Compare funds

Evaluate funds side by side, to find the best fit for your investment goals.

€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

€GMVM

The Fund's investment objective is to track, before fees and expenses, the price and yield performance of the Morningstar US Sustainable Moat Focus Index. The Index is designed to provide exposure to at least 40 of the top equity securities in the Morningstar US Market Index (parent index) that are rated as wide moat companies and have the lowest current market price/ fair value price determined in an independent research process by the Morningstar equity research team. Companies selected into the Index are compliant with Environmental, Sustainability and Governance (ESG) criteria.
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€GMVM

Key takeaways

€GMVM and €LWCR differ primarily in fund manager, annual charges, exchange, and fund size. €GMVM is managed by VanEck AM with a 0.49% fee and trades on Deutsche Börse Xetra, while €LWCR is managed by Amundi Ireland with a lower 0.2% fee and trades on Euronext Paris Exchange. €GMVM has a fund size of €407.4 million, whereas €LWCR is larger at €1.1 billion. Both ETFs reinvest dividends (accumulating funds) and have EUR as their share currency.

Fund highlights

Fund name
Amundi MSCI World ESG Climate Net Zero Ambition
VanEck Morningstar Wide Moat
Share currency
EUR
EUR
Base currency
EUR
USD
Use of income
Accumulating
Accumulating
Fund size
€1.1B
€407M
Beta
0
0.98
Last price
€445.43
€45.97
Annual fund charges
0.20%
0.49%
Benchmark
-
-
Risk
-
Ticker
€LWCR
€GMVM
Trading on
PAR
XETRA
Market data provided by CBOE Europe and Deutsche Börse.

Performance

CumulativeRolling yearsLump sum investment
€LWCR
€GMVM
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
€GMVM

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%

Teradyne

3.30%

Alphabet Inc Class A

3.21%

Ecolab

2.92%

Tyler Technologies

2.85%

Intercontinental Exchange

2.81%

Walt Disney Co

2.66%

Thermo Fisher Scientific

2.58%

Allegion

2.57%

Yum! Brands

2.45%

Other

74.65%

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