ACWI logo

ACWI ETF Holdings

All holdings

(total: 2338)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry
AAPL logo

Apple

AAPL
4.51%$3672 B4 M$242.94$915.78 MTechnologyConsumer ElectronicsUnited States
NVDA logo

NVIDIA

NVDA
4.18%$3447 B6 M$140.77$853.40 MTechnologySemiconductorsUnited States
3.76%$3210 B2 M$431.73$752.71 MTechnologySoftware InfrastructureUnited States
AMZN logo

Amazon

AMZN
2.46%$2249 B2 M$213.88$501.02 MConsumer CyclicalInternet RetailUnited States
1.56%$1553 B540 K$615.00$331.97 MCommunication ServicesInternet Content & InformationUnited States
1.25%$2100 B1 M$171.55$249.45 MCommunication ServicesInternet Content & InformationUnited States
TSLA logo

Tesla

TSLA
1.20%$1131 B710 K$352.20$250.15 MConsumer CyclicalAuto ManufacturersUnited States
1.07%$2120 B1 M$173.19$213.78 MCommunication ServicesInternet Content & InformationUnited States

TAIWAN SEMICONDUCTOR MANUFACTURING

0.95%-6 M
0.90%$689 B711 K$244.60$173.98 MFinancial ServicesBanks - DiversifiedUnited States
0.89%$794 B1 M$170.02$186.06 MTechnologySemiconductorsUnited States
0.80%$774 B200 K$815.35$162.88 MHealthcareDrug Manufacturers - GeneralUnited States
0.80%$1016 B326 K$471.20$153.82 MFinancial ServicesInsurance DiversifiedUnited States
0.71%$555 B228 K$603.00$137.42 MHealthcareHealthcare PlansUnited States
0.66%$517 B1 M$117.55$128.64 MEnergyOil & Gas IntegratedUnited States
0.66%$606 B412 K$312.99$129.02 MFinancial ServicesCredit ServicesUnited States
0.55%$483 B202 K$526.00$106.42 MFinancial ServicesCredit ServicesUnited States
0.54%$435 B110 K$981.51$107.62 MConsumer DefensiveDiscount StoresUnited States
0.53%$426 B246 K$429.04$105.35 MConsumer CyclicalHome Improvement RetailUnited States
0.53%$413 B577 K$175.20$101.15 MConsumer DefensiveHousehold & Personal ProductsUnited States
0.51%$752 B1 M$93.53$102.19 MConsumer DefensiveDiscount StoresUnited States
0.48%$386 B106 K$902.60$95.94 MCommunication ServicesEntertainmentUnited States
0.47%$367 B592 K$152.42$90.17 MHealthcareDrug Manufacturers - GeneralUnited States

NOVO NORDISK CLASS B

0.43%-799 K

TENCENT HOLDINGS LTD

0.43%-2 M
0.42%$359 B2 M$46.79$81.44 MFinancial ServicesBanks - DiversifiedUnited States
ABBV logo

AbbVie

ABBV
0.41%$321 B437 K$181.50$79.29 MHealthcareDrug Manufacturers - GeneralUnited States
0.40%$350 B237 K$366.30$86.64 MTechnologySoftware ApplicationUnited States
ORCL logo

Oracle

ORCL
0.38%$511 B409 K$184.43$75.52 MTechnologySoftware InfrastructureUnited States
0.35%$289 B428 K$161.94$69.26 MEnergyOil & Gas IntegratedUnited States
0.33%$247 B842 K$74.12$62.39 MFinancial ServicesBanks - DiversifiedUnited States

ASML HOLDING NV

0.33%-99 K
0.33%$273 B1 M$63.47$63.82 MConsumer DefensiveNon-Alcoholic BeveragesUnited States
0.33%$258 B625 K$101.85$63.68 MHealthcareDrug Manufacturers - GeneralUnited States

SAP

0.31%-258 K
0.30%$237 B986 K$59.46$58.61 MTechnologyCommunication EquipmentUnited States
0.28%$221 B154 K$352.97$54.38 MTechnologyInformation Technology ServicesIreland
0.28%$222 B335 K$161.68$54.20 MConsumer DefensiveNon-Alcoholic BeveragesUnited States
ADBE logo

Adobe

ADBE
0.28%$231 B109 K$524.00$56.93 MTechnologySoftware InfrastructureUnited States

NESTLE SA

0.28%-646 K
0.28%$231 B400 K$142.40$57.00 MTechnologySemiconductorsUnited States
0.27%$218 B118 K$457.43$53.89 MBasic MaterialsSpecialty ChemicalsUnited Kingdom
0.27%$211 B447 K$116.32$51.95 MCommunication ServicesEntertainmentUnited States
0.27%$221 B51 K$1071.99$54.96 MTechnologySoftware ApplicationUnited States

NOVARTIS AG

0.26%-489 K
0.26%$202 B381 K$129.68$49.46 MConsumer DefensiveTobaccoUnited States
0.26%$202 B426 K$116.73$49.78 MHealthcareMedical DevicesUnited States

ASTRAZENECA PLC

0.26%-377 K
0.26%$211 B226 K$228.60$51.63 MTechnologyInformation Technology ServicesUnited States
0.26%$211 B176 K$294.01$51.74 MConsumer CyclicalRestaurantsUnited States

ROCHE HOLDING PAR AG

0.25%-174 K
SHEL logo

Shell

SHEL
0.25%$200 B2 M$65.30$100.48 MEnergyOil & Gas IntegratedUnited Kingdom
0.25%$204 B94 K$533.72$50.40 MHealthcareDiagnostics & ResearchUnited States
0.25%$192 B120 K$397.47$47.80 MIndustrialsFarm & Heavy Construction MachineryUnited States
0.25%$195 B270 K$180.37$48.74 MIndustrialsAerospace & DefenseUnited States

SAMSUNG ELECTRONICS LTD

0.24%-1 M
0.24%$194 B88 K$544.00$47.93 MHealthcareMedical Instruments & SuppliesUnited States
0.24%$189 B79 K$600.75$47.27 MFinancial ServicesCapital MarketsUnited States
0.23%$181 B224 K$198.01$44.34 MTechnologySemiconductorsUnited States
0.23%$185 B1 M$43.83$45.43 MCommunication ServicesTelecom ServicesUnited States
0.22%$213 B143 K$302.45$43.20 MFinancial ServicesCredit ServicesUnited States
0.22%$179 B349 K$126.90$44.29 MFinancial ServicesBanks - DiversifiedCanada
0.22%$181 B276 K$162.85$44.94 MTechnologySemiconductorsUnited States
0.22%$173 B8350$5214.38$43.54 MConsumer CyclicalTravel ServicesUnited States
INTU logo

Intuit

INTU
0.22%$179 B69 K$638.24$44.09 MTechnologySoftware ApplicationUnited States

ALIBABA GROUP HOLDING LTD

0.22%-4 M

TOYOTA MOTOR CORP

0.22%-3 M

LVMH

0.21%-67 K
0.21%$161 B79 K$518.19$40.96 MFinancial ServicesFinancial Data & Stock ExchangesUnited States

COMMONWEALTH BANK OF AUSTRALIA

0.21%-411 K
CMCSA logo

Comcast

CMCSA
0.21%$164 B952 K$42.81$40.76 MCommunication ServicesTelecom ServicesUnited States
0.21%$170 B2 M$23.70$41.62 MCommunication ServicesTelecom ServicesUnited States

HSBC HOLDINGS PLC

0.21%-5 M
0.20%$155 B141 K$274.40$38.68 MConsumer CyclicalHome Improvement RetailUnited States
0.20%$158 B329 K$118.77$39.08 MIndustrialsAerospace & DefenseUnited States
0.20%$154 B143 K$263.72$37.78 MFinancial ServicesInsurance - Property & CasualtyUnited States
0.20%$157 B506 K$76.50$38.73 MUtilitiesElectricUnited States
0.20%$210 B302 K$130.24$39.36 MFinancial ServicesCapital MarketsUnited States
0.20%$174 B161 K$240.95$38.71 MHealthcareDiagnostics & ResearchUnited States
0.19%$148 B161 K$227.00$36.58 MIndustrialsConglomeratesUnited States
0.19%$154 B37 K$1040.50$38.20 MFinancial ServicesAsset ManagementUnited States
0.19%$148 B99 K$373.61$37.03 MIndustrialsSpecialty Industrial MachineryIreland
0.19%$143 B149 K$236.32$35.21 MIndustrialsRailroadsUnited States

UNILEVER PLC

0.19%-611 K
AMGN logo

Amgen

AMGN
0.19%$149 B132 K$277.08$36.67 MHealthcareDrug Manufacturers - GeneralUnited States
0.18%$151 B204 K$183.75$37.48 MTechnologySemiconductor Equipment & MaterialsUnited States
0.18%$123 B324 K$106.73$34.55 MEnergyOil & Gas Equipment & ServicesUnited States

SIEMENS N AG

0.18%-187 K
0.18%$141 B279 K$124.97$34.85 MConsumer CyclicalApparel RetailUnited States
0.18%$145 B1 M$25.59$36.00 MHealthcareDrug Manufacturers - GeneralUnited States
0.17%$148 B395 K$81.12$32.04 MFinancial ServicesCapital MarketsUnited States
0.17%$144 B300 K$111.75$33.57 MTechnologySoftware ApplicationCanada
0.17%$150 B467 K$71.38$33.31 MTechnologySoftware ApplicationUnited States

SCHNEIDER ELECTRIC

0.17%-133 K

BLK CSH FND TREASURY SL AGENCY

0.17%-34 M
0.17%$135 B472 K$71.45$33.71 MFinancial ServicesBanks - DiversifiedUnited States
0.17%$163 B503 K$71.54$35.96 MTechnologySoftware InfrastructureUnited States
0.17%$134 B370 K$91.00$33.69 MHealthcareMedical DevicesUnited States
0.17%$150 B85 K$392.47$33.52 MHealthcareMedical DevicesUnited States
0.17%$141 B176 K$186.01$32.81 MFinancial ServicesAsset ManagementUnited States

Holding types

Countries

Sectors