Xtrackers MSCI World Consumer Discretionary UCITS ETF 1c

ISIN IE00BM67HP23 · XDWC EU World

The Xtrackers MSCI World Consumer Discretionary UCITS ETF 1c is an exchange-traded index fund (ETF) from Xtrackers that tracks the MSCI-WORLD-CONSUMER-DISCRETIONARY index physically. Income is distributed to investors; it trades as a Europe-domiciled UCITS fund. The fund spreads across 116 individual holdings – the largest currently Amazon.com Inc. at 31.80 %. 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-consumer-discretionary
Replication
Distribution
Holdings116

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 116 in total · as of 2026-09-15

Top holdings
#StockTickerWeight
1Amazon.com Inc.AMZN31.80 %
2Tesla Inc.TSLA13.38 %
3Home Depot Inc.HD3.94 %
4Al-Elm Information Security72032.40 %
5McDonald's CorporationMCD2.30 %
6TJX Companies IncTJX1.78 %
7Sony Group Corporation67581.76 %
8Booking Holdings Inc.BKNG1.72 %
9LVMH Moet Hennessy Louis Vuitton SEMC1.53 %
10Compagnie Financiere Richemont SACFR1.48 %
11Starbucks CorporationSBUX1.44 %
12Lowe's Companies Inc.LOW1.41 %
13MercadoLibre Inc.MELI1.11 %
14Fast Retailing Co. Ltd.99831.01 %
15General Motors CompanyGM0.99 %
16DoorDash Inc. Class ADASH0.96 %
17Marriott International Inc. Class AMAR0.93 %
18Ross Stores Inc.ROST0.92 %
19Airbnb Inc. Class AABNB0.91 %
20O Reilly Automotive0.91 %
21Hilton Worldwide Holdings Inc.HLT0.89 %
22Industria de Diseno Textil S.A.ITX0.88 %
23Royal Caribbean GroupRCL0.85 %
24Panasonic Holdings Corporation67520.81 %
25Wesfarmers LimitedWES0.76 %
26Hermes International SCARMS0.71 %
27Ford Motor CompanyF0.70 %
28Compass Group plcCPG0.67 %
29FerrariRACE0.64 %
30Prosus N.V. Class NPRX0.64 %
31AutoZone Inc.AZO0.60 %
32Chipotle Mexican Grill Inc.CMG0.59 %
33Garmin Ltd.GRMN0.59 %
34Carvana Co. Class ACVNA0.57 %
35NIKE Inc. Class BNKE0.57 %
36eBay Inc.EBAY0.52 %
37Sea Limited Sponsored ADR Class ASE0.51 %
38Honda Motor Co. Ltd.72670.50 %
39Yum! Brands Inc.YUM0.50 %
40Sumitomo Electric Industries Ltd.58020.49 %
41Mercedes-Benz Group N AGMBG0.47 %
42D.R. Horton Inc.DHI0.45 %
43Dollarama Inc.DOL0.42 %
44Expedia Group Inc.EXPE0.41 %
45CCL Products (India) LimitedCCL0.37 %
46Adidas N AGADS0.35 %
47Williams-Sonoma Inc.WSM0.34 %
48Amadeus IT Group SA Class AAMS0.34 %
49Bridgestone Corporation51080.34 %
50Restaurant Brands International Inc.QSR0.32 %
51Darden Restaurants Inc.DRI0.31 %
52Cie Generale des Etablissements Michelin SAML0.31 %
53Tapestry Inc.TPR0.31 %
54Ulta Beauty Inc.ULTA0.30 %
55Bayerische Motoren Werke AGBMW0.30 %
56Allstate CorporationALL0.30 %
57Next plcNXT0.29 %
58PulteGroup Inc.PHM0.29 %
59Intercontinental Hotels Group plcIHG0.28 %
60Oriental Land Co. Ltd.46610.28 %
61Suzuki Motor Corp.72690.27 %
62Denso Corp.69020.25 %
63Kering SAKER0.25 %
64Volkswagen Non-Voting Pref AGVOW30.25 %
65Genuine Parts CompanyGPC0.24 %
66Balfour Beatty plcBBY0.23 %
67Asics Corporation79360.23 %
68Bandai Namco Holdings Inc.78320.22 %
69Tesco plcTSCO0.22 %
70Magna International Inc.MG0.21 %
71Lennar Corporation Class ALEN0.20 %
72NVR Inc.NVR0.20 %
73Rivian Automotive Inc. Class ARIVN0.19 %
74Burlington Stores Inc.BURL0.19 %
75Flutter Entertainment plcFLUT0.18 %
76SharkNinja Inc.SN0.17 %
77Ryohin Keikaku Co. Ltd.74530.17 %
78Sekisui House19280.16 %
79Las Vegas Sands Corp.LVS0.15 %
80Deckers Outdoor CorporationDECK0.15 %
81Moncler SpAMONC0.15 %
82Stellantis N.V.STLAM0.14 %
83Accor SAAC0.13 %
84Yamaha Motor Co. Ltd.72720.13 %
85Evolution ABEVO0.13 %
86Pandora A/SPNDORA0.12 %
87Pan Pacific International Holdings Corporation75320.11 %
88Continental AGCON0.11 %
89Subaru Corporation72700.11 %
90Gildan Activewear Inc.GIL0.11 %
91Dick's Sporting Goods Inc.DKS0.11 %
92Nitori Holdings Co. Ltd.98430.10 %
93Shimano Inc.73090.10 %
94Galaxy Entertainment Group Limited270.10 %
95The Lottery Corp. Ltd.TLC0.10 %
96Isuzu Motors Limited72020.09 %
97Pearson plcPSON0.09 %
98Sanrio Co. Ltd.81360.09 %
99Hennes & Mauritz Class B0.09 %
100Aisin Corporation72590.09 %

Top Sectors

Broadline Retail36.5 %
Hersteller von Kraftfahrzeugen20.7 %
Restaurants7.3 %
Hotels, Urlaubsanlagen & Kreuzfahrtlinien6.9 %
Einzelhandel: Bau- und Heimwerkerbedarf5.4 %
Bekleidung, Accessoires & Luxusgüter5.1 %
Einzelhandel: Mode5.0 %
Verbraucherelektronik3.2 %
Einzelhandel: Kraftfahrzeugindustrie2.1 %
Haus- und Wohnungsbau1.3 %
Kraftfahrzeugteile & -ausrüstung1.1 %
Casinos & Glücksspiel1.0 %

Geographic Breakdown

United States74.7 %
Japan10.0 %
France3.1 %
Germany1.7 %
Switzerland1.6 %
United Kingdom1.4 %
Spain1.2 %
Australia1.1 %
Canada1.1 %
Brazil1.1 %
Italy0.8 %
China0.6 %

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)-2.6 %Year to date-4.0 %
Calendar year 2011-5.2 %
Calendar year 2012+23.8 %
Calendar year 2013+38.8 %
Calendar year 2014+3.5 %
Calendar year 2015+5.2 %
Calendar year 2016+5.0 %
Calendar year 2017+24.0 %
Calendar year 2018-6.8 %
Calendar year 2019+27.6 %
Calendar year 2020+36.4 %
Calendar year 2021+17.7 %
Calendar year 2022-33.4 %
Calendar year 2023+34.9 %
Calendar year 2024+21.4 %
Calendar year 2025+8.2 %

Data note 4

Alternative ETFs on the same index

In the Alysly network

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

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