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Download Zusammensetzung | xlsx

Fondszusammensetzung

Kasse 1,22%
Sonstige Forderungen und Verbindlichkeiten 0,04%
Holding Name WKN ISIN Gewichtung
TESLA INC A1CX3T US88160R1014 6,62%
FIRST SOLAR INC A0LEKM US3364331070 5,75%
FLEX LTD 890331 SG9999000020 5,14%
VESTAS WIND SYSTEMS A/S A3CMNS DK0061539921 5,08%
RIVIAN AUTOMOTIVE INC-A A3C47B US76954A1034 5,04%
FERROVIAL SE A3EG0H NL0015001FS8 5,04%
PANASONIC HOLDINGS CORP 853666 JP3866800000 4,93%
SUNRUN INC A14V1T US86771W1053 4,65%
QUANTA SERVICES INC 912294 US74762E1029 4,60%
VINCI SA 867475 FR0000125486 4,36%
ENPHASE ENERGY INC A1JC82 US29355A1079 4,23%
NEXTRACKER INC-CL A A3D5CW US65290E1010 4,18%
RESONAC HOLDINGS CORP 859554 JP3368000000 3,71%
NORSK HYDRO ASA 851908 NO0005052605 2,85%
SOLAREDGE TECHNOLOGIES INC A14QVM US83417M1045 2,76%
ORSTED A/S A0NBLH DK0060094928 1,69%
SEVERN TRENT PLC A0LBHG GB00B1FH8J72 1,66%
LUCID GROUP INC A41FLM US5494982029 1,56%
NORDEX SE A0D655 DE000A0D6554 1,54%
SOLARIA ENERGIA Y MEDIO AMBI A0MU98 ES0165386014 1,53%
EDP RENOVAVEIS SA A0Q249 ES0127797019 1,32%
ORMAT TECHNOLOGIES INC A0DK9X US6866881021 1,30%
NAVITAS SEMICONDUCTOR CORP A3C5RC US63942X1063 1,24%
NORTHLAND POWER INC A1H5MB CA6665111002 1,22%
HA SUSTAINABLE INFRASTRUCTUR A1T9C5 US41068X1000 1,16%
ARRAY TECHNOLOGIES INC A2QFA4 US04271T1007 1,15%
SHOALS TECHNOLOGIES GROUP -A A2QMUK US82489W1071 0,96%
VERBUND AG 877738 AT0000746409 0,92%
ERG SPA 909581 IT0001157020 0,89%
ENOVIX CORP A3CVS3 US2935941078 0,88%
FLUENCE ENERGY INC A3C6A3 US34379V1035 0,85%
CLEARWAY ENERGY INC-C A2N5TT US18539C2044 0,82%
ENLIGHT RENEWABLE ENERGY LTD A1CY4H IL0007200111 0,74%
S.O.I.T.E.C. A2DKAC FR0013227113 0,72%
CORP ACCIONA ENERGIAS RENOVA A3CS39 ES0105563003 0,66%
BORALEX INC -A 189946 CA09950M3003 0,55%
CKD CORP 865146 JP3346800000 0,51%
CANADIAN SOLAR INC A0LCUY CA1366351098 0,50%
KANEKA CORP 857863 JP3215800008 0,49%
SMA SOLAR TECHNOLOGY AG A0DJ6J DE000A0DJ6J9 0,47%
RENOVA INC A2DLQT JP3981200003 0,45%
TODA CORP 851919 JP3627000007 0,43%
ENERGIX-RENEWABLE ENERGIES A14PRK IL0011233553 0,43%
WEST HOLDINGS CORP A0JEF3 JP3154750008 0,32%
NITTETSU MINING CO LTD 869833 JP3680800004 0,30%
RS TECHNOLOGIES CO LTD A14SR1 JP3100350002 0,29%
SCATEC ASA A12C5D NO0010715139 0,27%
NPC INC A0M7HE JP3165840004 0,27%
CADELER A/S A2QG5D DK0061412772 0,26%
OY NOFAR ENERGY LTD A3DNNV IL0011708778 0,22%

Ländereinteilung

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Land Anteil
Vereinigte Staaten von Amerika 48,03%
Japan 11,87%
Dänemark 7,02%
Singapur 5,14%
Frankreich 5,08%
Niederlande 5,04%
Spanien 3,51%
Norwegen 3,24%
Kanada 2,39%
Deutschland 2,11%
Grossbritannien 1,96%
Israel 1,39%
Österreich 0,92%
Italien 0,89%
Australien 0,15%

Brancheneinteilung

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Branche Anteil
Investitionsgüter 19,40%
Halbleiter & Geräte z. Halbleiterprod. 14,43%
Versorgungsbetriebe 13,60%
Hardware & Ausrüstung 5,89%
Automobile & Komponenten 5,04%
Gebrauchsgüter & Bekleidung 4,93%
Roh-, Hilfs- & Betriebsstoffe 3,71%
Divers. Finanzdienste 1,16%

Indexzusammensetzung

Holding Name WKN ISIN Gewichtung
TESLA INC A1CX3T US88160R1014 6,56%
FIRST SOLAR INC A0LEKM US3364331070 5,90%
FLEX LTD 890331 SG9999000020 5,29%
VESTAS WIND SYSTEMS A/S A3CMNS DK0061539921 5,18%
FERROVIAL SE A3EG0H NL0015001FS8 5,14%
PANASONIC HOLDINGS CORP 853666 JP3866800000 5,02%
RIVIAN AUTOMOTIVE INC-A A3C47B US76954A1034 4,88%
SUNRUN INC A14V1T US86771W1053 4,79%
QUANTA SERVICES INC 912294 US74762E1029 4,78%
VINCI SA 867475 FR0000125486 4,47%
NEXTRACKER INC-CL A A3D5CW US65290E1010 4,31%
ENPHASE ENERGY INC A1JC82 US29355A1079 4,20%
RESONAC HOLDINGS CORP 859554 JP3368000000 3,57%
NORSK HYDRO ASA 851908 NO0005052605 2,88%
SOLAREDGE TECHNOLOGIES INC A14QVM US83417M1045 2,60%
ORSTED A/S A0NBLH DK0060094928 1,77%
SEVERN TRENT PLC A0LBHG GB00B1FH8J72 1,71%
LUCID GROUP INC A41FLM US5494982029 1,60%
SOLARIA ENERGIA Y MEDIO AMBI A0MU98 ES0165386014 1,57%
NORDEX SE A0D655 DE000A0D6554 1,57%
EDP RENOVAVEIS SA A0Q249 ES0127797019 1,34%
ORMAT TECHNOLOGIES INC A0DK9X US6866881021 1,34%
NAVITAS SEMICONDUCTOR CORP A3C5RC US63942X1063 1,31%
NORTHLAND POWER INC A1H5MB CA6665111002 1,25%
HA SUSTAINABLE INFRASTRUCTUR A1T9C5 US41068X1000 1,19%
ARRAY TECHNOLOGIES INC A2QFA4 US04271T1007 1,18%
SHOALS TECHNOLOGIES GROUP -A A2QMUK US82489W1071 0,97%
VERBUND AG 877738 AT0000746409 0,94%
ENOVIX CORP A3CVS3 US2935941078 0,92%
ERG SPA 909581 IT0001157020 0,90%
FLUENCE ENERGY INC A3C6A3 US34379V1035 0,86%
CLEARWAY ENERGY INC-C A2N5TT US18539C2044 0,85%
ENLIGHT RENEWABLE ENERGY LTD A1CY4H IL0007200111 0,74%
S.O.I.T.E.C. A2DKAC FR0013227113 0,72%
CORP ACCIONA ENERGIAS RENOVA A3CS39 ES0105563003 0,67%
BORALEX INC -A 189946 CA09950M3003 0,56%
CKD CORP 865146 JP3346800000 0,51%
CANADIAN SOLAR INC A0LCUY CA1366351098 0,50%
KANEKA CORP 857863 JP3215800008 0,50%
SMA SOLAR TECHNOLOGY AG A0DJ6J DE000A0DJ6J9 0,47%
RENOVA INC A2DLQT JP3981200003 0,44%
TODA CORP 851919 JP3627000007 0,44%
ENERGIX-RENEWABLE ENERGIES A14PRK IL0011233553 0,43%
WEST HOLDINGS CORP A0JEF3 JP3154750008 0,32%
NITTETSU MINING CO LTD 869833 JP3680800004 0,31%
RS TECHNOLOGIES CO LTD A14SR1 JP3100350002 0,28%
SCATEC ASA A12C5D NO0010715139 0,28%
NPC INC A0M7HE JP3165840004 0,27%
CADELER A/S A2QG5D DK0061412772 0,27%
OY NOFAR ENERGY LTD A3DNNV IL0011708778 0,22%

Ländereinteilung

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Land Anteil
Vereinigte Staaten von Amerika 48,52%
Japan 11,82%
Dänemark 7,21%
Singapur 5,29%
Frankreich 5,19%
Niederlande 5,14%
Spanien 3,59%
Norwegen 3,28%
Kanada 2,43%
Deutschland 2,14%
Grossbritannien 2,01%
Israel 1,39%
Österreich 0,94%
Italien 0,90%
Australien 0,15%

Brancheneinteilung

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Branche Anteil
Investitionsgüter 19,89%
Halbleiter & Geräte z. Halbleiterprod. 14,39%
Versorgungsbetriebe 13,90%
Hardware & Ausrüstung 6,03%
Gebrauchsgüter & Bekleidung 5,02%
Automobile & Komponenten 4,88%
Roh-, Hilfs- & Betriebsstoffe 3,57%
Divers. Finanzdienste 1,19%