Top holdings Market Value Shares Weight %
FSLR First Solar Inc 437.5 K 1 940.0 0.5%
Allianz SE 437.2 K 992.0 0.5%
Nestle Malaysia Bhd 436.7 K 15.4 K 0.5%
Accenture PLC 436.3 K 1 655.0 0.5%
CAR Group Ltd 436.1 K 22.7 K 0.5%
ZTS Zoetis Inc 436.1 K 3 494.0 0.5%
TOMRA Systems ASA 435.7 K 32.8 K 0.5%
WFC Wells Fargo & Co 433.7 K 4 793.0 0.5%
AXA SA 433.6 K 9 518.0 0.5%
National Bank of Canada 428.8 K 3 599.0 0.5%
WEN Wendy's Co/The 428.4 K 55.0 K 0.5% PRU Prudential Financial Inc 428.1 K 3 853.0 0.5%
Euronext NV 427.1 K 3 056.0 0.5%
Pearson PLC 425.9 K 32.5 K 0.5%
MA Mastercard Inc 425.1 K 789.0 0.5% EXPE Expedia Group Inc 424.5 K 1 603.0 0.5%
Kinnevik AB 423.8 K 51.7 K 0.5%
TMO Thermo Fisher Scientific Inc 421.8 K 729.0 0.5%
Corp ACCIONA Energias Renovables SA 420.3 K 16.6 K 0.5%
BAC Bank of America Corp 420.0 K 7 894.0 0.5%