Xtrackers MSCI EMU UCITS ETF 1d

ISIN LU0846194776 · XD5E EU Europa

The Xtrackers MSCI EMU UCITS ETF 1d is an exchange-traded index fund (ETF) from Xtrackers that tracks the MSCI-EMU index physically. Income is distributed to investors; it trades as a Europe-domiciled UCITS fund. The fund spreads across 219 individual holdings – the largest currently ASML Holding NV at 8.65 %. 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-emu
Replication
Distribution
Holdings219

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 219 in total · as of 2026-09-15

Top holdings
#StockTickerWeight
1ASML Holding NVASML8.65 %
2Siemens N AGSIE2.89 %
3Banco Santander2.77 %
4SAP SESAP2.71 %
5Allianz SEALV2.54 %
6Suncor Energy Inc (Canada)SU2.41 %
7TotalEnergies SETTE2.30 %
8Banco Bilbao Vizcaya Argentaria S.A.BBVA2.14 %
9Iberdrola SAIBE1.89 %
10Airbus GroupAIR1.79 %
11UniCredit S.p.A.UCG1.74 %
12Safran SASAF1.72 %
13Siemens Energy N AGENR1.69 %
14LVMH Moet Hennessy Louis Vuitton SEMC1.55 %
15BNP Paribas S.A. Class ABNP1.55 %
16Deutsche Telekom N AGDTE1.46 %
17Intesa Sanpaolo S.p.A.ISP1.46 %
18ING Groep N.V.INGA1.39 %
19L Air Liquide1.25 %
20Banco Santander S.A.SAN1.21 %
21Infineon Technologies AGIFX1.15 %
22L'Oreal S.A.OR1.08 %
23Enel SpAENEL1.03 %
24AXA SACS1.02 %
25Munchener Ruckversicherungs-Gesellschaft AGMUV20.96 %
26Anheuser-Busch InBev SA/NVABI0.91 %
27Deutsche Bank AktiengesellschaftDBK0.90 %
28Industria de Diseno Textil S.A.ITX0.89 %
29Nordea Bank AbpNDA FI0.82 %
30argenx SEARGX0.80 %
31Dollar General CorporationDG0.79 %
32DHL N AGDHL0.76 %
33Deutsche Boerse AGDB10.76 %
34Hermes International SCARMS0.72 %
35Nokia OyjNOKIA0.72 %
36Bayer AGBAYN0.71 %
37Societe Generale SA Class AGLE0.71 %
38Caixabank SACABK0.70 %
39Rheinmetall AGRHM0.70 %
40BASF SEBAS0.68 %
41Eni S.p.A.ENI0.66 %
42FerrariRACE0.65 %
43Prosus N.V. Class NPRX0.64 %
44Essilorluxottica SAEL0.64 %
45E.on SEEOAN0.60 %
46Nebius Group N.V. Class ANBIS0.59 %
47Brookfield CorporationBN0.59 %
48ASM International N.V.ASM0.59 %
49RWE AGRWE0.58 %
50Erste Group Bank AGEBS0.57 %
51Legrand SALR0.55 %
52Prysmian S.p.A.PRY0.54 %
53Engie Sa PF 20280.52 %
54Generali0.50 %
55Repsol SAREP0.48 %
56Compagnie de Saint Gobain SASGO0.48 %
57Mercedes-Benz Group N AGMBG0.48 %
58KBC Group N.V.KBC0.46 %
59Orange SAORA0.44 %
60STMicroelectronics NVSTMMI0.43 %
61Arcelormittal SAMT0.41 %
62Koninklijke Ahold Delhaize N.V.AD0.41 %
63ABN AMRO Bank N.V. Depositary receiptsABN0.41 %
64Commerzbank AGCBK0.38 %
65Adyen NVADYEN0.38 %
66UCB S.A.UCB0.38 %
67AIB Group plcA5G0.37 %
68Adidas N AGADS0.35 %
69Ferrovial N.V.FER0.35 %
70Amadeus IT Group SA Class AAMS0.34 %
71Banca Monte dei Paschi di Siena S.p.A.BMPS0.34 %
72Sampo Class ASAMPO0.34 %
73Publicis Groupe SAPUB0.33 %
74Thales SAHO0.32 %
75Air Liquide SAAI0.31 %
76Cie Generale des Etablissements Michelin SAML0.31 %
77NN Group N.V.NN0.31 %
78HEICO CorporationHEI0.31 %
79Bayerische Motoren Werke AGBMW0.31 %
80Daimler Truck Holding E AGDTG0.31 %
81Leonardo0.31 %
82BPER Banca S.p.A.BPE0.31 %
83L'Oreal S.A.OR0.30 %
84Bank of Ireland Group plcBIRG0.29 %
85AerCap Holdings NVAER0.29 %
86Fresenius SE & Co. KGaAFRE0.29 %
87Heineken NVHEIA0.29 %
88Veolia Environnement SAVIE0.28 %
89MTU Aero Engines Holding AGMTX0.28 %
90AENA Sme SAAENA0.28 %
91ACS Actividades de Construccion y Servicios SAACS0.27 %
92Coca-Cola Europacific Partners plcCCEP0.27 %
93Banco de Sabadell SASAB0.26 %
94Kering SAKER0.26 %
95Merck & Co. Inc.MRK0.26 %
96Credit Agricole SAACA0.26 %
97Volkswagen Non-Voting Pref AGVOW30.25 %
98Koninklijke Philips N.V.PHIA0.25 %
99Banco BPM SpABAMI0.24 %
100Kone Class B0.24 %

Top Sectors

Financials27.6 %
Industrials19.5 %
Information Technology15.6 %
Consumer Discretionary7.8 %
Utilities6.1 %
Health Care5.7 %
Consumer Staples4.2 %
Energy4.1 %
Communication Services3.4 %
2.8 %
Materials2.7 %
Real Estate0.6 %

Geographic Breakdown

France26.4 %
Germany24.8 %
Netherlands16.5 %
Spain11.3 %
Italy9.3 %
Finland3.5 %
Belgium2.4 %
Ireland1.5 %
Austria1.1 %
Luxembourg0.7 %
China0.6 %
Portugal0.6 %

Data note 2

NAV history

Net asset value per share in EUR, 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)+17.4 %Year to date+9.5 %
Calendar year 2013+20.0 %
Calendar year 2014+2.0 %
Calendar year 2015+10.5 %
Calendar year 2016+3.4 %
Calendar year 2017+10.5 %
Calendar year 2018-14.7 %
Calendar year 2019+23.2 %
Calendar year 2020-4.5 %
Calendar year 2021+20.7 %
Calendar year 2022-16.0 %
Calendar year 2023+15.9 %
Calendar year 2024+6.8 %
Calendar year 2025+20.9 %

Data note 4

Correlated with

The strongest co-movers on top, the most inverse below. Low or negative values improve portfolio diversification.

Correlated with
Instrumentr−1 … +1
MSCI World ex USA+0.96
Euro STOXX 50+0.94
MSCI Europe+0.94
MSCI ACWI+0.86
MSCI World+0.84
DAX+0.79
Waste Management Inc.-0.47
Altria Group Inc.-0.45
Chubb Limited-0.44

Data note 5

Based on the underlying index MSCI-EMU's own correlations — we don't have individual price series for UCITS ETFs.

Alternative ETFs on the same index

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 XD5E connects to ETFs, indices and neighbouring names — every link is a measured relation, not a recommendation.

View the full network