Amundi S&P World Consumer Staples Screened UCITS ETF Dist

Amundi S&P World Consumer Staples Screened UCITS ETF Dist

About

Amundi S&P World Consumer Staples Screened UCITS ETF Dist (IE0005NYD352) is a UCITS-compliant equity ETF tracking the S&P World Consumer Staples Weighted & Screened Index. With a TER of 0.18%, it is competitively priced, distributing dividends. The fund holds 71 positions across 18 regions with 13M in assets, with heavy concentration — 59% in United States, 99% in Consumer Staples.

ISIN
Fund Size €13.3M
Issuer Amundi
Distribution Pays Dividends
Replication Physical
Inception Sep 2022
Base Currency EUR
Index S&P World Consumer Staples Weighted & Screened Index
Asset Class Equities
Category Equity Sector

Costs

9.1
This fund has low total costs, with competitive tracking and expense ratios.

Cost Metrics Explained

What TER, tracking difference, and TD consistency measure

TER (Total Expense Ratio) is the annual fee the fund charges, deducted from assets. It’s the headline cost, but not the full picture.

Tracking Difference measures how much the fund actually lags (or leads) its benchmark index per year. This is the single best measure of true cost — it captures TER plus all other drags like sampling error and tax withholding. A lower (or negative) value is better.

TD Consistency measures how stable the tracking difference is from year to year. A low value means predictable, reliable costs; a high value means costs can vary significantly.

TER0.00%
Tracking Difference0.00%
TD Consistency0.00%

Cumulative Returns

Performance across different time periods.
1 Month+0.00%
3 Months+0.00%
Year to Date+0.00%
1 Year+0.00%
3 Years+0.00%
5 Years+0.00%
Inception+0.00%

Holdings

3.2
With only 71 individual holdings, this fund is relatively concentrated compared to other ETFs.
#1
Walmart Inc
0.11%
#2
Coca-Cola Co/The
0.10%
#3
Costco Wholesale Corp
0.10%
#4
Nestle SA
0.09%
#5
Procter & Gamble Co/The
0.07%
#6
L'Oreal SA
0.06%
#7
PepsiCo Inc
0.05%
#8
Unilever PLC
0.05%
#9
Mondelez International Inc
0.03%
#10
Colgate-Palmolive Co
0.03%

Sectors

1.0
This fund is concentrated in just a few of its 2 sectors, reducing diversification.

Regions

7.9
This fund is well-diversified across 19 countries, closely matching the global market.

Nerd Stuff

Advanced risk and return metrics (2023-06-05 — 2026-05-29).
11.0%
Volatility
-13.6%
Max Drawdown
-0.35
Sharpe Ratio
-0.47
Sortino Ratio
-0.28
Calmar Ratio
0.09
Beta
-5.37%
Alpha (Jensen's)
0.018
Benchmark-relative metrics (Beta, Alpha, R²) are calculated against the iShares Core S&P 500 ETF (IE00B5BMR087).

Documents

Regulatory and fund documents.

Broker Availability

Where you can buy this ETF.
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