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SADA - Amundi Index MSCI EM ASIA SRI PAB UCITS ETF DR (USD) (Dist) (LU2300294589)

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(%)
LU2300294589
SADA ISIN
交易所交易基金 (ETF)
基金类型
Amundi
提供商
50,81 USD
每股资产净值 | 2026-07-09
2021-08-11
成立日期
1 每年的次数
股息的支付
CECIMX
CFI
SADA
代码
Formed
Status
Equity
投资项目
Environmental social and corporate governance & Corporate Social Responsibility
部门
Asia
地区分布
MSCI EM Asia SRI Filtered PAB Index
基准
0.25 %
总成本比率
Physical
复制方法
214,42 百万 USD
基金资产总量 | 2026-07-07
UCITS

收益率 在 2026-07-09, Frankfurt S.E.

  • YTD
    9,46 %
  • 1M
    2,24 %
  • 3M
    3,76 %
  • 6M
    13,12 %
  • 1Y
    27,45 %
  • 3Y
    33,28 %
  • 5Y
    -
  • 10Y
    -
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最新数据在
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报价 (SADA)

探索最全面的数据库

1 000 000

债券

80 234

股票

175 910

ETF & Funds

8万

指数

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Fund profile

The Amundi Index MSCI EM ASIA SRI PAB UCITS ETF DR seeks to replicate as closely as possible the performance of the MSCI EM Asia SRI Filtered PAB Index providing exposure to companies with outstanding ESG ratings across Asian emerging market countries.

SADA profile

The Amundi Index MSCI EM ASIA SRI PAB UCITS ETF DR (USD) (Dist) is a(n) Equity Exchange Traded Funds (ETF) seeks to invest in Environmental social and corporate governance & Corporate Social Responsibility sector located in Asia. The Amundi fund’s base currency is USD and the share class was registered 11.08.2021 with unique ISIN - LU2300294589. Main exchange is Frankfurt S.E. and ticker symbol is SADA. The total expense ratio is 0.25%. The Amundi Index MSCI EM ASIA SRI PAB UCITS ETF DR (USD) (Dist) pays dividends 1 time(s) per year.

结构 SADA 在 2026-06-19

证券
TAIWAN SEMICONDUCTOR MANUFAC 17,44%
SAMSUNG ELECTRO MECHANICS 6,45%
UNITED MICROELECTRONICS CORP 5,81%
DELTA ELECTRONICS INC 5,06%
SK SQUARE CO LTD 4,9%
ASIA VITAL COMPONENTS 4,06%
NETEASE INC 3,05%
POWER GRID CORP OF INDIA LTD 2,3%
AIRPORTS OF THAILAND PCL-FOREIGN 2,2%
MEITUAN-CLASS B 2,14%
CHINA YANGTZE PO-A 1,99%
CHINA CONSTRUCTION BANK HK 1,82%
JIANGSU HENGRUI MEDICI-A 1,8%
E INK HOLDINGS INC 1,75%
CATHAY FINANCIAL HOLDING CO 1,68%
CTBC FINANCIAL HOLDING CO LTD 1,64%
KB FINANCIAL GROUP INC 1,62%
HINDUSTAN UNILEVER LIMITED 1,62%
NAVER CORP 1,61%
HANSOH PHARMACEUTICAL GROUP 1,53%
SAMSUNG SDI CO LTD 1,3%
SUNNY OPTICAL TECH 1,3%
SHINHAN FINANCIAL GROUP LTD 1,23%
WUXI APPTEC CO LTD-A 1,23%
PIDILITE INDUSTRIES LTD 1,09%
HANA FINANCIAL HOLDINGS 0,98%
ASIAN PAINTS LTD 0,97%
HCL TECHNOLOGIES 0,96%
HD HYUNDAI ELECTRIC CO LTD 0,93%
POP MART INTERNATIONAL GROUP 0,9%
CHINA MERCHANTS BANK HKG 0,82%
GAMUDA BHD 0,79%
WUXI BIOLOGICS CAYMAN INC 0,74%
CONTEMPORARY AMPEREX TECHNOLOGY CO LTD 0,73%
MAHINDRA & MAHINDRA LTD 0,71%
MARICO LTD 0,7%
TS FINANCIAL HOLDING CO LTD 0,66%
E.SUN FINANCIAL 0,61%
WOORI FINANCIAL GROUP INC 0,61%
DABUR INDIA LIMITED 0,59%
KE HOLDINGS INC-CL A 0,56%
NIO INC-CLASS A 0,56%
WUXI APPTEC CO LTD-H 0,53%
LI AUTO INC-CLASS A 0,52%
XPENG INC - CLASS A SHARES 0,51%
PI INDUSTRIES LTD 0,51%
SINO BIOPHARMACEUTIC 0,49%
INNOVENT BIOLOGICS INC 0,45%
CHOW TAI FOOK 0,42%
FORTUNE ELECTRIC CO LTD 0,38%
LG CHEM LTD 0,38%
SHENZHEN MINDRAY BIO-MEDIC-A 0,35%
SHENZHEN INOVANCE TECHNOLO-A 0,35%
YUM CHINA HOLDINGS INC 0,33%
SHANGHAI FOSUN PHARMACEUTI-A 0,32%
SINOPAC FINANCIAL HOLDINGS 0,31%
SUNGROW POWER SUPPLY CO LT-A 0,3%
KAKAOBANK CORP 0,28%
VOLTAS LTD 0,27%
SUPREME INDUSTRIES LTD 0,26%
ADVANCED INFO SERVICE-FOREIGN 0,26%
LONGFOR GROUP HOLDINGS LTD 0,25%
S F HOLDING CO LTD-A 0,25%
SHANGHAI PHARMACEUTICALS-A 0,24%
BOSIDENG INTL HLDGS 0,23%
BEIJING KINGSOFT OFFICE SO-A 0,23%
KINGDEE INTL SFT 0,22%
ALIBABA HEALTH INFORMATION TECH 0,2%
CMOC GROUP LTD-H 0,2%
MALAYAN BANKING BHD 0,19%
PHARMARON BEIJING CO LTD-A 0,16%
SHANGHAI PUTAILAI NEW ENER-A 0,15%
CHAILEASE HOLDING CO LTD 0,13%
HANGZHOU TIGERMED CONSULTI-A 0,1%
GUOTAI HAITONG SECURITIES-H 0,09%
CIMB GROUP HOLDINGS BHD 0,09%
HUATAI SECURITIES CO-H 0,06%
ORACLE FINANCIAL SERVICES 0,05%
CHINA JUSHI CO LTD -A 0,02%
GANFENG LITHIUM CO LTD-A 0,01%
Other - %

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