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ISHARES MSCI USA SRI UCITS ETF D EUR H
3SUR
Euronext Milan
3SUR
Euronext Milan
3SUR
Euronext Milan
3SUR
Euronext Milan
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ISHARES MSCI USA SRI UCITS ETF D EUR H holdings
As of April 3, 2025
Symbol
Weight %
Shares
Shares Chg %
1M
Market value
Market value Chg %
1M
M
MSFT
Microsoft Corporation
8.48%
953.10 K
−3.98%
355.61 M
USD
−7.78%
N
NVDA
NVIDIA Corporation
7.59%
3.12 M
−3.98%
318.04 M
USD
−14.30%
T
TSLA
Tesla, Inc.
4.10%
642.76 K
−3.99%
171.80 M
USD
−9.84%
V
VZ
Verizon Communications Inc.
4.05%
3.72 M
−3.98%
169.61 M
USD
−0.15%
D
DIS
Walt Disney Company
3.02%
1.43 M
−3.99%
126.73 M
USD
−24.37%
H
HD
Home Depot, Inc.
2.97%
349.85 K
−3.98%
124.51 M
USD
−12.31%
K
KO
Coca-Cola Company
2.55%
1.46 M
−3.98%
106.92 M
USD
−2.84%
I
INTU
Intuit Inc.
1.89%
132.60 K
−3.97%
79.36 M
USD
−4.38%
A
ADBE
Adobe Inc.
1.81%
206.21 K
−3.99%
75.73 M
USD
−19.99%
P
PEP
PepsiCo, Inc.
1.77%
489.82 K
−3.98%
74.14 M
USD
−6.82%
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