This page pictures the ETF’s basket, not the index: the fund replicates by optimisation, so additions and removals are the manager’s choices within the index, not the official review list.
| Holding | Weight on entry |
|---|---|
| US 10YR NOTE (CBT)Dec26 0 | <0.01% |
| Holding | Weight on exit |
|---|---|
| US 10YR NOTE (CBT)Sep26 0 | <0.01% |
Holdings compared (excluding cash instruments): 10 → 10.
No change beyond ±0.25 points.
The issuer publishes rounded breakdowns and updates them infrequently: they are identical across the two snapshots, so they do not measure the month’s movement. You can find them on the fund page.
+0.4% in EUR (NAV 30.64 → 30.77, 31 Jul → 31 Aug). Accumulating fund: no distributions.
26 mln € → 26 mln € (issuer’s daily series).
| TER | 0.47% — unchanged |
| Transaction costs (KID) | 0.05% — unchanged |
| Index, name, policy | no change in the period |