Amundi STOXX Europe 600 Insurance UCITS ETF Acc
LIRU.DE
#2298
ETF rank
โ‚น14.04 B
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
โ‚น9,146
Share price
0.70%
Change (1 day)
40.08%
Change (1 year)

Amundi STOXX Europe 600 Insurance UCITS ETF Acc - Holdings

Etf holdings as of January 28, 2026

Number of holdings: 36

Full holdings list

Weight %NameISINShares HeldCountry
8.87%MUENCHENER RUECKVER AG-REGDE000843002627740Germany
8.16%ALLIANZ SE-REGDE000840400535198Germany
7.95%ASML HOLDING NVNL001027321510567Netherlands
6.75%SAP SE / XETRADE000716460054629Germany
4.92%ING GROEP NVNL0011821202314372Netherlands
4.28%RHEINMETALL ORDDE00070300093684Germany
4.19%DEUTSCHE BANK AG NAMENDE0005140008202391Germany
3.92%TEVA PHARMACEUTICAL ADRUS8816242098223687Israel
3.74%ARGENX SENL00108321768361Netherlands
3.64%NORDEA BANK ABPFI4000297767344534Finland
3.56%MERCK KGAADE000659990544457Germany
3.52%SIEMENS AG-REGDE000723610122255Germany
3.52%ASR NEDERLAND NVNL001187264391435Netherlands
3.46%AGEASBE097426493092111Belgium
3.44%KONINKLIJKE AHOLD DELHAIZENL0011794037168458Netherlands
3.32%DEUTSCHE BOERSE AGDE000581005525194Germany
3.31%FLATEXDEGIRO SEDE000FTG1111130154Germany
3.19%AIRBUS SENL000023519025985France
2.84%GILEAD SCIENCES INCUS375558103638550United States
2.55%KONINKLIJKE KPN NVNL00000090821015665Netherlands
2.07%ADYEN NVNL00129691822560Netherlands
1.97%ACCENTURE PLC -AIE00B4BNMY3413816United States
0.83%EXOR NVNL001205901819154Netherlands
0.75%MERCK & CO. INC.US58933Y105513340United States
0.75%BAYER AG-REGDE000BAY001726293Germany
0.66%EMCOR GROUP INCUS29084Q10041713United States
0.56%MTU AERO ENGINES AGDE000A0D9PT02406Germany
0.51%DOLLAR GENERALUS25667710596647United States
0.50%ALPHABET INC CL CUS02079K10792840United States
0.30%MOTOROLA SOLUTIONS INCUS62007630751406United States
0.24%SPOTIFY TECHNOLOGY SALU1778762911905United States
0.23%META PLATFORMS INC-CLASS AUS30303M1027662United States
0.16%HANNOVER RUECK SEDE00084022151108Germany
0.11%GE VERNOVA INCUS36828A1016304United States
0.08%DAIMLER TRUCK HOLDING AGDE000DTR0CK83084Germany
0.04%ALLEGION PLCIE00BFRT3W74505United States