L&G Quality Equity Dividends ESG Exclusions Asia Pacific ex-Japan UCITS ETF
LGGA.DE
#2786
ETF rank
$55.66 M
Marketcap
๐Ÿ‡ช๐Ÿ‡บ EU
Market
$13.17
Share price
0.29%
Change (1 day)
50.68%
Change (1 year)

L&G Quality Equity Dividends ESG Exclusions Asia Pacific ex-Japan UCITS ETF - Holdings

Etf holdings as of October 10, 2025Number of holdings: 114

Full holdings list

Weight %NameTickerISIN
1.69%
EAGERS AUTOMOTIVE LTD NPVAU000000APE3
1.51%
LENOVO GROUP LTD NPV0992.HKHK0992009065
1.47%
SINGAPORE TECHNOLOGIES ENGINEER NPVSTEG.SISG1F60858221
1.47%
SAMSUNG LIFE INSURANCE CO KRW 500.0032830.KSKR7032830002
1.46%
RIO TINTO NPVRIO.AXAU000000RIO1
1.44%
SHINHAN FINANCIAL GROUP KRW 5000.0055550.KSKR7055550008
1.44%
SITC INTERNATIONAL HOLDINGS HKD 0.1XHKGKYG8187G1055
1.42%
DBS GROUP NPVDBSM.SISG1L01001701
1.42%
PCCW LTD NPV0008.HKHK0008011667
1.41%
ANZ GROUP HOLDINGS LTD AUD 1.0ANZ.AXAU000000ANZ3
1.41%
KOREA INVESTMENT HOLDING KRW 5000.0071050.KSKR7071050009
1.41%
VENTURE CORP LTD NPVVENM.SISG0531000230
1.41%
SHENZHOU INTERNATIONAL GROU HKD 0.12313.HKKYG8087W1015
1.40%
SAMSUNG SECURITIES CO LT KRW 5000.0016360.KSKR7016360000
1.39%
CHOW TAI FOOK JEWELLERY GRO HKD 1.01929.HKKYG211461085
1.39%
AMPOL LTDAU0000088338
1.38%
APA GROUPAPA.AXAU000000APA1
1.38%
BOC HONG KONG HOLDINGS LTD NPV2388.HKHK2388011192
1.37%
HANA FINANCIAL GROUP INC KRW 5000.0086790.KSKR7086790003
1.36%
SAMSUNG FI KRW500000810.KSKR7000810002
1.36%
KB FINANCIAL GROUP INC KRW 5000.0105560.KSKR7105560007
1.36%
WOORI FINANCIAL GROUP IN KRW 5000.0316140.KSKR7316140003
1.35%
FORTESCUE NPVFMG.AXAU000000FMG4
1.34%
DB INSURANCE CO LTD KRW 500.0005830.KSKR7005830005
1.34%
MTR CORP LTD NPV0066.HKHK0066009694
1.34%
MACQUARIE GP LTD NPVMQG.AXAU000000MQG1
1.33%
JB HI-FI LTD NPVJBH.AXAU000000JBH7
1.33%
QBE INS GR NPVQBE.AXAU000000QBE9
1.33%
SWIRE PACIFIC LTD NPV0019.HKHK0019000162
1.33%
OVERSEA-CH NPVOCBC.SISG1S04926220
1.33%
GENTING SINGAPORE LIMITEDGENS.SISGXE21576413
1.32%
HONG KONG + CHINA GAS CO LTD NPV0003.HKHK0003000038
1.32%
INDUSTRIAL BANK OF KOREA KRW 5000.0024110.KSKR7024110009
1.32%
WILMAR INTERNATIONAL LTD NPVWLIL.SISG1T56930848
1.32%
CK INFRASTRUCTURE HOLDINGS HKD 1.01038.HKBMG2178K1009
1.31%
KT+G CORP KRW 5000.0033780.KSKR7033780008
1.31%
UTD O/S BA NPVUOBH.SISG1M31001969
1.30%
TELSTRA GROUP LTD NPVTLS.AXAU000000TLS2
1.29%
POWER ASSETS HOLDINGS LIMITED NPV0006.HKHK0006000050
1.28%
LG CORP KRW 5000.0003550.KSKR7003550001
1.28%
BNK FINANCIAL GROUP INC KRW 5000.0138930.KSKR7138930003
1.28%
MEDIBANK PVT LTD AUD 1.0MPL.AXAU000000MPL3
1.27%
TRANSURBAN GROUPTCL.AXAU000000TCL6
1.26%
ORIGIN ENERGY LTD NPVORG.AXAU000000ORG5
1.25%
JB FINANCIAL GROUP CO LT KRW 5000.0KR7175330000
1.23%
SPARK NEW ZEALAND LTD NPVTEL.NZNZTELE0001S4
1.22%
KIA CORP KRW 5000.0000270.KSKR7000270009
1.22%
KIWOOM SECURITIES CO LTD KRW 5000.0KR7039490008
1.22%
WH GROUP LTD USD 0.0001 144A0288.HKKYG960071028
1.21%
METCASH LTD NPVMTS.AXAU000000MTS0
1.19%
LG UPLUS CORP KRW5000032640.KSKR7032640005
1.18%
SONIC HEALTHCARE LTD NPVSHL.AXAU000000SHL7
1.18%
ATLAS ARTERIA LTDAU0000013559
1.14%
WOODSIDE ENERGY GROUP LTD NPV***AU0000224040
1.11%
ORIENT OVERSEAS INTERNATION USD 0.10316.HKBMG677491539
1.07%
SANTOS LTD NPVSTO.AXAU000000STO6
1.03%
HANKOOK TIRE + TECHNOLOGY KRW 500.0161390.KSKR7161390000
1.01%
XINYI GLASS HOLDINGS LTD HKD 0.10868.HKKYG9828G1082
1.00%
FIRST PACIFIC CO LTD USD 0.010142.HKBMG348041077
0.99%
NH INVESTMENT SECURITIES CO LTDKR7005940002
0.90%
SUPER RETAIL GROUP LTD NPVSUL.AXAU000000SUL0
0.82%
BANK OF EAST ASIA LTD/THE NPV0023.HKHK0023000190
0.81%
PACIFIC BASIN SHIPPING LTD USD 0.012343.HKBMG684371393
0.76%
KEPPEL INFRASTRUCTURE TRUSTSG1U48933923
0.74%
GS HOLDINGS CORP KRW 5000.0078930.KSKR7078930005
0.74%
NRW HOLDINGS LTD NPVNWH.AXAU000000NWH5
0.71%
CATHAY PACIFIC AIRWAYS LTD NPV0293.HKHK0293001514
0.67%
JARDINE CYCLE + CARRIAGE LTD NPVJCYC.SISG1B51001017
0.66%
GRAINCORP LTD NPVGNC.AXAU000000GNC9
0.63%
HYUNDAI MARINE + FIRE INS KRW 500.0001450.KSKR7001450006
0.62%
KUMHO PETROCHEMICAL CO L KRW 5000.0011780.KSKR7011780004
0.60%
STELLA INTERNATIONAL HOLDIN HKD 0.11836.HKKYG846981028
0.59%
PREMIER INVESTMENTS LTD NPVPMV.AXAU000000PMV2
0.59%
NICK SCALI LTD NPVAU000000NCK1
0.56%
CENTURIA CAPITAL GROUPAU000000CNI5
0.55%
CTF SERVICES LTD HKD 1.00659.HKBMG668971101
0.55%
KOREAN REINSURANCE CO KRW 500.0KR7003690005
0.54%
LUK FOOK HOLDINGS INTERNATI HKD 0.10590.HKBMG5695X1258
0.51%
CHEIL WORLDWIDE KRW 200.0030000.KSKR7030000004
0.50%
HELIA GROUP LTD NPV****AU0000251498
0.48%
ELDERS LTD NPVELD.AXAU000000ELD6
0.46%
MAN WAH HOLDINGS LTD HKD 0.4BMG5800U1071
0.42%
SAMSUNG CARD CO LTD KRW 5000.0029780.KSKR7029780004
0.41%
DAH SING FINANCIAL HOLDINGS LTD NPV0440.HKHK0440001847
0.38%
KEPCO PLANT SERVICE + ENG KRW 200.0051600.KSKR7051600005
0.37%
DICKER DATA LTD NPVAU000000DDR5
0.36%
CREDIT CORP GROUP LTD NPVCCP.AXAU000000CCP3
0.36%
VECTOR LTD NPVVCT.NZNZVCTE0001S7
0.34%
MCMILLAN SHAKESPEARE LTD NPVAU000000MMS5
0.33%
INGHAMS GROUP LTDAU000000ING6
0.32%
FIRST RESOURCES LTD NPVFRLD.SISG1W35938974
0.31%
LX INTERNATIONAL CORP KRW 5000.0001120.KSKR7001120005
0.31%
KELSIAN GROUP LTD NPVAU0000186678
0.28%
DAISHIN SECURITIES CO LT KRW 5000.0KR7003540002
0.28%
IPH LTD AUD 1.0AU000000IPH9
0.27%
SUNEVISION HOLDINGS LTD HKD 0.1KYG857001054
0.25%
DAH SING BANKING GROUP LTD NPV2356.HKHK2356013600
0.25%
CITIC TELECOM INTERNATIONAL HOL NPV1883.HKHK1883037637
0.25%
STANMORE RESOURCES LTD NPVAU000000SMR4
0.23%
LX SEMICON CO LTD KRW 500.0KR7108320003
0.20%
ACCENT GROUP LTD NPVAU000000AX19
0.17%
RIVERSTONE HOLDINGS LTD NPVSG1U22933048
0.16%
HANSSEM CO LTD KRW 1000.0009240.KSKR7009240003
0.15%
SK NETWORK KRW2500001740.KSKR7001740000
0.14%
CAFE DE CORAL HOLDINGS LTD HKD 0.10341.HKBMG1744V1037
0.14%
BEIJING TONG REN TANG CHINESE M NPVHK0000145638
0.13%
TKG HUCHEMS CO LTD KRW 1000.0KR7069260008
0.13%
BUMITAMA AGRI LTD NPVSG2E67980267
0.10%
HUTCHISON TELECOMMUNICATIO HKD 0.250215.HKKYG4672G1064
0.09%
HL HOLDINGS CORPORATIONKR7060980000
0.08%
HANKOOK SHELL OIL CO LTD KRW 5000.0KR7002960003
0.08%
HYUNDAI HOME SHOPPING NE KRW 5000.0KR7057050007
0.08%
SOLVAR LTD NPVAU0000258782
0.03%
IMARKETKOREA INC KRW 500.0KR7122900004