Holdings

Symbol Grade Price % Change Allocation
AAPL C -0.59 8.59
MSFT D 0.06 8.14
NVDA A 0.66 7.67
META C -1.29 3.18
GOOGL B -4.67 2.10
GOOG B -4.34 1.89
AVGO D 0.65 1.67
LLY F -1.52 1.45
JPM B 0.89 1.42
UNH B 0.10 1.11
V A 0.17 1.01
PG C -0.22 0.89
HD C 1.02 0.89
MA B -0.19 0.89
JNJ D 0.13 0.85
ABBV F -0.04 0.72
NFLX A -0.33 0.72
CRM B 0.96 0.64
BAC A 0.94 0.63
ORCL A 0.65 0.60
CSCO B -0.57 0.59
MRK F -0.13 0.59
KO D 0.21 0.59
EIX C -0.12 0.56
PEP F 0.07 0.56
TMO D -0.64 0.53
ISRG A -0.27 0.52
ABT B -0.45 0.52
AMD F -0.51 0.52
WFC A 1.16 0.51
ACN B 0.66 0.50
AWK C -0.32 0.49
ADBE D -1.01 0.48
TXN C -0.89 0.47
QCOM F 1.06 0.45
MCD D -2.27 0.44
DHR D -0.81 0.43
NOW B 1.11 0.43
AMGN D -0.65 0.42
DIS B 0.14 0.41
BMY B -0.55 0.40
GS B 0.80 0.40
PFE F -0.45 0.40
INTU B 2.75 0.39
UBER F 1.26 0.39
LOW C -0.02 0.38
GILD B -0.21 0.38
AMAT F 1.07 0.38
BSX A 0.23 0.38
VRTX D -0.73 0.36
SYK A -0.01 0.36
BKNG A 0.67 0.35
VZ C -0.36 0.35
AXP B 0.23 0.35
CMCSA B -0.49 0.35
MS B 1.56 0.35
SPGI D 0.62 0.34
MDT D 0.20 0.34
BLK B 0.17 0.33
PLD D -0.73 0.32
T A -0.11 0.32
WELL A -0.05 0.31
SHW C -0.43 0.31
PGR B 0.30 0.30
ADI D 0.35 0.30
DE C 5.12 0.29
INTC C -0.08 0.29
DASH B -0.39 0.29
ANET D 3.62 0.29
UPS C -0.15 0.29
AMT D -0.51 0.29
MU D 2.05 0.29
MSI A -0.10 0.29
EQIX A 0.18 0.29
NKE F 0.55 0.29
MELI C -1.46 0.29
WM B -0.43 0.28
FI A -0.01 0.27
LRCX F 1.93 0.27
ORLY B 0.11 0.27
MDLZ F -0.49 0.27
ZTS D -0.33 0.27
ADP B 0.30 0.26
PANW A 2.34 0.26
C B 0.38 0.26
REGN F 0.06 0.25
MCK A -0.30 0.25
KLAC F 1.02 0.25
MRVL B 1.11 0.25
SCHW A 0.45 0.25
CB D 0.14 0.24
BDX F -0.17 0.24
DLR A -0.07 0.24
CVS D -0.56 0.24
SPG A 0.00 0.24
AZO C 0.00 0.23
MMC D -0.04 0.23
PSA D 0.22 0.23
ECL D 0.13 0.23
FAST B -0.08 0.23
TMUS B -0.30 0.23
ODFL B 0.38 0.22
FDX B 0.79 0.22
KKR B 0.26 0.22
CL D -0.44 0.22
TGT F 0.30 0.21
O D -0.09 0.21
CPRT B 0.25 0.21
LULU C 0.42 0.20
RMD C 0.17 0.20
CCI C -0.40 0.20
EXR C -0.05 0.19
LEN D 0.33 0.19
EBAY D -0.22 0.19
VICI C -0.16 0.19
GRMN B 1.12 0.19
ICE D 0.20 0.19
CTVA C 0.78 0.19
ELV F 0.28 0.19
PYPL B 0.01 0.19
GWW B -0.14 0.19
IRM C 1.25 0.19
DHI D 0.23 0.19
SYY D 0.18 0.18
OTIS D -0.36 0.18
WAT B 0.69 0.18
USCA A 0.00 0.18
ILMN C -0.20 0.18
GEHC C -0.74 0.18
AVB B 0.32 0.18
VTR B -0.17 0.18
CTAS B -0.21 0.17
DAL A 0.75 0.17
MCO B 0.35 0.17
SBAC D 0.00 0.17
COR B -0.55 0.17
CDNS B 0.04 0.17
K A 0.00 0.17
SNPS C 0.52 0.17
ALNY D 0.33 0.17
CMG C 0.02 0.17
KDP D -0.19 0.17
KMB C -0.16 0.17
CI D -0.32 0.17
CME A 0.00 0.17
ZBRA B -0.25 0.16
EW C 0.04 0.16
GM B 0.24 0.16
AON B -0.27 0.16
PHM D 0.48 0.16
KEYS A -0.55 0.16
CHD A -0.24 0.16
PKG A 0.08 0.16
NVR D -0.91 0.16
WST C 0.11 0.16
GIS D -0.91 0.16
CRWD B 2.14 0.16
INCY C 0.04 0.16
SNA B 0.00 0.16
GLW B 0.01 0.16
MLM B 0.12 0.16
EQR C 0.00 0.16
IDXX F -1.81 0.16
CLX A -0.37 0.16
PNC B 0.44 0.16
MKC C 0.16 0.15
APO B 0.02 0.15
MTD F 0.00 0.15
STE D -0.12 0.15
HSY F -0.01 0.15
MAA B -0.01 0.15
ZBH C -0.12 0.15
ESS B 0.20 0.15
WY D 0.00 0.15
UAL A -0.24 0.15
ON F -1.20 0.14
AJG A -0.23 0.14
ADSK A 0.36 0.14
ULTA F -1.93 0.14
HCA F -2.75 0.14
INVH D -0.15 0.14
HOLX D -0.12 0.14
PPG F -0.16 0.14
JBHT C -0.34 0.14
SPOT A -0.14 0.14
DOC D -0.51 0.14
USB A 1.07 0.14
ABNB C -1.89 0.13
RPRX D 0.62 0.13
PCAR C 0.86 0.13
HPQ B 0.50 0.13
KHC F -0.18 0.13
DXCM C -0.74 0.13
BK B 0.57 0.13
MCHP F 0.28 0.13
ARE F 0.30 0.13
NTAP C 1.17 0.13
DOV B 0.25 0.13
WDAY C 1.24 0.12
TFC B 0.50 0.12
TSCO D 0.71 0.12
FICO A 0.02 0.12
MAS D -0.05 0.12
FTNT B 0.66 0.12
EXPD D 0.07 0.12
COIN B -3.76 0.12
MPWR F -0.15 0.12
BAX F 0.04 0.12
BALL D -0.53 0.12
GPC F -0.09 0.12
ALGN D 1.06 0.12
WAB B 0.00 0.12
AVTR F -0.55 0.12
CARR D 0.66 0.12
JCI B 0.48 0.12
BIIB F -0.44 0.12
IFF D -0.51 0.12
LUV B -0.22 0.11
TRV B -0.44 0.11
BMRN F -0.90 0.11
COF B 0.48 0.11
STX D 0.39 0.11
TTD B -0.71 0.11
AFL C 0.56 0.11
SQ A 0.52 0.10
EL F 0.31 0.10
DFS B 0.63 0.10
APTV F -0.17 0.10
PAYX B 0.18 0.10
MSCI C -0.20 0.10
CPB D -0.62 0.10
CAH B -0.51 0.10
FIS C -1.39 0.10
AMP A 0.67 0.10
SCCO F -1.85 0.10
VRSK A 0.08 0.09
A F 1.21 0.09
F C 0.23 0.09
AIG D -0.13 0.09
TER F 0.52 0.09
SWKS F 0.48 0.09
ARM F 1.17 0.09
CAG D -0.33 0.09
HUM C 0.53 0.08
ARES A 0.49 0.08
MET A 1.52 0.08
ENPH F 0.68 0.08
CHTR B -0.89 0.08
EA A -0.24 0.08
SNOW C 27.92 0.08
WDC F 1.28 0.08
CTSH B 0.24 0.08
TEAM B 1.06 0.08
HRL D -0.43 0.08
IT C -0.09 0.08
NUE D -0.92 0.08
BBY D 0.09 0.08
FITB B 0.73 0.07
STT A 0.22 0.07
ALL A 0.64 0.07
PRU B 0.60 0.07
WTW B -0.25 0.07
RJF A 0.00 0.07
VEEV C -0.34 0.07
HUBS A 0.61 0.07
CNC F -0.39 0.07
DDOG A 5.22 0.07
NDAQ A 0.26 0.07
GPN C 0.70 0.07
ACGL D 0.77 0.07
IQV F -0.11 0.07
EFX F 0.59 0.07
EXPE B 0.34 0.06
NET B 6.65 0.06
IP A -1.09 0.06
MTB A 0.49 0.06
HBAN B 0.43 0.06
TTWO A 0.01 0.06
TROW B -0.28 0.06
MRNA F -1.30 0.06
SYF B 0.12 0.06
CSGP C -0.07 0.06
CBRE B 0.40 0.06
GFS C 1.07 0.06
CPAY A 0.32 0.06
WBD B 0.60 0.05
YUM D -0.69 0.05
LEN D 0.33 0.05
TRU D 0.12 0.05
CDW F 0.00 0.05
IBKR A 0.55 0.05
LH B -1.09 0.05
CBOE C 0.56 0.05
BR B -0.05 0.05
HIG A -0.10 0.05
RBLX B -2.54 0.05
NTRS A 0.46 0.05
DGX A -0.30 0.04
PINS F -0.67 0.04
GEN B 0.03 0.04
SMCI F 7.19 0.04
ROL B -0.97 0.04
ZS C 2.00 0.04
OMC D 0.41 0.04
ZM B 1.04 0.04
LYV A -0.12 0.04
MKL A 0.63 0.04
MDB C 11.98 0.04
CINF A 0.25 0.04
CFG B 0.00 0.03
KEY B 0.63 0.03
OKTA D 1.66 0.03
PFG C 0.40 0.03
AKAM F 1.17 0.03
DPZ C -0.01 0.03
SSNC C 1.08 0.03
WRB A 0.16 0.03
VRSN D 0.02 0.03
EG C 0.34 0.02
FNF D 0.00 0.02
FOXA B 0.00 0.02
DOX D 0.39 0.02
SNAP D -0.19 0.02
RF A 1.10 0.02
SIRI D -1.55 0.01
PABU A 0.00 0.01
FOX A -0.46 0.01
RKT F 0.22 0.01
WMG B -7.19 0.01
ADM D -0.11 0.00
TT A 0.86 0.00
TSN B 0.06 0.00

Recent News for Xtrackers Net Zero Pathway Paris Aligned US Equity ETF & its Holdings

Date Stock Title
Nov 21 COIN SA Sentiment: Should the U.S. create a Strategic Bitcoin Reserve?
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Nov 21 SSNC SS&C Announces Common Stock Dividend of $0.25 Per Share
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Nov 21 CNC Meridian Health Plan of Illinois and Liberty Bank and Trust Partner to Create Small Business Loan Program to Support and Empower Diverse and Small Businesses in Illinois
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Xtrackers Net Zero Pathway Paris Aligned US Equity ETF is an exchange traded fund launched and managed by DBX Advisors LLC. The fund invests in public equity markets of the United States. The fund invests in stocks of companies operating across diversified sectors. The fund invests in growth and value stocks of companies across diversified market capitalization. It invests in stocks of companies that are deemed socially conscious in their business dealings and directly promote environmental responsibility. The fund seeks to track the performance of the Solactive ISS ESG United States Net Zero Pathway Enhanced Index, by using full replication technique. The fund does not invest in companies operating across controversial weapons, exhibit poor overall ESG performance, fossil fuels, oil sands, hydraulic fracturing and shale oil/gas, artic or deep water drilling, tobacco, weapons and firearms, alcohol, gambling, adult entertainment or recreational cannabis. Xtrackers Net Zero Pathway Paris Aligned US Equity ETF is domiciled in the United States.
Exchange Traded Funds Synthetic Replication Oil Sands Fracturing Solactive
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