UTIL vs. FT1K ETF Comparison

Comparison of SPDR® MSCI Europe Utilities UCITS ETF (UTIL) to Amundi ETF (FT1K)
UTIL

SPDR® MSCI Europe Utilities UCITS ETF

UTIL Description

The investment objective of the tracker is to replicate the performance of the MSCI Europe Utilities net dividends reinvested. This index represents all the European shares which belong to the sector of services to Communities.

Grade (RS Rating)

Last Trade

£157.34

Average Daily Volume

382

Number of Holdings *

18

* may have additional holdings in another (foreign) market
FT1K

Amundi ETF

FT1K Description The fund seeks to track the performance of MSCI UK IMI SRI Filtered Ex Fossil Fuels Index (the Index), and to minimize the tracking error between the net asset value of the sub-fund and the performance of the Index.

Grade (RS Rating)

Last Trade

£1,108.80

Average Daily Volume

10,155

Number of Holdings *

96

* may have additional holdings in another (foreign) market
Performance
Period UTIL FT1K
30 Days -0.13% -0.73%
60 Days 4.10% 4.05%
90 Days -0.74% 6.29%
12 Months -2.71% 3.89%
1 Overlapping Holdings
Symbol Grade Weight in UTIL Weight in FT1K Overlap
SSE B 5.41% 3.17% 3.17%
UTIL Overweight 17 Positions Relative to FT1K
Symbol Grade Weight
0NRE A 12.77%
NG A 11.9%
0MPP A 7.42%
0NY8 F 5.33%
0HA0 C 5.11%
0RHE C 2.5%
0NQP F 2.26%
UU A 2.11%
CNA D 2.07%
SVT C 2.0%
0N9G D 1.4%
0HAH B 1.32%
0NR1 B 1.19%
0ML1 F 0.99%
0QQ0 C 0.77%
0NTU F 0.75%
0H4K F 0.71%
UTIL Underweight 95 Positions Relative to FT1K
Symbol Grade Weight
AZN A -5.22%
REL D -4.74%
LSEG D -4.74%
LLOY A -4.15%
RKT D -3.57%
CRH D -3.46%
BARC A -3.45%
III B -3.09%
HLMA D -2.6%
NXT A -2.49%
RTO F -2.34%
ANTO B -2.19%
SPX F -2.13%
STAN A -1.9%
VOD D -1.84%
SGRO D -1.74%
CRDA F -1.73%
SMWH F -1.46%
SPT B -1.38%
BKG A -1.35%
GFTU D -1.35%
HWDN C -1.29%
CTEC D -1.27%
LGEN D -1.22%
AV C -1.21%
CKN B -1.16%
ABF A -1.08%
BLND A -1.04%
BVIC A -1.04%
DPLM A -0.99%
AAL A -0.97%
INF C -0.95%
TATE B -0.94%
CCH A -0.94%
UTG D -0.93%
SGE C -0.91%
MKS B -0.84%
PETS C -0.82%
BRBY F -0.79%
LMP A -0.74%
WEIR A -0.73%
DLN F -0.73%
MNDI A -0.67%
ADM B -0.65%
IHG D -0.63%
AGR F -0.62%
BBOX B -0.62%
ICP A -0.61%
RS1 C -0.55%
BAG A -0.53%
TW D -0.52%
BDEV D -0.51%
GPE C -0.47%
ITRK B -0.46%
UKCM A -0.44%
GEN A -0.41%
PSON D -0.4%
DNLM F -0.39%
SMDS D -0.39%
VTY A -0.36%
OCDO F -0.35%
JD F -0.35%
AUTO C -0.33%
BWY D -0.32%
VCT D -0.32%
INVP B -0.3%
PZC C -0.29%
CEY B -0.27%
HSX A -0.27%
INCH A -0.25%
HILS B -0.25%
IWG B -0.24%
ABDN F -0.24%
PFD A -0.23%
DSCV B -0.2%
ABDP A -0.2%
WTB F -0.19%
FGP D -0.18%
IDS B -0.17%
DLG D -0.16%
MOON F -0.15%
ESNT B -0.14%
EMG B -0.14%
NETW A -0.13%
WOSG F -0.13%
DOCS F -0.11%
ASHM D -0.09%
MGAM A -0.09%
SDR F -0.09%
RDW D -0.09%
BGEO A -0.04%
CAML A -0.03%
TBCG A -0.03%
RAT B -0.01%
IBST D -0.01%
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