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€LWCR

The investment objective of the Fund is to track the performance of the MSCI World ESG Broad CTB Select Index (the Index). The MSCI World ESG Broad CTB Select Index is based on the MSCI World Index, its parent index, and includes large and mid-cap securities across 23 Developed Markets countries. The Index aims to maximize exposure to positive environmental, social and governance (ESG) factors while maintaining risk and return characteristics similar to those of the respective underlying market capitalization weighted indexes.
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€LWCR
VS

€C3M

The Funds investment objective is to track the performance of the FTSE Eurozone Government Bill 0-6 Month Capped Index, as closely as possible, whether the Index rises or falls. The target for maximum tracking error between changes in the Funds NAV and that of the Index is 2%. The bonds in the FTSE Eurozone Government Bill 0-6 Month Capped Index are government bonds issued by eurozone Member States with maturity ranging from 0 to 6 months and with at least two Investment Grade ratings by the rating agencies S&P, Moodys and Fitch, i.e. greater than or equal to BBB- by S&P and Fitch, Baa3 by Moodys.
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€C3M

Key takeaways

€LWCR and €C3M both track the same benchmark and have an accumulating distribution policy, meaning they reinvest dividends. Key differences include the fund manager, with €LWCR managed by Amundi Ireland and €C3M by Amundi AM. €LWCR has higher annual fund charges at 0.2% compared to €C3M's 0.14%. Additionally, €LWCR is significantly larger in fund size at €1.1 billion, while €C3M is €405.9 million. Both ETFs are traded in EUR on the Euronext Paris Exchange.

Fund highlights

Fund name
Amundi MSCI World ESG Climate Net Zero Ambition
Amundi ETF Govies 0-6 Months Euro Investment Grade
Share currency
EUR
EUR
Base currency
EUR
EUR
Use of income
Accumulating
Accumulating
Fund size
€1.1B
€406M
Beta
0
0.03
Last price
€481.30
€124.02
Annual fund charges
0.20%
0.14%
Benchmark
-
-
Risk
-
-
Ticker
€LWCR
€C3M
Trading on
PAR
PAR
Market data provided by CBOE Europe and Deutsche Börse.

Performance

CumulativeRolling yearsLump sum investment
€LWCR
€C3M
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
€LWCR
€C3M

Top holdings

Microsoft

4.89%

Nvidia

4.37%

Apple

3.94%

Amazon.com

2.32%

Alphabet Inc Class C

2.12%

Meta Platforms

1.20%

Texas Instruments

1.13%

Eli Lilly And Co

1.10%

Unitedhealth Group

0.89%

Other

78.04%

Germany, Federal Republic Of (government) 0% 19-ju

4.62%

Germany, Federal Republic Of (government) 0% 21-au

4.32%

Germany, Federal Republic Of (government) 0% 17-ju

4.07%

Germany, Federal Republic Of (government) 0% 18-se

3.77%

France 0% 10-jul-2024

3.10%

Italy, Republic Of (government) 0% 12-jul-2024

2.79%

France 0% 12-jun-2024

2.78%

France 0% 07-aug-2024

2.75%

Italy, Republic Of (government) 0% 14-aug-2024

2.69%

Other

69.11%

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