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Evaluate funds side by side, to find the best fit for your investment goals.
The Fund aims to track the performance of STOXX Europe 600 Index (the "Index"), and to minimize the tracking error between the net asset value of the sub-fund and the performance of the Index. The STOXX Europe 600 Index provides exposure to the performance of the 600 most liquid large, mid and small caps stocks covering developed markets in Europe.
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VS
The investment objective of the Fund is to provide investors with a total return, taking into account both capital and income returns, which reflects the return of the MSCI Emerging Markets Index. The Index measures the performance of large and mid capitalisation stocks across Emerging Market countries which comply with MSCI's size, liquidity, and free-float criteria.
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Key takeaways

These funds track different benchmarks: £SEMA follows the MSCI Emerging Markets Index, which includes approximately 1,400 companies from 24 emerging market countries, while £MEUD tracks the STOXX Europe 600, comprising 600 of the largest listed companies in Europe. They also differ in annual fund charges (£SEMA: 0.18%, £MEUD: 0.07%) and fund size (£MEUD is slightly larger than £SEMA). Both funds reinvest dividends (accumulating funds) and are traded on the London Stock Exchange.

Fund highlights

Fund comparison highlights
Fund name
Amundi STOXX Europe 600iShares MSCI EM
GBP
GBP
EUR
USD
AccumulatingAccumulating
Fund size
£6.6bn£7.3bn
1.121.00
Last price
£272.33£44.66
0.07%0.18%
Fund manager
Amundi LuxembourgBlackRock
Benchmark
STOXX Europe 600MSCI Emerging Markets Index
Risk
-
Ticker
£MEUD£SEMA
Primary listing
LSELSE
Documents
£MEUD Key Information Document£SEMA Key Information Document
Market data provided by CBOE Europe and Deutsche Börse.

Performance

CumulativeRolling yearsLump sum investment
£MEUD
£SEMA
Past performance is no guarantee of future returns.
The “cumulative” calculation shows returns on a price basis (i.e. excluding dividends). If an instrument trades in a different currency from your home currency, currency fluctuations may affect returns.

Sector exposure

ChartTable
£MEUD
£SEMA

Top holdings

ASML Holding

3.56%

AstraZeneca

2.17%

Novartis AG

2.05%

Roche Holding

1.99%

HSBC Holdings

1.98%

Shell

1.92%

Nestlé S.A.

1.81%

TotalEnergies SE

1.46%

Siemens

1.28%

Other

81.78%

Taiwan Semiconductor Manufacturing

15.11%

Samsung Electronics Ltd

6.81%

Sk Hynix Inc

5.75%

Ish Msci China A Etf Usd Acc

3.66%

Tencent Holdings Ltd

2.93%

Alibaba Group Holding Ltd

1.99%

Ishares Msci Brazil Ucits Et Usdha

1.98%

Mediatek Inc

1.40%

Delta Electronics Inc

0.89%

Other

59.48%

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