ÃÛ¶¹ÊÓƵ ETFs
We are reducing the fee across a wide range of our ETFs.
We are reducing the fee across a wide range of our ETFs.
The scale and breadth of our Indexed capabilities enables us to provide competitive pricing whilst remaining committed to the highest levels of quality.
All ÃÛ¶¹ÊÓƵ ETFs are UCITS compliant, have UK Reporting Fund status, and are SIPP and ISA eligible.
Overview
The fund generally invests in stocks contained in the MSCI USA SRI Low Carbon Select 5% Issuer Capped 100% hedged to EUR Total Return Net Index. The relative weightings of the companies correspond to their weightings in the index.
The investment objective is to replicate the price and return performance of the MSCI USA SRI Low Carbon Select 5% Issuer Capped 100% hedged to EUR Total Return Net Index net of fees. The stock exchange price may differ from the net asset value.
The fund is passively managed.
Benefits
Clients benefit from the flexibility of an exchange-traded investment.
Provides access to the performance of the index with a single transaction.
Optimised risk/return profile thanks to a broad diversification across a range of sectors.
UCITS compliant fund.
Risks
Features
Name of fund |
ÃÛ¶¹ÊÓƵ (Lux) Fund Solutions – MSCI USA Socially Responsible UCITS ETF
|
Share class |
ÃÛ¶¹ÊÓƵ (Lux) Fund Solutions – MSCI USA Socially Responsible UCITS ETF (hedged to EUR) A-dis
|
Fund domicile |
Luxembourg
|
Launch date |
24.11.2015
|
Management fee p.a. |
0.25%
|
Management fee p.a. |
0.25%
|
Total expense ratio (TER) p.a. |
0.25%
|
Reuters |
.dMIUS000mTNEU
|
Securities no. |
29348787
|
Sedol code |
-
|
Fund type |
open-end
|
UCITS V |
yes
|
Currency of share class |
EUR
|
Accounting year end |
31 December
|
Replication methodology |
Physical (Full replicated)
|
Index name |
MSCI USA SRI Low Carbon Select 5% Issuer Capped 100% hedged to EUR Total Return Net
|
Index type |
Total Return Net
|
Number of index constituents |
182
|
Index online information |
www.msci.com
|
Shares outstanding |
5,213,102
|
Assets (EUR m) |
135.98
|
Total fund assets (USD m) |
1,867.30
|
Performance and prices
Volatility (as of last month end)
1Y | 2Y | 3Y | 5Y | |
Fund Volatility | - | 22.37% | 20.69% | 19.86% |
Benchmark Volatility | - | n.a. | n.a. | n.a. |
Tracking Error (ex post) | - | 0.09% | 0.08% | 0.07% |
Latest dividend declaration
Pay date | 07-Feb-2024 |
Distribution date | 01-Feb-2024 |
Distribution | 0.08 |
Currency | EUR |
Net Asset Values
Date
|
Adjusted NAV
|
Official NAV
|
Index
|
Distribution
|
27.03.2024 | EUR 28.2733 | EUR 26.0852 | 240.36 | |
28.03.2024 | EUR 28.3118 | EUR 26.1207 | 240.69 | |
02.04.2024 | EUR 27.8481 | EUR 25.6929 | 236.74 | |
03.04.2024 | EUR 27.8320 | EUR 25.6780 | 236.74 |
Sustainability
Sustainability-related disclosures
Holdings
Show securities lending
Securities | ISIN | Sedol Code | Currency | Price | Weight % |
NVIDIA CORP | US67066G1040 | 2379504 | USD | 894.52 | 6.02 |
MICROSOFT CORP | US5949181045 | 2588173 | USD | 421.44 | 5.09 |
TESLA INC | US88160R1014 | B616C79 | USD | 166.63 | 4.07 |
HOME DEPOT INC | US4370761029 | 2434209 | USD | 363.00 | 3.57 |
SALESFORCE INC | US79466L3024 | 2310525 | USD | 304.00 | 2.91 |
COCA-COLA CO/THE | US1912161007 | 2206657 | USD | 60.15 | 2.44 |
PEPSICO INC | US7134481081 | 2681511 | USD | 171.44 | 2.33 |
ADOBE INC | US00724F1012 | 2008154 | USD | 499.21 | 2.23 |
WALT DISNEY CO/THE | US2546871060 | 2270726 | USD | 122.82 | 2.23 |
CISCO SYSTEMS INC | US17275R1023 | 2198163 | USD | 49.08 | 1.97 |
Ticker | UE33 NA, USSRF IM, UET1 GY, USSRF SW |
Total net assets | 133,939,804.81 |
Total outstanding ETF Shares | 5,213,102.00 |
Base currency | EUR |
Collateral 12 month lending summary
as of last month end
Distributions as of 11-Jan-2022
29.01.2016 | 03.02.2016 | EUR | 0.02 | ||
29.07.2016 | 03.08.2016 | EUR | 0.08 | ||
31.01.2017 | 03.02.2017 | EUR | 0.12 | ||
31.07.2017 | 03.08.2017 | EUR | 0.06 | ||
31.01.2018 | 05.02.2018 | EUR | 0.07 | ||
31.07.2018 | 03.08.2018 | EUR | 0.07 | ||
31.01.2019 | 05.02.2019 | EUR | 0.15 | ||
31.07.2019 | 06.08.2019 | EUR | 0.08 | ||
03.02.2020 | 06.02.2020 | EUR | 0.08 | ||
03.08.2020 | 06.08.2020 | EUR | 0.08 | ||
01.02.2021 | 04.02.2021 | EUR | 0.08 | ||
02.08.2021 | 05.08.2021 | EUR | 0.09 | ||
01.02.2022 | 04.02.2022 | EUR | 0.09 | ||
01.08.2022 | 04.08.2022 | EUR | 0.09 | ||
01.02.2023 | 06.02.2023 | EUR | 0.08 | ||
08.08.2023 | 11.08.2023 | EUR | 0.09 | ||
01.02.2024 | 07.02.2024 | EUR | 0.08 |
Authorisations
Country of distribution |
Representative / Information
|
AT |
Ernst & Young Steuerberatungsgesellschaft m.b.H. Wien
|
BE |
BNP PARIBAS Securities Services
|
CH |
ÃÛ¶¹ÊÓƵ Fund Management (Switzerland) AG
|
DE |
ÃÛ¶¹ÊÓƵ (Deutschland) AG
|
DK |
ÃÛ¶¹ÊÓƵ AG, Stockholm
|
ES |
ÃÛ¶¹ÊÓƵ Europe SE, sucursal en España
|
FI |
ÃÛ¶¹ÊÓƵ AG, Stockholm
|
FR |
BNP PARIBAS Securities Services
|
GB |
ÃÛ¶¹ÊÓƵ Asset Management (UK) Limited
|
IT |
ÃÛ¶¹ÊÓƵ Asset Management SGR S.p.A.
|
LI |
Liechtensteinische Landesbank AG
|
LU |
ÃÛ¶¹ÊÓƵ Fund Services (Luxembourg) S.A.
|
NL |
ÃÛ¶¹ÊÓƵ Investment Bank Nederland BV.
|
NO |
ÃÛ¶¹ÊÓƵ AG, Stockholm
|
PT |
ÃÛ¶¹ÊÓƵ Europe SE, sucursal en España
|
SE |
ÃÛ¶¹ÊÓƵ AG, Stockholm
|
SG |
ÃÛ¶¹ÊÓƵ Asset Management (Singapore) Ltd.
|
Literature
Document type
|
Document Language
|
Fact Sheet |
Document type
|
Document Language
|
ESG Disclosure |
|
Key Investor Information (KIID) |
|
Past performance |
|
Previous performance scenario |
|
Prospectus |
|
SFDR Pre-Contractual Annex |
|
Document type
|
Document Language
|
Solvency II Reporting Q4 2023 |
|
Solvency II Reporting Q3 2023 |
|
Solvency II Reporting Q2 2023 |
|
Solvency II Reporting Q1 2023 |
|
Document type
|
Document Language
|
Annual report |
|
SFDR Periodic Report Annex |
|
Semi-annual report |
|
Trading information
Exchange | Currency | iNAV | Bid | Ask | Total volume | Total turnover | |
|
London Stock Exchange Domestic/UK Market 1st Currency | EUR | - | - | - | - | - |
|
SIX Swiss Exchange EUR | EUR | - | 25.8000 | 25.9450 | - | - |
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