Activos clave Market Value Shares Weight %
Novartis AG 3.5 M 27.4 K 0.8% Sony Group Corp 3.3 M 115.5 K 0.8% AIA Group Ltd 1.9 M 193.4 K 0.4% Tokio Marine Holdings Inc 1.7 M 40.7 K 0.4%
DUK Duke Energy Corp 1.6 M 13.1 K 0.4% Banco Santander SA 1.6 M 153.7 K 0.4%
VST Vistra Corp 1.5 M 7 736.0 0.4% CRH PLC 1.5 M 12.5 K 0.4% Medtronic PLC 1.5 M 15.6 K 0.4%
WMB Williams Cos Inc/The 1.2 M 19.4 K 0.3% TE Connectivity PLC 1.2 M 5 569.0 0.3% UniCredit SpA 1.2 M 15.9 K 0.3% Deutsche Telekom AG 1.2 M 33.8 K 0.3%
SU Suncor Energy Inc 1.1 M 25.7 K 0.3% MORGAN STANLEY & CO. LLC 1.1 M 1.0 0.3% Roche Holding AG 1.1 M 3 277.0 0.3% Johnson Controls International 1.1 M 9 700.0 0.3% 3i Group PLC 1.1 M 19.2 K 0.3% Advantest Corp 1.1 M 10.6 K 0.3% Mercedes-Benz Group AG 1.0 M 16.2 K 0.2%