Amundi S&P World Energy Screened UCITS ETF Dist vs Nordnet Indexfond Tillväxtmarknad ESG

Amundi S&P World Energy Screened UCITS ETF Dist vs Nordnet Indexfond Tillväxtmarknad ESG

1. Amundi S&P World Energy Screened UCITS ETF Dist

  • Security

    Amundi S&P World Energy Screened UCITS ETF Dist

  • Fee

    0.34%

  • ISIN

    IE0009SJ3GE3

  • Holdings

    25

2. Nordnet Indexfond Tillväxtmarknad ESG

  • Security

    Nordnet Indexfond Tillväxtmarknad ESG

  • Fee

    0.40%

  • ISIN

    IE00BMTD2Q38

  • Holdings

    20

  • Number of owning funds

    3

Fund Holdings

We have information about 25 holdings in Amundi S&P World Energy Screened UCITS ETF Dist, where the largest holding is Exxon Mobil (18.47), followed by Enbridge (10.21) and Schlumberger (8.44). In comparison with Nordnet Indexfond Tillväxtmarknad ESG, we have 28 holdings where TSMC is the largest holding (9.67), followed by Tencent (4.94) and Alibaba Group Holding Ltd (4.2).

All Holdings

Here we compare the holdings in Amundi S&P World Energy Screened UCITS ETF Dist and Nordnet Indexfond Tillväxtmarknad ESG.

Amundi S&P World Energy Screened UCITS ETF Dist Nordnet Indexfond Tillväxtmarknad ESG
1. Exxon Mobil Corp
USA
18.47 %
1. Taiwan Semiconductor Manufacturing Company
Taiwan
9.67 %
2. Enbridge Inc
10.21 %
2. Tencent Holdings Ltd
China
4.94 %
3. Schlumberger Ltd
USA
8.44 %
3. Alibaba Group Holding Ltd
China
4.2 %
4. Oneok Inc
USA
7.35 %
4. Samsung Electronics Co Ltd
South Korea
3.13 %
5. Baker Hughes Co
6.56 %
5. Xiaomi
China
1.88 %
6. Williams Companies Inc
USA
6.39 %
6. BYD Co Ltd Class H
China
1.7 %
7. BP PLC
6.27 %
7. HDFC Bank Ltd ADR
India
1.63 %
8. TotalEnergies SE
France
5.55 %
8. Pinduoduo Inc
China
1.48 %
9. Cheniere Energy Inc
4.96 %
9. MediaTek Inc
Taiwan
1.42 %
10. Kinder Morgan Inc
USA
3.77 %
10. Meituan Class B
China
1.16 %
11. Shell Plc
UK
3.27 %
11. Naspers Ltd
South Africa
1.09 %
12. TC Energy Corp
Canada
2.84 %
12. SK Hynix Inc
South Korea
1.01 %
13. Woodside Energy Group Ltd
Australia
2.41 %
13. Infosys Ltd
India
0.85 %
14. Pembina Pipeline Corp
2.32 %
14. Bharti Airtel Ltd
India
0.78 %
15. Equinor ASA
Norway
2.2 %
15. NetEase ADR
China
0.6 %
16. Targa Resources Corp
USA
2.1 %
16. Delta Electronics Inc
Taiwan
0.6 %
17. Halliburton Company
USA
1.82 %
17. Ping An Insurance Co
China
0.55 %
18. Aker BP
Norway
1.22 %
18. Emaar Properties PJSC
United Arab Emirates
0.54 %
19. Tenaris SA
Luxembourg
0.76 %
19. Reliance Industries Ltd
India
0.53 %
20. Galp Energia SGPS SA
Portugal
0.63 %
20. Hindustan Unilever Ltd
India
0.49 %
21. Santos Ltd
Australia
0.57 %
-
22. Subsea 7 SA
Norway
0.44 %
-
23. Golar LNG
Bermuda
0.44 %
-
24. Inpex Corp
Japan
0.33 %
-
25. Neste Oyj
0.2 %
-

The list of fund holdings was last updated on July 25, 2025.