Xtrackers Stoxx Europe 600 UCITS ETF 1c

ISIN LU0328475792 · XSX6 EU Europa

The Xtrackers Stoxx Europe 600 UCITS ETF 1c is an exchange-traded index fund (ETF) from Xtrackers that tracks the STOXX Europe 600 index physically. Income is distributed to investors; it trades as a Europe-domiciled UCITS fund. The fund spreads across 605 individual holdings – the largest currently ASML Holding NV at 4.10 %. The full composition plus the sector and country breakdown are shown below.

ListingEurope (UCITS)
Cost (TER)
Indexstoxx-600
Replication
Distribution
Holdings605

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 605 in total · as of 2026-09-17

Top holdings
#StockTickerWeight
1ASML Holding NVASML4.10 %
2HSBC Holdings plcHSBA2.29 %
3Roche PS Par AGROP2.04 %
4Shell plcSHELL1.77 %
5Novartis AGNOVN1.74 %
6Astrazeneca plcAZN1.66 %
7Nestle S.A.NESN1.60 %
8Siemens N AGSIE1.45 %
9SAP SESAP1.43 %
10Banco Santander1.41 %
11TotalEnergies SETTE1.38 %
12Allianz SEALV1.29 %
13Schneider Electric SESU1.22 %
14Rolls-Royce Holdings plcRR.1.06 %
15Banco Bilbao Vizcaya Argentaria S.A.BBVA1.05 %
16UBS Group AGUBSG1.03 %
17ABB Ltd.ABBN0.98 %
18Iberdrola SAIBE0.96 %
19UniCredit S.p.A.UCG0.95 %
20Safran SASAF0.91 %
21Unilever plcULVR0.89 %
22Novo Nordisk A/S Class BNOVO B0.89 %
23Airbus GroupAIR0.87 %
24Siemens Energy N AGENR0.84 %
25BP plcBP.0.82 %
26BNP Paribas S.A. Class ABNP0.80 %
27British American Tobacco p.l.c.BATS0.80 %
28Intesa Sanpaolo S.p.A.ISP0.78 %
29LVMH Moet Hennessy Louis Vuitton SEMC0.77 %
30Deutsche Telekom N AGDTE0.76 %
31Zurich Insurance Group LtdZURN0.74 %
32Compagnie Financiere Richemont SACFR0.73 %
33ING Groep N.V.INGA0.71 %
34RIO Tinto Ltd.RIO0.68 %
35GlaxosmithklineGSK0.67 %
36Sanofi SASAN0.63 %
37AXA SACS0.59 %
38Lloyds Banking Group plcLLOY0.57 %
39Barclays plcBARC0.57 %
40BAE Systems plcBA.0.57 %
41Infineon Technologies AGIFX0.54 %
42Anheuser-Busch InBev SA/NVABI0.54 %
43L Air Liquide0.53 %
44Enel SpAENEL0.52 %
45National Grid plcNG.0.52 %
46Natwest Group plcNWG0.51 %
47Vinci SADG0.49 %
48Investor AB Class BINVE B0.49 %
49Munchener Ruckversicherungs-Gesellschaft AGMUV20.49 %
50Deutsche Bank AktiengesellschaftDBK0.49 %
51Glencore plcGLEN0.48 %
52L'Oreal S.A.OR0.46 %
53Nordea Bank AbpNDA FI0.46 %
54Industria de Diseno Textil S.A.ITX0.44 %
55Societe Generale SA Class AGLE0.41 %
56Relx plcREL0.41 %
57argenx SEARGX0.40 %
58DHL N AGDHL0.40 %
59Deutsche Boerse AGDB10.39 %
60Anglo American plcAAL0.38 %
61Generali0.37 %
62Eni S.p.A.ENI0.37 %
63Hermes International SCARMS0.37 %
64Bayer AGBAYN0.36 %
65Standard Chartered plcSTAN0.36 %
66Nokia OyjNOKIA0.36 %
67Compass Group plcCPG0.36 %
68Rheinmetall AGRHM0.36 %
69Volvo AB Class BVOLV B0.36 %
70BASF SEBAS0.35 %
71Caixabank SACABK0.35 %
72London Stock Exchange Group plcLSEG0.35 %
73Essilorluxottica SAEL0.34 %
74Prosus N.V. Class NPRX0.34 %
75Atlas Copco AB Class AATCO A0.34 %
76Swiss Re AGSREN0.33 %
77FerrariRACE0.32 %
78Diageo plcDGE0.32 %
79Lonza Group AGLONN0.30 %
80E.on SEEOAN0.30 %
81Danone SABN0.30 %
82Holcim Ltd. AGHOLN0.29 %
83RWE AGRWE0.29 %
84ASM International N.V.ASM0.29 %
85Reckitt Benckiser Group plcRKT0.29 %
86Air Liquide SAAI0.28 %
87Prysmian S.p.A.PRY0.27 %
88Erste Group Bank AGEBS0.27 %
89Legrand SALR0.27 %
90Sandvik ABSAND0.27 %
91Haleon plcHLN0.27 %
92Tesco plcTSCO0.27 %
93Compagnie de Saint Gobain SASGO0.26 %
94SSE plcSSE0.26 %
95DSV A/SDSV0.25 %
96Equinor ASAEQNR0.25 %
97Mercedes-Benz Group N AGMBG0.25 %
98Swedbank Class A0.25 %
99Repsol SAREP0.24 %
100Danske Bank A/SDANSKE0.24 %

Top Sectors

Financial Services26.1 %
Industrials17.5 %
Health Care9.6 %
Technology8.3 %
Consumer Goods7.2 %
Energy6.9 %
6.4 %
Consumer Staples6.2 %
Utilities4.2 %
Materials3.7 %
Telecommunications2.7 %
Real Estate1.1 %

Geographic Breakdown

United Kingdom21.1 %
France14.7 %
Switzerland13.9 %
Germany13.1 %
Netherlands8.1 %
Spain5.9 %
Italy5.5 %
Sweden4.8 %
Denmark2.6 %
Finland2.0 %
Belgium1.5 %
Norway1.2 %

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)+18.8 %Year to date+10.0 %
Calendar year 2010+12.0 %
Calendar year 2011-9.0 %
Calendar year 2012+18.2 %
Calendar year 2013+20.8 %
Calendar year 2014+7.3 %
Calendar year 2015+10.2 %
Calendar year 2016+1.4 %
Calendar year 2017+10.8 %
Calendar year 2018-11.1 %
Calendar year 2019+27.6 %
Calendar year 2020-1.9 %
Calendar year 2021+25.1 %
Calendar year 2022-10.5 %
Calendar year 2023+16.0 %
Calendar year 2024+9.0 %
Calendar year 2025+20.0 %

Data note 4

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.

Data note 5

In the Alysly network

How XSX6 connects to ETFs, indices and neighbouring names — every link is a measured relation, not a recommendation.

View the full network