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ETF
SSAC
iShares MSCI ACWI UCITS ETF USD (Acc) CHF
SSAC
• SW
Fr101.84
+Fr0.42
(
0.41%
)
Overview
Dividends
Holdings
β
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Community
Top 10 holdings (
24.29%
)
show more
NVDA - NVIDIA Corporation
4.8%
AAPL - Apple Inc
4.5%
MSFT - Microsoft Corporation
2.7%
AMZN - Amazon.com, Inc
2.4%
GOOGL - Alphabet Inc
2%
2330 - Taiwan Semicon
1.8%
AVGO - Broadcom Inc
1.7%
GOOG - Alphabet Inc
1.6%
META - Meta Platforms Inc
1.4%
NDIA - iShares MSCI India UCITS ETF USD Acc
1.3%
Sectors
Classes
Regions
NVDA - NVIDIA Corporation
4.8%
AAPL - Apple Inc
4.5%
MSFT - Microsoft Corporation
2.7%
AMZN - Amazon.com, Inc
2.4%
GOOGL - Alphabet Inc
2%
2330 - Taiwan Semicon
1.8%
AVGO - Broadcom Inc
1.7%
GOOG - Alphabet Inc
1.6%
META - Meta Platforms Inc
1.4%
NDIA - iShares MSCI India UCITS ETF USD Acc
1.3%
MU - Micron Technology, Inc
1.1%
TSLA - Tesla, Inc
1.1%
JPM - JPMorgan Chase & Co
0.9%
LLY - Eli Lilly and Company
0.9%
AMD - Advanced Micro Devices, Inc
0.9%
005930 - Samsung Electronics Co Ltd
0.8%
000660 - SK Hynix Inc
0.7%
ASML - ASML Holding N.V
0.7%
BRKB - BRKB
0.7%
JNJ - Johnson & Johnson
0.6%
V - Visa Inc
0.6%
XOM - Exxon Mobil Corporation
0.6%
4BRZ - iShares DE I - iShares MSCI Brazil UCITS ETF DE
0.48%
WMT - Walmart Inc
0.48%
INTC - Intel Corporation
0.47%
AMAT - Applied Materials, Inc
0.46%
CSCO - Cisco Systems, Inc
0.45%
MA - Mastercard Incorporated
0.44%
CNYA - iShares MSCI China A UCITS ETF USD (Acc)
0.43%
LRCX - Lam Research Corporation
0.43%
ABBV - AbbVie Inc
0.42%
CAT - Caterpillar Inc
0.42%
BAC - Bank of America Corporation
0.41%
COST - Costco Wholesale Corporation
0.4%
UNH - UnitedHealth Group Incorporated
0.38%
GE - GE Aerospace
0.36%
0700 - Tencent Holdings Limited
0.35%
CVX - Chevron Corporation
0.34%
HSBA - HSBC Holdings plc
0.34%
GS - The Goldman Sachs Group, Inc
0.33%
KO - The Coca-Cola Company
0.33%
PG - The Procter & Gamble Company
0.33%
HD - The Home Depot, Inc
0.32%
IKSA - iShares MSCI Saudi Arabia Capped UCITS ETF USD (Acc)
0.3%
NFLX - Netflix, Inc
0.3%
PLTR - Palantir Technologies Inc
0.3%
KLAC - KLA Corporation
0.29%
MRK - Merck & Co., Inc
0.29%
RY - Royal Bank of Canada
0.29%
GEV - GE Vernova LLC
0.28%