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VANGUARD ESG DEV ASIA PA UCITS ETF USD D
V3PL
Euronext Milan
V3PL
Euronext Milan
V3PL
Euronext Milan
V3PL
Euronext Milan
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VANGUARD ESG DEV ASIA PA UCITS ETF USD D holdings
As of March 31, 2025
Symbol
Weight %
Shares
Shares Chg %
1M
Market value
Market value Chg %
1M
7
7203
Toyota Motor Corp.
3.19%
119.60 K
+22.04%
2.09 M
USD
+19.64%
0
005930
Samsung Electronics Co., Ltd.
2.94%
49.18 K
+22.01%
1.93 M
USD
+28.55%
C
CBA
Commonwealth Bank of Australia
2.48%
17.29 K
+22.01%
1.63 M
USD
+17.73%
8
8306
Mitsubishi UFJ Financial Group, Inc.
2.36%
115.20 K
+20.25%
1.55 M
USD
+28.06%
6
6758
Sony Group Corporation
2.35%
61.13 K
+20.27%
1.54 M
USD
+22.04%
8
8316
Sumitomo Mitsui Financial Group, Inc.
1.47%
37.96 K
+20.28%
963.34 K
USD
+21.30%
1
1299
AIA Group Limited
1.28%
111.40 K
+20.56%
839.05 K
USD
+18.88%
C
CSL
CSL Limited
1.18%
4.99 K
+21.93%
774.83 K
USD
+16.89%
6
6098
Recruit Holdings Co., Ltd.
1.14%
14.60 K
+21.67%
747.57 K
USD
+6.68%
8
8766
Tokio Marine Holdings, Inc.
1.14%
19.43 K
+21.97%
745.25 K
USD
+33.10%
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