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DXSK ETF köper aktier i ESG-screenade dagligvaruföretag i Europa

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Xtrackers MSCI Europe Consumer Staples ESG Screened UCITS ETF 1C (DXSK ETF) investerar i aktier med fokus Social/Environmental, Consumer Staples, Europe. Utdelningarna i fonden återinvesteras (ackumulerar).

Xtrackers MSCI Europe Consumer Staples ESG Screened UCITS ETF 1C (DXSK ETF) investerar i aktier med fokus Social/Environmental, Consumer Staples, Europe. Utdelningarna i fonden återinvesteras (ackumulerar).

Den totala kostnadskvoten uppgår till 0,20 % p.a. Fonden replikerar det underliggande indexets utveckling genom att köpa alla indexbeståndsdelar (full replikering). Xtrackers MSCI Europe Consumer Staples ESG Screened UCITS ETF 1C är en liten ETF med tillgångar på 78 miljoner euro under förvaltning. DXSK ETF är äldre än 5 år och har sin hemvist i Luxemburg.

Investeringsstrategi

MSCI Europe Consumer Staples ESG Screened 20-35-index spårar europeiska företag med stora och medelstora företag från dagligvaruhandeln. Aktierna som ingår filtreras enligt ESG-kriterier (miljö, social och bolagsstyrning). Uteslutna sektorer och företag: vapen, tobak, termiskt kol, oljesand, bristande efterlevnad av FN:s Global Compact. Vikten av den största beståndsdelen är begränsad till 35 % och vikten av alla andra beståndsdelar är begränsad till maximalt 20 %.

Indexbeskrivning

MSCI Europe Consumer Staples ESG Screened 20-35 Select Index syftar till att spegla resultatet på följande marknad:

Stora och medelstora företag i utvecklade europeiska länder

Alla värdepapper i indexet är klassificerade i häftklammersektorn enligt Global Industry Classification Standard (GICS)

Viktas med justerat marknadsvärde med fritt flytande värde i enlighet med MSCI Capped Indexes-metoden, så den största koncernenheten inom varje index är begränsad till 35 % medan alla andra koncernenheter har ett tak på 20 % med en buffert på 10 % tillämpad på dessa gränser vid varje indexombalansering och ytterligare månatlig ad hoc-ombalansering vid behov

Värdepapper som emitterats av enheter som inte uppfyller följande ESG-standarder är undantagna: är förknippade med kontroversiella, civila och kärnvapen och tobak, tilldelas MSCI ESG Rating av ”CCC” eller är oklassificerade, får intäkter från termiskt kol, oljesandutvinning och militära försvarsvapen och varje emittent med en ”Röd” MSCI ESG Impact Monitor-poäng på mindre än 1.

Handla DXSK ETF

Xtrackers MSCI Europe Consumer Staples ESG Screened UCITS ETF 1C (DXSK ETF) är en europeisk börshandlad fond. Denna fond handlas på Deutsche Boerse Xetra och London Stock Exchange.

Det betyder att det går att handla andelar i denna ETF genom de flesta svenska banker och Internetmäklare, till exempel DEGIRO, Nordnet och Avanza.

Börsnoteringar

BörsValutaKortnamn
gettexEURDXSK
Borsa ItalianaEURXS3R
London Stock ExchangeGBXXS3R
Stuttgart Stock ExchangeEURDXSK
XETRAEURDXSK

Största innehav

ISINNameVikt %LandSektor
CH0038863350NESTLE SA ORD31.30%SwitzerlandConsumer Staples
GB00B10RZP78UNILEVER PLC ORD11.21%United KingdomConsumer Staples
GB0002374006DIAGEO ORD9.87%United KingdomConsumer Staples
FR0000120321L OREAL S.A.7.89%FranceConsumer Staples
GB00B24CGK77RECKITT BNCSR GRP ORD5.11%United KingdomConsumer Staples
BE0974293251ANHEUSER-BUSCH INBEV SA/NV ORD4.18%BelgiumConsumer Staples
FR0000120693PERNOD-RICARD ORD3.70%FranceConsumer Staples
FR0000120644GROUPE DANONE ORD3.22%FranceConsumer Staples
NL0011794037KONINKLIJKE AHOLD DELHAIZE NV ORD2.57%NetherlandsConsumer Staples
NL0000009165HEINEKEN ORD2.29%NetherlandsConsumer Staples
IE0004906560KERRY GROUP ORD1.46%IrelandConsumer Staples
SE0009922164ESSITY AKTIEBOLAG B ORD1.38%SwedenConsumer Staples
DK0010181759CARLSBERG ORD1.16%DenmarkConsumer Staples
CH0010570759LINDT SPRUENGLI ORD1.12%SwitzerlandConsumer Staples
CH0010570767LINDT SPRUENGLI PAR ORD1.02%SwitzerlandConsumer Staples

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Oct. 24 crypto market update & Performance attribution Hashdex Crypto Index ETPs

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Please find below Hashdex monthly crypto market update and performance attribution for Hashdex Crypto-Index ETPs for October 2024.

Please find below Hashdex monthly crypto market update and performance attribution for Hashdex Crypto-Index ETPs for October 2024.

With October often showing strong seasonality for crypto assets, this month’s results reflect a promising trend for Bitcoin, although gains were more limited across Altcoins. As outlined in our latest CIO note, “Beyond Trump and Harris: Five Congressional Races That May Impact Crypto’s Future”, several upcoming US congressional races could shape the regulatory landscape for crypto, with potential implications for institutional adoption and future price action. Bipartisan support for the asset class is expected to grow, depending on the results of key races.

We will share some updates during the week, if you need any inputs on US elections, feel free to reach out to us.

Hashdex Crypto Index ETPs: performances (USD) as of end of October 24

Beta Index ETP Nasdaq Crypto Index ETP (HASH or HDX1) (largest Crypto Index ETP in Europe): October +7.1%, YTD +45%, 12M +89%.

• Smart-Beta Index ETP – Crypto Momentum Index ETP (HAMO or HDXM): October -0.5%, YTD +1.2%, 12M +71%.

Market Update – October 24

October, commonly known as ”Uptober” for its seasonally strong performance for Bitcoin, continued this trend in 2024. The month began with a volatile period, as the Nasdaq Crypto Index (NCI) initially gave back gains from September. All NCI constituents declined in the first ten days, with the exception of Uniswap, which announced plans for its own layer-two network on Ethereum.

Mid-month, the sentiment shifted, with a sharp rally that drove Bitcoin close to its all-time high by the 29th. The NCI ultimately closed the month up 7.1%, significantly outpacing traditional markets as both the S&P 500 and Nasdaq 100 declined slightly. This rally coincided with a sharp increase in former president Donald Trump’s odds in election betting markets, generating additional optimism around Bitcoin.

While Bitcoin posted a robust 10.6% gain, Altcoins generally underperformed. The notable positive exception among altcoins was Solana, which rose 9.0%. In contrast, Ripple declined 18.6% due to ongoing SEC litigation, and Polygon’s MATIC dropped over 20% as it migrated to a new token model (POL).

Nasdaq Crypto Index (NCI) relative to other asset class in October 24

Source: Hashdex, as of 30/10/24.

In comparison with traditional assets, the NCI’s 7.1% gain far outpaced the S&P 500 and Nasdaq 100, both of which posted slight declines. This performance underscores the potential for crypto assets to provide upside during periods of broader market uncertainty. The majority of this outperformance was driven by Bitcoin’s strength, underscoring its role as a cornerstone of the crypto asset class and its growing appeal as a macroeconomic hedge.

Performance attribution:

Nasdaq Crypto Index (NCI)

The NCI recorded positive returns for most of its primary constituents, with Bitcoin (+10.6%) leading the gains. Solana (SOL) also contributed positively, rising 9.0%. However, Ripple (XRP) and Polygon’s MATIC weighed on the index, with losses of 18.6% and over 20%, respectively. Ripple’s decline was largely attributed to ongoing legal issues with the SEC, while MATIC’s transition to the POL token created additional downward pressure.

Source: Hashdex, as of 31/10/24.

Crypto Momentum Factor Index

The Crypto Momentum Factor Index showed a slight monthly decline of 0.5% in October, reflecting the underperformance of altcoins in general. Although Tron (TRX) remained relatively stable, other altcoins in the index faced headwinds, leading to a small monthly loss for the index.

Source: Hashdex, as of 31/10/24.

Correlation (3m) to traditional asset classes

Source: Hashdex, as of 31/10/24. NCI for Nasdaq Crypto Index.

Hashdex Nasdaq Crypto Index ETP

Largest Crypto Index ETP in Europe, AUM ~$400m

ISIN: CH1184151731 / Tickers: HASH (SIX and Euronext) or HDX1 (Xetra) – tradable in USD, EUR, CHF and GBP

Hashdex Crypto Momentum Factor ETP

ISIN: CH1218734544 / Tickers: HAMO (SIX and Euronext) or HDXM (Xetra) – tradable in USD, EUR, CHF and GBP

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GSGR ETF investerar i gröna obligationer från hela världen

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Goldman Sachs Global Green Bond UCITS ETF EUR (Dist) (GSGR ETF) med ISIN IE000SYQFJV2strävar efter att spåra Solactive Global Green Bond Select-index. Solactive Global Green Bond Select-index följer gröna obligationer. Alla löptider ingår. Betyg: Investment Grade.

Goldman Sachs Global Green Bond UCITS ETF EUR (Dist) (GSGR ETF) med ISIN IE000SYQFJV2strävar efter att spåra Solactive Global Green Bond Select-index. Solactive Global Green Bond Select-index följer gröna obligationer. Alla löptider ingår. Betyg: Investment Grade.

Den börshandlade fondens TER (total cost ratio) uppgår till 0,22 % p.a. Goldman Sachs Global Green Bond UCITS ETF EUR (Dist) är den enda ETF som följer Solactive Global Green Bond Select-indexet. ETFen replikerar det underliggande indexets prestanda genom fullständig replikering (köper alla indexbeståndsdelar). Ränteintäkterna (kuponger) i ETFen delas ut till investerarna (halvårsvis).

Denna ETF lanserades den 13 februari 2024 och har sin hemvist i Irland.

Mål

Goldman Sachs Global Green Bond UCITS ETF är en passivt förvaltad, hållbar global obligationsfond som uteslutande investerar i gröna obligationer enligt bedömningen av Goldman Sachs Asset Managements investeringsteam för gröna obligationer.

Handla GSGR ETF

Goldman Sachs Global Green Bond UCITS ETF EUR (Dist) (GSGR ETF) är en börshandlad fond (ETF) som handlas på London Stock Exchange.

London Stock Exchange är en marknad som få svenska banker och nätmäklare erbjuder access till, men DEGIRO gör det.

Börsnoteringar

BörsValutaKortnamn
London Stock ExchangeEURGSGR
SIX Swiss ExchangeEURGSGR

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Microsoft considers bitcoin, UBS launches tokenized fund, and MicroStrategy will buy $42B in BTC

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Crypto markets faced a volatile week as key macroeconomic events approached, with the upcoming US presidential election and anticipated Fed rate decision fueling uncertainty in risk assets. Bitcoin (BTC) rose 1.7%, ether (ETH) declined 1%, Solana (SOL) fell 8.2%, and the Nasdaq Crypto IndexTM (NCITM) was down 0.5%.

Crypto markets faced a volatile week as key macroeconomic events approached, with the upcoming US presidential election and anticipated Fed rate decision fueling uncertainty in risk assets. Bitcoin (BTC) rose 1.7%, ether (ETH) declined 1%, Solana (SOL) fell 8.2%, and the Nasdaq Crypto IndexTM (NCITM) was down 0.5%.


Microsoft to consider bitcoin investment starting December

According to a new SEC filing, Microsoft is considering the possibility of investing in Bitcoin as a hedge strategy against inflation despite opposition from its Board of Directors. This move, by one of the world’s largest companies, would mark a significant step in institutional adoption for Bitcoin.

MicroStrategy discloses plans to buy $42B of BTC

The firm announced bold plans to raise $42 billion over the next three years to acquire more bitcoin. This new wave of capital will be split equally, with $21 billion from equity issuance and $21 billion from debt offerings, in a project called the ”21/21” plan. This move, led by founder Michael Saylor, underscores bitcoin’s potential as a valuable hedge against inflation and highlights its appeal as a strategic investment option.

UBS launches its first tokenized fund on Ethereum

UBS Asset Management has launched its first tokenized fund, the USD Money Market Investment Fund Token (uMINT), a money market fund built on the Ethereum blockchain, available through authorized partners. The launch supports the growing demand for tokenized financial assets and leverages distributed technology to enhance fund issuance and distribution, as well as UBS’s broader strategy to expand its tokenization services.


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