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total market cap:
โน13929.819 T
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Watchlist
Account
HSBC MSCI USA Climate Paris Aligned UCITS ETF
HPAU.DE
#3028
ETF rank
โน3.18 B
Marketcap
๐ช๐บ EU
Market
โน4,990
Share price
-1.10%
Change (1 day)
N/A
Change (1 year)
๐บ๐ธ U.S. ETFs
๐ฑ Socially Responsible ETFs
Categories
Market cap
Price history
Shares outstanding
Fees (Expense ratio)
Holdings
More
Fees (Expense ratio)
HSBC MSCI USA Climate Paris Aligned UCITS ETF - Holdings
Etf holdings as of
June 1, 2026
Number of holdings:
103
Full holdings list
Weight %
Name
ISIN
Shares Held
Country
9.59%
NVIDIA Corp
US67066G1040
15171
United States
6.98%
Apple Inc
US0378331005
8088
United States
6.88%
Microsoft Corp
US5949181045
5308
United States
3.92%
Alphabet Inc Class C
US02079K1079
3738
United States
3.66%
Tesla Inc
US88160R1014
3127
United States
3.54%
Advanced Micro Devices Inc
US0079031078
2463
United States
3.39%
Broadcom Inc
US11135F1012
2615
United States
3.14%
International Business Machines Corp
US4592001014
3483
United States
3.14%
Eli Lilly and Co
US5324571083
1031
United States
2.71%
ServiceNow Inc
US81762P1021
7078
United States
2.61%
Marvell Technology Inc
US5738741041
4220
United States
2.12%
Meta Platforms Inc Class A
US30303M1027
1253
United States
2.05%
American Tower Corp
US03027X1000
3877
United States
2.03%
Equinix Inc
US29444U7000
686
United States
2.03%
Alphabet Inc Class A
US02079K3059
1914
United States
2.02%
Prologis Inc
US74340W1036
5157
United States
2.00%
Salesforce Inc
US79466L3024
3387
United States
1.94%
Amazon.com Inc
US0231351067
2641
United States
1.89%
Digital Realty Trust Inc
US2538681030
3619
United States
1.85%
Mastercard Inc Class A
US57636Q1040
1324
United States
1.80%
Visa Inc Class A
US92826C8394
1981
United States
1.65%
Realty Income Corp
US7561091049
9822
United States
1.55%
Autodesk Inc
US0527691069
2223
United States
1.47%
Oracle Corp
US68389X1054
2106
United States
1.44%
Snowflake Inc Ordinary Shares
US8334451098
1825
United States
1.42%
Simon Property Group Inc
US8288061091
2486
United States
1.32%
Analog Devices Inc
US0326541051
1168
United States
0.92%
First Solar Inc
US3364331070
1075
United States
0.79%
Edison International
US2810201077
4044
United States
0.78%
Xylem Inc
US98419M1009
2555
United States
0.75%
AvalonBay Communities Inc
US0534841012
1463
United States
0.75%
Texas Instruments Inc
US8825081040
907
United States
0.73%
Cisco Systems Inc
US17275R1023
2147
United States
0.70%
American Water Works Co Inc
US0304201033
2051
United States
0.66%
Equity Residential
US29476L1070
3541
United States
0.58%
AbbVie Inc
US00287Y1091
964
United States
0.58%
Moodys Corp
US6153691059
440
United States
0.57%
Monolithic Power Systems Inc
US6098391054
131
United States
0.57%
Netflix Inc
US64110L1061
2338
United States
0.56%
Royalty Pharma PLC Class A
GB00BMVP7Y09
3591
United States
0.54%
KLA Corp
US4824801009
99
United States
0.53%
Essex Property Trust Inc
US2971781057
677
United States
0.51%
S&P Global Inc
US78409V1044
426
United States
0.50%
SBA Communications Corp Class A
US78410G1040
875
United States
0.47%
Kimco Realty Corp
US49446R1095
7126
United States
0.46%
Aflac Inc
US0010551028
1450
United States
0.44%
JPMorgan Chase & Co
US46625H1005
526
United States
0.44%
Axon Enterprise Inc
US05464C1018
327
United States
0.43%
Crown Castle Inc
US22822V1017
1664
United States
0.41%
Iron Mountain Inc
US46284V1017
1149
United States
0.41%
Rivian Automotive Inc Class A
US76954A1034
8500
United States
0.37%
Regency Centers Corp
US7588491032
1742
United States
0.37%
Charles Schwab Corp
US8085131055
1482
United States
0.32%
McDonald's Corp
US5801351017
413
United States
0.32%
Arista Networks Inc
US0404132054
661
United States
0.32%
Danaher Corp
US2358511028
625
United States
0.29%
IonQ Inc Class A
US46222L1089
1461
United States
0.28%
W.P. Carey Inc
US92936U1097
1385
United States
0.28%
CME Group Inc Class A
US12572Q1058
386
United States
0.27%
Intuit Inc
US4612021034
266
United States
0.25%
Adobe Inc
US00724F1012
321
United States
0.25%
Astera Labs Inc
US04626A1034
272
United States
0.24%
Zoetis Inc Class A
US98978V1035
1082
United States
0.24%
F5 Inc
US3156161024
212
United States
0.23%
Nasdaq Inc
US6311031081
873
United States
0.21%
Vertex Pharmaceuticals Inc
US92532F1003
167
United States
0.21%
Intercontinental Exchange Inc
US45866F1049
505
United States
0.20%
Airbnb Inc Ordinary Shares - Class A
US0090661010
519
United States
0.18%
Synopsys Inc
US8716071076
132
United States
0.18%
Merck & Co Inc
US58933Y1055
544
United States
0.16%
Fortinet Inc
US34959E1091
375
United States
0.15%
Welltower Inc
US95040Q1040
272
United States
0.14%
IDEXX Laboratories Inc
US45168D1046
88
United States
0.13%
Cboe Global Markets Inc
US12503M1080
152
United States
0.13%
Aon PLC Class A
IE00BLP1HW54
140
United States
0.13%
Blackstone Inc
US09260D1072
381
United States
0.12%
Intel Corp
US4581401001
404
United States
0.12%
Johnson & Johnson
US4781601046
197
United States
0.10%
BlackRock Inc
US09290D1019
36
United States
0.10%
Alnylam Pharmaceuticals Inc
US02043Q1076
120
United States
0.09%
KKR & Co Inc Ordinary Shares
US48251W1045
351
United States
0.09%
Brown & Brown Inc
US1152361010
557
United States
0.09%
Rollins Inc
US7757111049
673
United States
0.09%
Paychex Inc
US7043261079
299
United States
0.08%
Verisk Analytics Inc
US92345Y1064
158
United States
0.08%
Agilent Technologies Inc
US00846U1016
209
United States
0.07%
Liberty Media Corp Registered Shs Series -C- Formula One
US5312297550
278
United States
0.07%
Cintas Corp
US1729081059
140
United States
0.07%
Palo Alto Networks Inc
US6974351057
78
United States
0.06%
IQVIA Holdings Inc
US46266C1053
122
United States
0.06%
Arthur J. Gallagher & Co
US3635761097
95
United States
0.05%
Veeva Systems Inc Class A
US9224751084
99
United States
0.05%
VeriSign Inc
US92343E1029
60
United States
0.05%
Mettler-Toledo International Inc
US5926881054
14
United States
0.04%
CoStar Group Inc
US22160N1090
460
United States
0.04%
Erie Indemnity Co Class A
US29530P1021
60
United States
0.03%
Okta Inc Class A
US6792951054
86
United States
0.02%
Tyler Technologies Inc
US9022521051
25
United States
0.02%
Zoom Communications Inc
US98980L1017
68
United States
0.02%
Accenture PLC Class A
IE00B4BNMY34
34
United States
0.02%
MongoDB Inc Class A
US60937P1066
15
United States
0.02%
Tradeweb Markets Inc
US8926721064
55
United States
0.01%
Coinbase Global Inc Ordinary Shares - Class A
US19260Q1076
13
United States