Xtrackers MSCI World Minimum Volatility UCITS ETF 1c

ISIN IE00BL25JN58 · XDEB EU World

The Xtrackers MSCI World Minimum Volatility UCITS ETF 1c is an exchange-traded index fund (ETF) from Xtrackers that tracks the MSCI-WORLD-MINIMUM-VOLATILITY index physically. Income is distributed to investors; it trades as a Europe-domiciled UCITS fund. The fund spreads across 296 individual holdings – the largest currently Johnson & Johnson at 1.47 %. That means a single savings-plan building block gives you broad, diversified exposure to an entire market segment – the full composition plus sector and country breakdown are shown below.

ListingEurope (UCITS)
Cost (TER)
Indexmsci-world-minimum-volatility
Replication
Distribution
Holdings296

Key facts

Key facts
Distribution
Product structure

Data note 1

Tax (Germany)

Equity ETF: 30 % partial exemption (Teilfreistellung). Distributing → Vorabpauschale barely relevant. Details.

The 100 largest holdings

of 296 in total · as of 2026-09-16

Top holdings
#StockTickerWeight
1Johnson & JohnsonJNJ1.47 %
2Exxonmobil Holdings CorporationXOM1.47 %
3Microsoft CorporationMSFT1.37 %
4Cisco Systems Inc.CSCO1.36 %
5Duke Energy CorporationDUK1.34 %
6Motorola Solutions Inc.MSI1.33 %
7AT&T IncT1.27 %
8Southern CompanySO1.25 %
9Berkshire Hathaway Inc. Class BBRK B1.24 %
10NVIDIA CorporationNVDA1.22 %
11Verizon Communications Inc.VZ1.19 %
12KDDI Corporation94331.14 %
13Cencora Inc.COR1.09 %
14Novartis AGNOVN1.06 %
15Takeda Pharmaceutical Co. Ltd.45021.05 %
16Softbank94341.02 %
17Chubb LimitedCB1.01 %
18McKesson CorporationMCK1.00 %
19Republic Services Inc.RSG0.99 %
20Waste Management Inc.WM0.96 %
21Coca-Cola CompanyKO0.95 %
22Welltower Inc.WELL0.95 %
23Amphenol Corporation Class AAPH0.92 %
24Procter & Gamble CompanyPG0.90 %
25PepsiCo Inc.PEP0.88 %
26McDonald's CorporationMCD0.88 %
27T-Mobile US Inc.TMUS0.88 %
28Roche PS Par AGROP0.87 %
29Consolidated Edison Inc.ED0.86 %
30Travelers Companies Inc.TRV0.80 %
31Vertex Pharmaceuticals IncorporatedVRTX0.78 %
32NTT Inc94320.75 %
33Orange SAORA0.74 %
34CME Group Inc. Class ACME0.72 %
35Marsh & McLennan Companies Inc.MRSH0.72 %
36Merck & Co. Inc.MRK0.72 %
37Progressive CorporationPGR0.71 %
38Colgate-Palmolive CompanyCL0.71 %
39Kroger Co.KR0.70 %
40argenx SEARGX0.68 %
41Monster Beverage CorporationMNST0.67 %
42SAP SESAP0.66 %
43Mondelez International Inc. Class AMDLZ0.65 %
44O Reilly Automotive0.64 %
45Visa Inc. Class AV0.63 %
46Constellation Software Inc.CSU0.62 %
47TJX Companies IncTJX0.62 %
48Waste Connections Inc.WCN0.62 %
49Transurban Group Stapled UnitsTCL0.61 %
50Teledyne Technologies IncorporatedTDY0.61 %
51AbbVie Inc.ABBV0.60 %
52Abbott LaboratoriesABT0.59 %
53Kyocera Corporation69710.59 %
54Deutsche Telekom N AGDTE0.57 %
55Salesforce Inc.CRM0.57 %
56AutoZone Inc.AZO0.57 %
57Eni S.p.A.ENI0.55 %
58Palantir Technologies Inc. Class APLTR0.55 %
59ASML Holding NVASML0.54 %
60VeriSign Inc.VRSN0.54 %
61WEC Energy Group IncWEC0.53 %
62Lockheed Martin CorporationLMT0.52 %
63F5 Inc.FFIV0.51 %
64Canon Inc.77510.50 %
65Elevance Health Inc.ELV0.50 %
66Yum! Brands Inc.YUM0.50 %
67Church & Dwight Co. Inc.CHD0.50 %
68DBS Group Holdings Ltd.D050.49 %
69Chevron CorporationCVX0.48 %
70Oriental Land Co. Ltd.46610.48 %
71Bank of New York Mellon CorpBNY0.47 %
72Applied Materials Inc.AMAT0.46 %
73BOC Hong Kong (Holdings) Limited23880.46 %
74ServiceNow Inc.NOW0.46 %
75Swisscom AGSCMN0.46 %
76FUJIFILM Holdings Corp49010.46 %
77Intact Financial CorporationIFC0.46 %
78AENA Sme SAAENA0.46 %
79Incyte CorporationINCY0.46 %
80East Japan Railway Company90200.45 %
81Zurich Insurance Group LtdZURN0.45 %
82Singapore Telecommunications LimitedZ740.43 %
83Keyence Corporation68610.43 %
84Williams Companies Inc.WMB0.42 %
85Apple Inc.AAPL0.41 %
86Walmart Inc.WMT0.40 %
87Cboe Global Markets IncCBOE0.39 %
88Broadcom Inc.AVGO0.39 %
89Accenture plc Class AACN0.39 %
90Arch Capital Group Ltd.ACGL0.38 %
91Halma plcHLMA0.38 %
92Palo Alto Networks Inc.PANW0.38 %
93Gilead Sciences Inc.GILD0.37 %
94Quest Diagnostics IncorporatedDGX0.37 %
95Northrop Grumman Corp.NOC0.37 %
96Secom Co. Ltd.97350.36 %
97First Citizens BancShares Inc. Class AFCNCA0.35 %
98Industria de Diseno Textil S.A.ITX0.35 %
99Liberty Media Corporation Series C Liberty Formula OneFWONK0.35 %
100Eli Lilly and CompanyLLY0.34 %

Top Sectors

Information Technology24.7 %
Health Care14.2 %
Financials14.1 %
Communication Services10.4 %
Consumer Staples9.8 %
Industrials7.5 %
Utilities7.2 %
Consumer Discretionary5.3 %
Energy4.9 %
Real Estate1.2 %
Materials0.5 %
0.0 %

Geographic Breakdown

United States66.5 %
Japan11.3 %
Canada3.2 %
Switzerland2.8 %
France2.3 %
Netherlands1.8 %
Singapore1.5 %
Germany1.4 %
United Kingdom1.2 %
Spain1.1 %
Australia1.0 %
Hong Kong0.9 %

Data note 2

NAV history

Net asset value per share in USD, set once per trading day. It is not an exchange price. Distributions are not added back, so for distributing funds the value drops by the amount paid out on the distribution date.

Data note 3

Performance

Calculated from the fund's NAV history.

Performance figures
Trailing (1Y)+6.3 %Year to date+6.2 %
Calendar year 2015+3.9 %
Calendar year 2016+7.1 %
Calendar year 2017+17.5 %
Calendar year 2018-2.9 %
Calendar year 2019+23.9 %
Calendar year 2020+2.6 %
Calendar year 2021+14.2 %
Calendar year 2022-9.8 %
Calendar year 2023+7.8 %
Calendar year 2024+10.9 %
Calendar year 2025+10.6 %

Data note 4

Compared with other funds

How much this fund overlaps with others — the figure is the share of capital financing the same companies in both.

In the Alysly network

How XDEB connects to ETFs, indices and neighbouring names — every link is a measured relation, not a recommendation.

View the full network