Amount | Holding |
---|---|
2.11% | Samsung Electronics Co Ltd |
1.65% | Toyota Motor Corp |
1.31% | Nestle SA |
1.20% | BP PLC |
1.13% | Total SA |
1.07% | Royal Dutch Shell PLC Class A |
1.04% | Roche Holding AG Dividend Right Cert. |
0.88% | Honda Motor Co Ltd |
0.88% | Royal Dutch Shell PLC B |
0.85% | Msci Eafe Jun20 Ifus 20200619 |
0.77% | HSBC Holdings PLC |
0.73% | Sanofi SA |
0.71% | Novartis AG |
0.70% | Vodafone Group PLC |
0.65% | Basf SE |
0.63% | Daimler AG |
0.60% | Banco Santander SA |
0.59% | Siemens AG |
0.59% | GlaxoSmithKline PLC |
0.59% | British American Tobacco PLC |
0.58% | Deutsche Telekom AG |
0.57% | Enel SpA |
0.57% | SoftBank Group Corp |
0.56% | Bayer AG |
0.55% | Allianz SE |