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September 2026 update

Amundi MDAX ESG II UCITS ETF Dist · DE000ETF9074 · E907
Rebalix monthly basket snapshots compared: 31 July 20261 September 2026 (issuer-declared dates; each section states its own)
In brief: 0 holdings added and 0 removed from the basket · 5 weight changes beyond ±0.25 points · NAV change over the period −1.6% (ongoing) · costs and key facts unchanged.

The largest sector move is Industrie, down 27.3 percentage points, while Industrials rises 26.2 percentage points. Among countries, Germany rises by 100.0 percentage points.

Declared positions
42
40 → 42 · Δ +2
as of 1 Sept
Top-10 weight
45.2%
concentration
NAV change over the period
−1.6%
in EUR · 31 Jul → 1 Sept
ongoing period
Distributions
2.69 EUR
ex 4 Aug

Basket

Source: basket file published by the issuer, as of 19 Aug and 1 Sept, compared holding by holding by Rebalix (cash excluded, lines of the same holding merged).

Holdings added (0)

None.

Holdings removed (0)

None.

Holdings compared (excluding cash instruments, lines of the same holding merged): 40 → 40, issuer files of 19 Aug and 1 Sept.

Weight changes beyond ±0.25 points (5)

TALANX AG
5.76.0% · +0.31 p.p.
NORDEX SE
3.93.7% · 0.28 p.p.
DEUTZ AG
1.21.5% · +0.28 p.p.
DEUTSCHE LUFTHANSA NOMINATIVE
6.05.8% · 0.25 p.p.
AIXTRON SE
3.43.1% · 0.25 p.p.

Sectors and countries

Source: aggregate breakdowns declared by the issuer in the two snapshots (31 Jul and 1 Sept).

Sectors — where the weight moved

Industrie
27.30.0% · 27.29 p.p.
Industrials
0.026.2% · +26.15 p.p.
Zyklische Konsumgüter
19.90.0% · 19.87 p.p.
Consumer Discretionary
0.018.9% · +18.91 p.p.
Materials
0.015.1% · +15.07 p.p.
Grundstoffe
14.50.0% · 14.51 p.p.

Bars scaled to the change: orange = up, grey = down. Basket percentages at the two snapshots.

Countries — where the weight moved

Germany
0.0100.0% · +100.00 p.p.
Deutschland
100.00.0% · 100.00 p.p.

The five countries that moved the most between the two snapshots.

See the numbers as a table
Country31 Jul1 Sept
Germany0.0%100.0%
Deutschland100.0%0.0%

NAV over the period

Source: daily NAV series published by the issuer; distributions from Rebalix’s distributions register, issuer-sourced.

NAV over the period (EUR) — ex-dates marked

151.1154.3Ex-date 4 Aug: 2.69 EUR151.8
31 Jul1 Sept

154.18 → 151.78: −1.6% from 31 Jul to 1 Sept, the last NAV available at each snapshot date.

Costs and key facts

Source: issuer KID (costs as of 2 Sept); Rebalix events register.

TER
0.30%
unchanged
Transaction costs (KID)
0.02%
unchanged
Index, name, policy
unchanged
Issuer-declared basket snapshots, compared by Rebalix. Each section states its own dates: the basket comparison uses the issuer file dates; top 10, composition and breakdowns the dates of the two archived snapshots; maturities, ratings and duration the monthly registry snapshots. Weight changes are shown above ±0.25 points (the archive records them from ±0.1). We record the past: nothing on this page is a recommendation.