Europe ETF
VanEck Sustainable European Equal Weight UCITS ETF
This is a marketing communication. Please refer to the prospectus of the UCITS and to the KID before making any final investment decisions.
Europe ETF
VanEck Sustainable European Equal Weight UCITS ETF
This is a marketing communication. Please refer to the prospectus of the UCITS and to the KID before making any final investment decisions.
Fund Description
The VanEck Sustainable European Equal Weight UCITS ETF invests in 100 of the most liquid, highly capitalised (free float) companies from European industrialised nations that comply with the UN Global Compact Principles for responsible corporate behavior. Additionally, it excludes sectors that do not follow responsible business practices, including: alcohol, animal testing, military, weapons, gambling, pornography, tobacco, nuclear power.
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NAV€73.78
as of 28 Mar 2024 -
YTD RETURNS6.88%
as of 28 Mar 2024 -
Total Net Assets€48.5 million
as of 28 Mar 2024 -
Total Expense Ratio0.40%
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Inception Date01 Oct 2014
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SFDR ClassificationArticle 8
Overview
Fund Description
The VanEck Sustainable European Equal Weight UCITS ETF invests in 100 of the most liquid, highly capitalised (free float) companies from European industrialised nations that comply with the UN Global Compact Principles for responsible corporate behavior. Additionally, it excludes sectors that do not follow responsible business practices, including: alcohol, animal testing, military, weapons, gambling, pornography, tobacco, nuclear power.
- Sustainable, exclusion-based investing in line with the UN Global Compact Principles
- Equally weighted, diversified exposure to European companies with a maximum weighting of 20% per country
- Backed by sustainability intelligence from VE, part of Moody’s ESG solutions
Risk Factors:
- Foreign currency risk
- equity market risk
- industry or sector concentration risk
- risk of investing in smaller companies
and the Prospectus for other important information before investing.
Underlying Index
Solactive European Equity Index GTR (TGLOTETR)
Fund Highlights
- Sustainable, exclusion-based investing in line with the UN Global Compact Principles
- Equally weighted, diversified exposure to European companies with a maximum weighting of 20% per country
- Backed by sustainability intelligence from VE, part of Moody’s ESG solutions
Risk Factors:
- Foreign currency risk
- equity market risk
- industry or sector concentration risk
- risk of investing in smaller companies
Please refer to the
KIDand the Prospectus for other important information before investing.
Underlying Index
Solactive European Equity Index GTR (TGLOTETR)