBC
0.42%Healthpeak Properties Inc.DOC
0.42%Honda Motor Co., Ltd. (ADR)HMC
0.42%Hormel Foods CorporationHRL
0.42%Houlihan Lokey, Inc.HLI
0.42%Hubbell IncorporatedHUBB
0.42%IDACORP, Inc.IDA
0.42%IDEX CorporationIEX
0.42%Illinois Tool Works Inc.ITW
0.42%Infosys Limited (ADR)INFY
0.42%Ingredion IncorporatedINGR
0.42%Intercontinental Exchange, Inc.ICE
0.42%Jack Henry & Associates, Inc.JKHY
0.42%Kenvue Inc.KVUE
0.42%Keurig Dr Pepper Inc.KDP
0.42%LKQ CorporationLKQ
0.42%Landstar System, Inc.LSTR
0.42%Lincoln Electric Holdings, Inc.LECO
0.42%Linde PlcLIN
0.42%Lockheed Martin CorporationLMT
0.42%MGE Energy, Inc.MGEE
0.42%MSC Industrial Direct Co., Inc. (Class A)MSM
0.42%Marsh & McLennan Companies, Inc.MMC
0.42%McDonald's CorporationMCD
0.42%Medtronic PlcMDT
0.42%MetLife, Inc.MET
0.42%Mid-America Apartment Communities, Inc.MAA
0.42%Mondelez International, Inc.MDLZ
0.42%Morgan StanleyMS
0.42%Nasdaq, Inc.NDAQ
0.42%National Fuel Gas CompanyNFG
0.42%NewMarket CorporationNEU
0.42%NextEra Energy, Inc.NEE
0.42%NiSource Inc.NI
0.42%Norfolk Southern CorporationNSC
0.42%NorthWestern CorporationNWE
0.42%Northrop Grumman CorporationNOC
0.42%Northwest Natural Holding CompanyNWN
0.42%Novartis AG (ADR)NVS
0.42%OGE Energy Corp.OGE
0.42%Old Republic International CorporationORI
0.42%Otis Worldwide CorporationOTIS
0.42%PACCAR IncPCAR
0.42%PPG Industries, Inc.PPG
0.42%Packaging Corporation of AmericaPKG
0.42%Paychex, Inc.PAYX
0.42%PepsiCo, Inc.PEP
0.42%Pfizer Inc.PFE
0.42%Pinnacle West Capital CorporationPNW
0.42%Portland General Electric CompanyPOR
0.42%Prudential Financial, Inc.PRU
0.42%Public Service Enterprise Group IncorporatedPEG
0.42%Public StoragePSA
0.42%RPM International Inc.RPM
0.42%Raymond James Financial, Inc.RJF
0.42%Realty Income CorporationO
0.42%Republic Services, Inc.RSG
0.42%Reynolds Consumer Products Inc.REYN
0.42%Rio Tinto Plc (ADR)RIO
0.42%Rogers Communications Inc. (Class B)RCI
0.42%Rollins, Inc.ROL
0.42%Royal Bank of CanadaRY
0.42%SEI Investments CompanySEIC
0.42%SS&C Technologies Holdings, Inc.SSNC
0.42%Sanofi (ADR)SNY
0.42%Selective Insurance Group, Inc.SIGI
0.42%Snap-on IncorporatedSNA
0.42%Sonoco Products CompanySON
0.42%Southwest Gas Holdings, Inc.SWX
0.42%Spire Inc.SR
0.42%Sysco CorporationSYY
0.42%T. Rowe Price Group, Inc.TROW
0.42%TE Connectivity Ltd.TEL
0.42%Takeda Pharmaceutical Company Limited (ADR)TAK
0.42%The Bank of New York Mellon CorporationBK
0.42%The Hanover Insurance Group, Inc.THG
0.42%The Hershey CompanyHSY
0.42%The Kraft Heinz CompanyKHC
0.42%The Procter & Gamble CompanyPG
0.42%The Southern CompanySO
0.42%The TJX Companies, Inc.TJX
0.42%The Toronto-Dominion BankTD
0.42%The Travelers Companies, Inc.TRV
0.42%The Williams Companies, Inc.WMB
0.42%Thomson Reuters CorporationTRI
0.42%TotalEnergies SE (ADR)TTE
0.42%Toyota Motor Corporation (ADR)TM
0.42%Tractor Supply CompanyTSCO
0.42%Unilever Plc (ADR)UL
0.42%Union Pacific CorporationUNP
0.42%VeriSign, Inc.VRSN
0.42%Verizon Communications Inc.VZ
0.42%WEC Energy Group, Inc.WEC
0.42%Waste Management, Inc.WM
0.42%Welltower Inc.WELL
0.42%Willis Towers Watson PlcWTW
0.42%Xcel Energy Inc.XEL
0.42%Yum! Brands, Inc.YUM
0.41%ALLETE, Inc.ALE
0.41%AT&T Inc.T
0.41%AbbVie Inc.ABBV
0.41%Aflac IncorporatedAFL
0.41%Amdocs LimitedDOX
0.41%America Movil, S.A.B. de C.V. (ADR)AMX
0.41%American Electric Power Company, Inc.AEP
0.41%American Homes 4 Rent (Class A)AMH
0.41%American Water Works Company, Inc.AWK
0.41%Anheuser-Busch InBev S.A./N.V. (ADR)BUD
0.41%Assurant, Inc.AIZ
0.41%Atmos Energy CorporationATO
0.41%AvalonBay Communities, Inc.AVB
0.41%BCE Inc.BCE
0.41%Broadridge Financial Solutions, Inc.BR
0.41%California Water Service GroupCWT
0.41%Campbell Soup CompanyCPB
0.41%CenterPoint Energy, Inc.CNP
0.41%Chesapeake Utilities CorporationCPK
0.41%Chevron CorporationCVX
0.41%Chubb LimitedCB
0.41%Cincinnati Financial CorporationCINF
0.41%Cisco Systems, Inc.CSCO
0.41%Comcast Corporation (Class A)CMCSA
0.41%Commerce Bancshares, Inc.CBSH
0.41%DTE Energy CompanyDTE
0.41%Diageo Plc (ADR)DEO
0.41%Dolby Laboratories, Inc.DLB
0.41%Equity Lifestyle Properties, Inc.ELS
0.41%Essential Utilities, Inc.WTRG
0.41%Evergy, Inc.EVRG
0.41%Exelon CorporationEXC
0.41%Exxon Mobil CorporationXOM
0.41%FirstEnergy Corp.FE
0.41%General Mills, Inc.GIS
0.41%Honeywell International Inc.HON
0.41%International Business Machines CorporationIBM
0.41%Invitation Homes Inc.INVH
0.41%Johnson & JohnsonJNJ
0.41%Kellogg CompanyK
0.41%L3Harris Technologies Inc.LHX
0.41%Manulife Financial CorporationMFC
0.41%McCormick & Company, IncorporatedMKC
0.41%Motorola Solutions, Inc.MSI
0.41%New Jersey Resources CorporationNJR
0.41%ONE Gas, Inc.OGS
0.41%PPL CorporationPPL
0.41%Pembina Pipeline CorporationPBA
0.41%Primerica, Inc.PRI
0.41%Quest Diagnostics IncorporatedDGX
0.41%Raytheon Technologies CorporationRTX
0.41%Regency Centers CorporationREG
0.41%Shell Plc (ADR)SHEL
0.41%Sun Communities, Inc.SUI
0.41%Sun Life Financial Inc.SLF
0.41%T-Mobile US, Inc.TMUS
0.41%TC Energy CorporationTRP
0.41%TELUS CorporationTU
0.41%TXNM Energy Inc.TXNM
0.41%The Allstate CorporationALL
0.41%The Coca-Cola CompanyKO
0.41%The Hartford Financial Services Group, Inc.HIG
0.41%The J.M. Smucker CompanySJM
0.41%The Marzetti CompanyMZTI
0.41%VICI Properties Inc.VICI
0.41%W.P. Carey Inc.WPC
0.41%Wipro Ltd. (ADR)WIT
0.04%Innospec Inc.IOSP