LCTD logo

LCTD ETF Holdings

All holdings

(total: 368)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry
1.93%$171 B39 K$120.95$4.74 MFinancial ServicesBanks - DiversifiedCanada

NOVO NORDISK CLASS B

1.87%-44 K

NESTLE SA

1.84%-54 K

HSBC HOLDINGS PLC

1.72%-437 K
1.62%$282 B5508$716.87$3.95 MTechnologySemiconductor Equipment & MaterialsNetherlands

SCHNEIDER ELECTRIC

1.61%-16 K

ASTRAZENECA PLC

1.47%-28 K

SAP

1.39%-14 K

LVMH

1.33%-4971

IBERDROLA SA

1.23%-223 K

NOVARTIS AG

1.20%-30 K

SIEMENS N AG

1.15%-14 K

HITACHI LTD

1.14%-111 K

WSP GLOBAL INC

1.13%-16 K

TORONTO DOMINION

1.13%-53 K

DIAGEO PLC

1.11%-85 K

TRANSURBAN GROUP STAPLED UNITS

1.09%-315 K

BANK OF NOVA SCOTIA

1.08%-49 K

RELX PLC

1.06%-56 K

AIRBUS GROUP

1.04%-16 K
1.04%$122 B47 K$54.32$2.57 MEnergyOil & Gas IntegratedFrance

LOREAL SA

0.97%-6711

INDUSTRIA DE DISENO TEXTIL INDITEX

0.96%-45 K

SUN LIFE FINANCIAL INC

0.94%-39 K

MACQUARIE GROUP LTD DEF

0.90%-16 K

TORAY INDUSTRIES INC

0.90%-350 K

SANOFI SA

0.89%-23 K

COMMONWEALTH BANK OF AUSTRALIA

0.88%-22 K
SHEL logo

Shell

SHEL
0.86%$187 B69 K$61.44$4.25 MEnergyOil & Gas IntegratedUnited Kingdom

ENEL

0.82%-285 K

HONDA MOTOR LTD

0.81%-256 K

TOYOTA MOTOR CORP

0.79%-111 K
0.75%$23 B16 K$117.22$1.85 MBasic MaterialsGoldCanada

INTESA SANPAOLO

0.72%-438 K

BLK CSH FND TREASURY SL AGENCY

0.70%-2 M

MERCEDES-BENZ GROUP N AG

0.69%-30 K

DBS GROUP HOLDINGS LTD

0.68%-52 K

DEUTSCHE TELEKOM N AG

0.67%-54 K
GSK logo

GSK

GSK
0.67%$69 B99 K$34.01$3.36 MHealthcareDrug Manufacturers - GeneralUnited Kingdom

IMPERIAL OIL LTD

0.65%-25 K
0.64%$163 M35 K$3.33$116.25 KTechnologyInformation Technology ServicesUnited States

HERMES INTERNATIONAL

0.63%-644

FUJIFILM HOLDINGS CORP

0.62%-72 K

ZOZO INC

0.59%-47 K

UCB SA

0.59%-7469

QBE INSURANCE GROUP LTD

0.59%-119 K
0.57%$141 B13 K$109.45$1.41 MTechnologySoftware ApplicationCanada

SWISS LIFE HOLDING AG

0.57%-1811

GALP ENERGIA SGPS SA CLASS B

0.56%-79 K

DENSO CORP

0.55%-103 K

KAO CORP

0.55%-33 K
EQT logo

EQT

EQT
0.54%$26 B49 K$44.10$2.15 MEnergyOil & Gas Equipment & ServicesUnited States

SIKA AG

0.53%-5336

BRAMBLES LTD

0.52%-103 K

SONOVA HOLDING AG

0.52%-3898

ALLIANZ

0.51%-4061

WESTPAC BANKING CORPORATION CORP

0.50%-61 K

BP PLC

0.50%-258 K

AIA GROUP LTD

0.50%-173 K
0.49%$26 B21 K$56.90$1.19 MBasic MaterialsGoldCanada

ROCHE HOLDING PAR AG

0.48%-4229

SONY GROUP CORP

0.48%-57 K

ADVANTEST CORP

0.46%-20 K

WARTSILA

0.46%-64 K

LONDON STOCK EXCHANGE GROUP PLC

0.46%-7723
0.45%$2 B18 K$11.37$207.04 KFinancial ServicesMortgage FinanceUnited States

NOMURA HOLDINGS INC

0.44%-191 K

ENGIE SA

0.43%-68 K

DAIWA HOUSE INDUSTRY LTD

0.43%-35 K

NOMURA RESEARCH INSTITUTE LTD

0.42%-35 K

TELE2 B

0.42%-103 K
0.42%$35 B14 K$75.78$1.05 MConsumer DefensiveNon-Alcoholic BeveragesUnited Kingdom

TOKYO ELECTRON LTD

0.41%-6700
0.41%$11 B34 K$16.70$570.00 KIndustrialsAirlinesUnited States

NINTENDO LTD

0.40%-16 K

MITSUBISHI HEAVY INDUSTRIES LTD

0.39%-65 K
0.39%-96 KCommunication ServicesInternet Content & InformationUnited States

TERUMO CORP

0.39%-49 K

SAINSBURY(J) PLC

0.38%-273 K

DASSAULT SYSTEMES

0.38%-27 K

KONINKLIJKE PHILIPS NV

0.38%-37 K
0.38%$15 B2940$314.00$923.16 KTechnologySoftware InfrastructureIsrael
0.38%$21 B14 K$66.25$924.92 KConsumer CyclicalRestaurantsCanada

CANADIAN IMPERIAL BANK OF COMMERCE

0.38%-14 K

BARCLAYS PLC

0.38%-285 K

KUBOTA CORP

0.37%-79 K

INTACT FINANCIAL CORP

0.37%-4938

SAFRAN SA

0.36%-4053

CREDIT AGRICOLE SA

0.36%-65 K
0.36%$21 B22 K$41.94$908.21 KBasic MaterialsOther Industrial Metals & MiningCanada

KUEHNE UND NAGEL INTERNATIONAL AG

0.36%-3873

ING GROEP NV

0.35%-55 K

BANCO SANTANDER SA

0.34%-183 K

ASTELLAS PHARMA INC

0.34%-86 K

ALFA LAVAL

0.34%-20 K

SWISSCOM AG

0.34%-1496
0.34%$29 B177 K$54.78$9.67 MConsumer CyclicalSpecialty RetailUnited States

LEGRAND SA

0.33%-8185

SIEMENS HEALTHINEERS AG

0.33%-15 K

CGI INC CLASS A

0.33%-7408

Holding types

Countries

Sectors