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TGET
VanEck Vectors Global Equal Weight UCITS ETF

All Holdings (%) as of 21 Sep 2021 Download All Holdings

Total Holdings: 255
Holding Name
Ticker
Shares Market Value
(EUR)
% of Net
Assets
Nvidia Corp
NVDA US
10,831
1,962,689 0.63
Asml Holding Nv
ASML NA
2,538
1,857,055 0.60
Hoya Corp
7741 JP
12,400
1,783,514 0.57
Danaher Corp
DHR US
6,268
1,735,869 0.56
Adobe Inc
ADBE US
3,088
1,701,146 0.55
Wuxi Biologics Cayman Inc
2269 HK
126,500
1,683,296 0.54
Keyence Corp
6861 JP
2,998
1,677,296 0.54
Novo Nordisk A/S
NOVOB DC
19,183
1,673,707 0.54
Intuit Inc
INTU US
3,526
1,669,847 0.54
American Tower Corp
AMT US
6,690
1,665,411 0.54
Dsv A/S
DSV DC
7,366
1,650,780 0.53
Recruit Holdings Co Ltd
6098 JP
30,100
1,641,692 0.53
Costco Wholesale Corp
COST US
4,254
1,640,391 0.53
Lonza Group Ag
LONN SW
2,315
1,619,651 0.52
Hermes International
RMS FP
1,255
1,608,910 0.52
Adyen Nv
ADYEN NA
589
1,587,355 0.51
Alphabet Inc
GOOGL US
665
1,577,158 0.51
Facebook Inc
FB US
5,103
1,555,905 0.50
Experian Plc
EXPN LN
39,988
1,549,027 0.50
Zoetis Inc
ZTS US
9,032
1,548,486 0.50
Thermo Fisher Scientific Inc
TMO US
3,026
1,540,913 0.50
Tokyo Electron Ltd
8035 JP
3,600
1,520,344 0.49
Prologis Inc
PLD US
13,792
1,515,715 0.49
Accenture Plc
ACN US
5,331
1,505,703 0.48
S&P Global Inc
SPGI US
3,964
1,505,201 0.48
Deutsche Post Ag
DPW GR
25,557
1,488,951 0.48
Pfizer Inc
PFE US
39,363
1,474,539 0.47
Sika Ag
SIKA SW
4,902
1,471,513 0.47
Shopify Inc
SHOP US
1,199
1,469,694 0.47
Relx Plc
REN NA
56,635
1,466,847 0.47
Home Depot Inc/The
HD US
5,118
1,458,943 0.47
Microsoft Corp
MSFT US
5,801
1,458,600 0.47
Nordea Bank Abp
NDA SS
139,336
1,455,820 0.47
Koninklijke Ahold Delhaize Nv
AD NA
50,492
1,440,032 0.46
Lowe's Cos Inc
LOW US
8,169
1,437,179 0.46
Essilorluxottica Sa
EL FP
8,320
1,430,042 0.46
Alcon Inc
ALC SW
19,623
1,426,210 0.46
Salesforce.Com Inc
CRM US
6,411
1,410,590 0.45
Hitachi Ltd
6501 JP
28,017
1,409,915 0.45
Charter Communications Inc
CHTR US
2,206
1,406,689 0.45
L'Oreal Sa
OR FP
3,668
1,406,495 0.45
Morgan Stanley
MS US
16,772
1,406,190 0.45
Shin-Etsu Chemical Co Ltd
4063 JP
8,491
1,402,660 0.45
Toyota Motor Corp
7203 JP
18,033
1,398,481 0.45
Daikin Industries Ltd
6367 JP
6,701
1,396,396 0.45
Wells Fargo & Co
WFC US
35,564
1,390,771 0.45
Pernod Ricard Sa
RI FP
7,273
1,388,052 0.45
Astrazeneca Plc
AZN LN
13,688
1,387,310 0.45
Oracle Corp
ORCL US
18,668
1,383,959 0.45
Telstra Corp Ltd
TLS AU
568,387
1,376,322 0.44
Apple Inc
AAPL US
11,199
1,370,014 0.44
Cvs Health Corp
CVS US
19,038
1,362,838 0.44
Unitedhealth Group Inc
UNH US
3,853
1,355,065 0.44
Blackrock Inc
BLK US
1,878
1,353,884 0.44
Schneider Electric Se
SU FP
9,111
1,351,161 0.43
Csl Ltd
CSL AU
7,043
1,346,898 0.43
Linde Plc
LIN US
5,169
1,344,483 0.43
United Parcel Service Inc
UPS US
8,306
1,344,107 0.43
Pepsico Inc
PEP US
10,254
1,342,829 0.43
Lvmh Moet Hennessy Louis Vuitton Se
MC FP
2,110
1,341,960 0.43
Diageo Plc
DGE LN
32,977
1,335,767 0.43
Philip Morris International Inc
PM US
15,574
1,335,104 0.43
Cisco Systems Inc/Delaware
CSCO US
28,316
1,334,592 0.43
Mcdonald's Corp
MCD US
6,502
1,333,730 0.43
Nippon Telegraph & Telephone Corp
9432 JP
52,904
1,333,018 0.43
Nestle Sa
NESN SW
12,570
1,331,822 0.43
Seven & I Holdings Co Ltd
3382 JP
33,203
1,328,830 0.43
Abb Ltd
ABBN SW
44,521
1,324,115 0.43
Nike Inc
NKE US
9,975
1,318,883 0.42
Goldman Sachs Group Inc/The
GS US
4,102
1,314,935 0.42
Anthem Inc
ANTM US
4,063
1,313,627 0.42
Procter & Gamble Co/The
PG US
10,747
1,311,786 0.42
Sony Corp
6758 JP
13,604
1,311,188 0.42
Texas Instruments Inc
TXN US
7,960
1,310,045 0.42
Netflix Inc
NFLX US
2,678
1,309,113 0.42
Stryker Corp
SYK US
5,718
1,308,247 0.42
Sap Se
SAP GR
10,765
1,305,579 0.42
National Grid Plc
NG/ LN
117,012
1,303,993 0.42
American Express Co
AXP US
9,346
1,301,481 0.42
Mitsubishi Corp
8058 JP
46,925
1,294,518 0.42
Canon Inc
7751 JP
61,618
1,293,659 0.42
Roche Holding Ag
ROG SW
4,123
1,293,111 0.42
Kddi Corp
9433 JP
43,697
1,292,157 0.42
Eli Lilly And Co
LLY US
6,579
1,291,559 0.42
Atlas Copco Ab
ATCOA SS
23,328
1,289,996 0.42
Gilead Sciences Inc
GILD US
21,080
1,289,666 0.42
Airbus Se
AIR FP
11,382
1,289,353 0.41
Paypal Holdings Inc
PYPL US
5,609
1,289,240 0.41
Raytheon Technologies Corp
RTX US
18,122
1,284,592 0.41
Walmart Inc
WMT US
10,521
1,283,393 0.41
Murata Manufacturing Co Ltd
6981 JP
16,408
1,283,482 0.41
Glaxosmithkline Plc
GSK LN
77,568
1,280,797 0.41
Broadcom Inc
AVGO US
3,057
1,280,188 0.41
Nextera Energy Inc
NEE US
18,320
1,280,033 0.41
Banco Bilbao Vizcaya Argentaria Sa
BBVA SM
242,172
1,278,910 0.41
Deutsche Telekom Ag
DTE GR
74,026
1,274,728 0.41
Enbridge Inc
ENB CN
38,142
1,274,309 0.41
Industria De Diseno Textil Sa
ITX SM
39,268
1,272,676 0.41
Kering Sa
KER FP
2,028
1,271,353 0.41
Tesla Inc
TSLA US
2,013
1,269,455 0.41
Softbank Corp
9434 JP
104,400
1,268,800 0.41
Hong Kong Exchanges & Clearing Ltd
388 HK
23,865
1,266,075 0.41
Air Liquide Sa
AI FP
8,741
1,263,424 0.41
Amazon.Com Inc
AMZN US
443
1,263,362 0.41
Medtronic Plc
MDT US
11,585
1,263,190 0.41
Vestas Wind Systems A/S
VWS DC
37,299
1,261,500 0.41
Nidec Corp
6594 JP
12,100
1,261,209 0.41
Duke Energy Corp
DUK US
14,910
1,257,962 0.40
Mondelez International Inc
MDLZ US
24,381
1,252,270 0.40
Naver Corp
035420 KS
4,277
1,251,211 0.40
Royal Bank Of Canada
RY CN
15,003
1,249,422 0.40
Wesfarmers Ltd
WES AU
35,325
1,249,113 0.40
Us Bancorp
USB US
25,634
1,248,413 0.40
Cie Financiere Richemont Sa
CFR SW
14,120
1,248,360 0.40
Bank Of America Corp
BAC US
37,336
1,246,073 0.40
Automatic Data Processing Inc
ADP US
7,408
1,245,040 0.40
Glencore Plc
GLEN LN
342,615
1,243,874 0.40
Ing Groep Nv
INGA NA
110,019
1,241,234 0.40
Stellantis Nv
STLA IM
77,374
1,240,460 0.40
Abbott Laboratories
ABT US
11,620
1,240,147 0.40
Commonwealth Bank Of Australia
CBA AU
20,048
1,239,449 0.40
International Business Machines Corp
IBM US
10,920
1,238,460 0.40
Becton Dickinson And Co
BDX US
5,584
1,233,533 0.40
Siemens Ag
SIE GR
8,446
1,233,285 0.40
Mitsubishi Ufj Financial Group Inc
8306 JP
249,316
1,231,668 0.40
Coca-Cola Co/The
KO US
26,662
1,229,120 0.40
Macquarie Group Ltd
MQG AU
11,588
1,227,562 0.40
Pnc Financial Services Group Inc/The
PNC US
7,810
1,225,473 0.39
Assicurazioni Generali Spa
G IM
69,033
1,222,920 0.39
Berkshire Hathaway Inc
BRK/B US
5,235
1,219,751 0.39
Starbucks Corp
SBUX US
12,727
1,218,154 0.39
Infineon Technologies Ag
IFX GR
33,469
1,217,435 0.39
Tjx Cos Inc/The
TJX US
20,521
1,212,760 0.39
Tokio Marine Holdings Inc
8766 JP
25,867
1,212,217 0.39
Transurban Group
TCL AU
138,740
1,212,164 0.39
Deutsche Boerse Ag
DB1 GR
8,341
1,206,526 0.39
Johnson & Johnson
JNJ US
8,599
1,206,699 0.39
Mitsui & Co Ltd
8031 JP
63,185
1,206,635 0.39
Crh Plc
CRH LN
28,678
1,202,343 0.39
Panasonic Corp
6752 JP
110,936
1,199,633 0.39
Danone Sa
BN FP
20,154
1,199,768 0.39
Singapore Telecommunications Ltd
ST SP
770,028
1,199,244 0.39
Chubb Ltd
CB US
7,993
1,198,490 0.39
Honeywell International Inc
HON US
6,532
1,197,260 0.39
Eni Spa
ENI IM
112,536
1,193,557 0.38
Conocophillips
COP US
23,420
1,185,133 0.38
Dbs Group Holdings Ltd
DBS SP
63,262
1,182,693 0.38
Sanofi
SAN FP
14,363
1,181,069 0.38
Qualcomm Inc
QCOM US
10,503
1,180,238 0.38
Canadian National Railway Co
CNR CN
12,012
1,178,168 0.38
Honda Motor Co Ltd
7267 JP
45,169
1,177,633 0.38
Astellas Pharma Inc
4503 JP
80,341
1,177,208 0.38
Lloyds Banking Group Plc
LLOY LN
2,372,944
1,172,833 0.38
Intesa Sanpaolo Spa
ISP IM
502,806
1,167,516 0.38
Comcast Corp
CMCSA US
24,402
1,166,767 0.38
Unilever Plc
UNA NA
24,959
1,166,084 0.38
Itochu Corp
8001 JP
43,200
1,165,775 0.38
Jpmorgan Chase & Co
JPM US
8,931
1,165,307 0.38
Altria Group Inc
MO US
28,441
1,165,100 0.37
British American Tobacco Plc
BATS LN
37,514
1,163,775 0.37
Abbvie Inc
ABBV US
12,698
1,160,468 0.37
Toronto-Dominion Bank/The
TD CN
21,216
1,157,398 0.37
Fanuc Corp
6954 JP
5,789
1,156,385 0.37
Visa Inc
V US
6,154
1,155,637 0.37
Mizuho Financial Group Inc
8411 JP
92,330
1,155,283 0.37
London Stock Exchange Group Plc
LSEG LN
12,435
1,153,818 0.37
Bristol-Myers Squibb Co
BMY US
22,388
1,152,005 0.37
Novartis Ag
NOVN SW
16,135
1,149,288 0.37
Oriental Land Co Ltd/Japan
4661 JP
8,500
1,145,558 0.37
Vonovia Se
VNA GR
21,353
1,141,531 0.37
Adidas Ag
ADS GR
4,039
1,141,421 0.37
3m Co
MMM US
7,485
1,139,046 0.37
Booking Holdings Inc
BKNG US
573
1,136,578 0.37
Axa Sa
CS FP
50,170
1,135,096 0.37
Ubs Group Ag
UBSG SW
86,866
1,134,000 0.36
Sumitomo Mitsui Financial Group Inc
8316 JP
36,894
1,132,194 0.36
Bayerische Motoren Werke Ag
BMW GR
14,337
1,131,476 0.36
Barclays Plc
BARC LN
555,302
1,130,921 0.36
Engie Sa
ENGI FP
96,054
1,128,635 0.36
Vinci Sa
DG FP
12,758
1,124,745 0.36
Merck & Co Inc
MRK US
18,290
1,122,719 0.36
Bank Of Nova Scotia/The
BNS CN
21,980
1,122,108 0.36
Oversea-Chinese Banking Corp Ltd
OCBC SP
154,700
1,120,765 0.36
Zurich Insurance Group Ag
ZURN SW
3,179
1,115,887 0.36
Bnp Paribas Sa
BNP FP
21,698
1,114,409 0.36
Bp Plc
BP/ LN
309,631
1,112,595 0.36
Banco Santander Sa
SAN SM
383,762
1,112,718 0.36
Verizon Communications Inc
VZ US
24,129
1,111,937 0.36
National Australia Bank Ltd
NAB AU
66,116
1,103,975 0.36
Daimler Ag
DAI GR
15,869
1,099,722 0.35
Reckitt Benckiser Group Plc
RKT LN
15,955
1,098,906 0.35
Takeda Pharmaceutical Co Ltd
4502 JP
37,393
1,097,857 0.35
Westpac Banking Corp
WBC AU
70,706
1,097,407 0.35
Daiichi Sankyo Co Ltd
4568 JP
46,400
1,094,481 0.35
Citigroup Inc
C US
19,102
1,090,612 0.35
Royal Dutch Shell Plc
RDSA NA
62,363
1,089,357 0.35
Woolworths Group Ltd
WOW AU
44,926
1,089,523 0.35
Amgen Inc
AMGN US
5,922
1,087,775 0.35
Volkswagen Ag
VOW3 GR
5,937
1,087,658 0.35
Mitsubishi Electric Corp
6503 JP
88,192
1,085,941 0.35
Shiseido Co Ltd
4911 JP
18,200
1,085,761 0.35
Anheuser-Busch Inbev Sa/Nv
ABI BB
21,810
1,075,778 0.35
Union Pacific Corp
UNP US
6,406
1,074,233 0.35
Amadeus It Group Sa
AMS SM
19,019
1,071,150 0.34
Central Japan Railway Co
9022 JP
8,375
1,070,493 0.34
Total Se
TTE FP
28,061
1,068,984 0.34
Samsung Electronics Co Ltd
005930 KS
18,995
1,064,493 0.34
Kao Corp
4452 JP
20,274
1,058,264 0.34
At&T Inc
T US
45,751
1,052,025 0.34
Compass Group Plc
CPG LN
62,054
1,049,182 0.34
Boeing Co/The
BA US
5,880
1,045,707 0.34
Mastercard Inc
MA US
3,602
1,036,499 0.33
--
UMG NA
41,270
1,035,877 0.33
Exxon Mobil Corp
XOM US
22,627
1,035,193 0.33
Telefonaktiebolaget Lm Ericsson
ERICB SS
109,370
1,032,110 0.33
Nintendo Co Ltd
7974 JP
2,500
1,028,262 0.33
Cme Group Inc
CME US
6,466
1,024,898 0.33
Walt Disney Co/The
DIS US
6,972
1,017,866 0.33
Aia Group Ltd
1299 HK
104,595
1,016,654 0.33
Vodafone Group Plc
VOD LN
764,498
1,014,493 0.33
Australia & New Zealand Banking Group L
ANZ AU
60,550
1,012,902 0.33
Caterpillar Inc
CAT US
6,255
1,012,793 0.33
Safran Sa
SAF FP
9,262
1,010,484 0.33
Muenchener Rueckversicherungs-Gesellsch
MUV2 GR
4,327
1,007,326 0.32
Allianz Se
ALV GR
5,350
1,003,767 0.32
Fiserv Inc
FISV US
11,070
1,002,810 0.32
Chevron Corp
CVX US
12,384
1,001,853 0.32
Swiss Re Ag
SREN SW
13,808
1,001,531 0.32
Prudential Plc
PRU LN
63,097
1,001,104 0.32
General Electric Co
GE US
12,108
999,869 0.32
Iberdrola Sa
IBE SM
106,646
995,434 0.32
Basf Se
BAS GR
15,897
991,814 0.32
Cigna Corp
CI US
5,731
989,294 0.32
Koninklijke Philips Nv
PHIA NA
24,758
988,958 0.32
Bayer Ag
BAYN GR
21,510
985,481 0.32
East Japan Railway Co
9020 JP
17,795
985,156 0.32
Fidelity National Information Services
FIS US
9,493
982,780 0.32
Intel Corp
INTC US
21,638
975,736 0.31
Anglo American Plc
AAL LN
33,828
973,849 0.31
Enel Spa
ENEL IM
140,826
971,559 0.31
Fast Retailing Co Ltd
9983 JP
1,600
932,645 0.30
Rio Tinto Plc
RIO LN
16,775
918,802 0.30
Hsbc Holdings Plc
5 HK
216,000
917,866 0.30
Volvo Ab
VOLVB SS
49,063
883,082 0.28
Sk Hynix Inc
000660 KS
11,328
879,880 0.28
Bhp Group Ltd
BHP AU
35,967
836,574 0.27
Prosus Nv
PRX NA
11,771
803,959 0.26
Credit Suisse Group Ag
CSGN SW
97,206
783,042 0.25
Softbank Group Corp
9984 JP
14,342
708,970 0.23
Vivendi Se
VIV FP
41,270
433,335 0.14
Endeavour Group Ltd/Australia
EDV AU
43,388
180,450 0.06
Organon & Co
OGN US
1,735
48,671 0.02
Faurecia Se
EO FP
1,318
47,659 0.02
Jackson Financial Inc
JXN US
1,550
35,073 0.01
Thungela Resources Ltd
TGA LN
3,209
11,269 0.00
Other/Cash
--
--
1,348,585 0.43
These are not recommendations to buy or to sell any security. Securities and holdings may vary.Due to certain corporate actions, the holdings may contain shares with a very small weighting. In addition, more shares may be included in the portfolio than in the normal composition. During the review, these shares normally fall from the index.