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Amundi MSCI UK IMI SRI Climate Paris Aligned UCITS ETF GBP Acc

Amundi · LU1437025296

Amundi MSCI UK IMI SRI Climate Paris Aligned UCITS ETF GBP Acc is an exchange-traded fund (ETF) from Amundi, traded under the ticker FT1K (ISIN LU1437025296). It lets you buy a basket of holdings in a single trade, spreading your money across them rather than one company. In plain terms it is about owning small slices of companies, so you…

· Tracks the MSCI UK IMI SRI Filtered PAB Net GBP Index index ?
Equity ?Accumulating ?Physical ?LU ?
Low yearly feeReinvests dividendsOwns the shares directlyUnited KingdomConcentrated in a few names
Fund size (AUM) ?
€170.8M
Risk level (SRI) ?
4 / 7 · Medium
1-year return ?
+12.0%
Total return · to 2026-09-11
Yearly fee (TER) ?
0.18%
All-in cost ≈ 0.18%

About this fund

What you own

The MSCI UK IMI SRI Filtered PAB Net GBP Index index is the benchmark this fund aims to copy. By holding it, this fund gives you a stake in around 57 companies across United Kingdom in a single purchase.

Dividends

The fund automatically reinvests dividends back into itself, so your holding grows without cash payouts.

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Rolling the dividends straight back in means your money compounds automatically, with nothing for you to reinvest by hand. The flip side is there is no cash income; the growth simply shows up as a higher fund value. Note that reinvested dividends can still be taxable in some countries even though you never receive the cash — the rules depend on where you live.

How it works

The fund actually buys every share in the index it tracks (full replication).

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Owning every holding keeps things transparent — what is in the index is what the fund actually owns. It can be a touch costlier to run for indexes with thousands of tiny positions, since the fund has to buy and maintain them all. There is no swap bank involved, so there is no extra “what if the partner fails” question to weigh.

Cost

0.18%Yearly fee (TER)
0.18%All-in cost

The yearly running cost of the fund, shown as a % of your money. Lower is cheaper.

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For example, a 0.20% fee works out at €0.20 a year for every €100 invested — that’s a generic illustration of the mechanic, not this fund’s own fee. It is skimmed quietly from inside the fund a little each day, so you never get a bill — but it drags on your return every year you hold. On a broad index ETF it is usually a small fraction of a percent; the gap between a cheap and a pricey fund looks tiny on day one but compounds over decades, which is why it is worth a glance.

Fund facts

Index tracked ?
MSCI UK IMI SRI Filtered PAB Net GBP Index
Replication ?
Physical
Full — buys every share
Regulation ?
UCITS
Yes
Launched
Dec 2016
10-year track record
Recommended holding period
5 years

Performance

97.999.2100102103202520252025

Growth of £100 invested — both lines start at £100.

Amundi MSCI UK IMI SRI Climate Paris Aligned UCITS ETF GBP Acc Average MSCI UK IMI SRI Filtered PAB Net GBP Index ETF (funds we track) ?

Compared with the average fund tracking the same index — our own data, not the licensed index itself.

YTD+4.0%
1 year+12.0%
3 years+13.6%
5 years-53.0%

Return, year by year

-98.5
+9.6
+8.1
+24.2
'22'23'24'25
3 of 4 up yearsBest: 2025 +24.2%Worst: 2022 -98.5%Calendar-year total returns, in GBP

How bumpy has it been?

14.9%
Volatility (1y) ?
How much the price swings year to year — lower is calmer.
-12.7%
Worst drop (3y) ?
The biggest fall from a peak over the last three years.
0.98
Return for the risk (3y) ?
Reward earned per unit of bumpiness.

The bigger picture

-97.7%
Since inception
Total growth since launch — about -51.6% a year.
+31.2%
Best 12 months
The strongest one-year stretch on record.
-98.6%
Worst 12 months
The weakest one-year stretch on record.
-98.6%
Worst fall on record ?
It has not fully recovered yet.

What's inside

By sector ?

Financials24.7%
Health Care17.1%
Industrials15.6%
Real Estate11.9%
Materials6.4%
Consumer Discretionary6.0%
Consumer Staples5.6%
Communication Services4.9%

The 10 biggest holdings make up 42.0% of the fund — the rest is spread across roughly 47 more companies.

Top 10 holdings

#CompanyWeight
1LLOYDS BANKING GROUP PLC5.0%
2BARCLAYS PLC5.0%
3GSK PLC4.8%
4HALEON PLC4.7%
5LONDON STOCK EXCHANGE GROUP GBP4.4%
6RECKITT BENCKISER GROUP PLC GBP4.0%
7RELX PLC3.8%
83I GROUP PLC3.7%
9NEXT PLC3.4%
10HALMA PLC3.2%

Where to buy this fund

Set from your language & location — change it if it's wrong.

Where it trades

ExchangeTickerCurrency
LSEFT1KGBP★ Primary
EUR listings
Euronext ParisFTSEEUR
GBP listings
B2FTSEGBP
B3FTSEPGBP
B3FT1KLGBP
B4C1UGBPGBP
E1C1U1GBPGBP
E1C1UGBEURGBP
EBFTSEPGBP
EBFT1KLGBP
EOC1UGBEURGBP
EOC1U1GBPGBP
EPC1UGBPGBP
EUC1UGBEURGBP
EUC1UGBPGBP
EZC1UGBPGBP
GZACU5GBP
I2FTSEPGBP
IXFT1KLGBP
IXFTSEPGBP
L1FTSEPGBP
L1FT1KLGBP
L3C1UGBZGBP
L3FT1KLGBP
L3FTSEPGBP
POFTSEPGBP
POFT1KLGBP
POC1UGBZGBP
QEFTSEPGBP
QXFT1KLGBP
QXFTSEPGBP
S1FT1KLGBP
T2FT1KGBP
THACU5GBP
WTFT1KGBP
X9C1UGBPGBP
XAC1UGBEURGBP
XEC1UGBEURGBP
XETRAFT1KGBP
XFC1UGBEURGBP
XGC1UGBEURGBP
XHC1UGBEURGBP
XJC1UGBEURGBP
XLC1UGBEURGBP
XOC1UGBEURGBP
XSC1UGBEURGBP
XUC1UGBEURGBP
XVC1U1GBPGBP
XVC1UGBEURGBP
XWC1UGBEURGBP
XXC1U1GBPGBP
XXC1UGBEURGBP
For serious comparison — full data holdings, percentiles, advanced risk, tilt, flows

Full holdings

As of 2026-09-11 · the fund's own published holdings.

#CompanyWeight
1LLOYDS BANKING GROUP PLC5.0%
2BARCLAYS PLC5.0%
3GSK PLC4.8%
4HALEON PLC4.7%
5LONDON STOCK EXCHANGE GROUP GBP4.4%
6RECKITT BENCKISER GROUP PLC GBP4.0%
7RELX PLC3.8%
83I GROUP PLC3.7%
9NEXT PLC3.4%
10HALMA PLC3.2%
11CONVATEC GROUP PLC3.2%
12NATIONAL GRID PLC3.1%
13DIPLOMA PLC3.0%
14SEGRO PLC2.9%
15RENTOKIL INITIAL 052.8%
16OXFORD NANOPORE TECHNOLOGIES2.5%
17BRITISH LAND CO ORD 25P2.3%
18TRITAX BIG BOX REIT PLC2.2%
19HOCHSCHILD MINING PLC2.0%
20GRAFTON GROUP PLC-UTS LDN (GBP)2.0%
21AUTOTRADER GROUP PLC1.9%
22RIGHTMOVE PLC1.9%
23AVIVA PLC1.8%
24IMI PLC1.8%
25ANTOFAGASTA PLC1.8%
26GREAT PORTLAND ESTATES PLC1.7%
27ADVANCED MEDICAL SOLUTIONS1.7%
28OCADO GROUP PLC1.6%
29LAND SECURITIES GROUP PLC1.5%
30RIO TINTO PLC (GBR)1.3%
31ENDEAVOUR MINING PLC1.2%
32DERWENT LONDON PLC1.2%
33MOONPIG GROUP PLC1.2%
34IP GROUP PLC1.1%
35ADMIRAL GROUP PLC1.0%
36VOLUTION GROUP PLC0.9%
37SAGE GROUP PLC0.9%
38INFORMA PLC0.9%
39INTERTEK GROUP PLC0.7%
40ICG PLC GBP0.6%
41LEGAL & GENERAL GROUP PLC0.6%
42HISCOX LTD0.5%
43PEARSON PLC GBP0.5%
44HOWDEN JOINERY GRP PLC0.4%
45ALFA FINANCIAL SOFTWARE HOLD0.3%
46WHITBREAD PLC0.3%
47DCC ENERGY PLC0.3%
48MAN GROUP PLC/JERSEY0.3%
49BEAZLEY PLC/UK0.2%
50WH SMITH PLC0.2%
51WATCHES OF SWITZERLAND GROUP0.2%
52PETS AT HOME GROUP PLC0.2%
53VODAFONE GROUP PLC0.2%
54SCHRODERS PLC0.1%
55TRUSTPILOT GROUP PLC0.0%
56GAMMA COMMUNICATIONS PLC0.0%
57FTSE 100 IDX 09/26 ICE-FUT0.0%

⭳ Download full holdings (CSV)

How it ranks vs peers

🪙 Cheaper than 67% of similar ETFs💰 All-in cost cheaper than 67%📈 Higher 1-yr return than 17%📈 Higher 3-yr return than 58%📈 Higher 5-yr return than 0%📊 Behind its category by 3.8% (1-yr) (category average +15.8%)📊 Beat its category by 0.6% (3-yr) (category average +13.0%)📊 Behind its category by 61.0% (5-yr) (category average +8.0%)

Versus the Equity (stocks) · United Kingdom · GBP ETFs we track.

Advanced risk

1.42
Sortino (3y) ?
1.07
Calmar (3y) ?
10.3%
Downside deviation ?
75%
Up months (hit rate) ?
£1,594.00
52-week high ?
£1,325.60
52-week low ?

Concentration depth

~34 ?
Effective number of holdings

Roughly 57 companies are held, but the largest names carry most of the weight — so it behaves like ~34 equal-sized positions.

Tilt vs a world tracker

United Kingdom+96.5
United States-72.1
Technology-24.7
Real Estate+10.1
Financials+8.4
Health Care+7.7

Percentage points over / under a broad world-equity tracker (not a licensed benchmark).

Estimated fund flows

−€500,000
Estimated net flow, last month

Estimated from fund-size changes.

Similar funds

We found 6 funds that do much the same job as this one. To pick them we matched this fund's asset class and region, then show how close each match is below.

Matched on🌍 United Kingdom stocks
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Index trackedMSCI UK IMI SRI Filtered PAB Net GBP IndexFTSE 100FTSE 100FTSE 100MSCI United KingdomMSCI United KingdomMSCI United Kingdom
Yearly fee (TER)0.18%0.07%0.10%0.20%0.20%0.20%0.20%
All-in cost0.18%0.07%0.00%0.00%0.00%0.00%0.00%
Fund size€170.8M€19.2B€16.2B€14.2B€4.4B€4.4B€4.4B
DomicileLUIrelandIrelandIrelandLULULU
ReplicationPhysical (full)Physical (full)Physical (full)Physical (full)Physical (full)Physical (full)Physical (full)
3-yr return p.a.+13.6%+17.1%+17.8%+12.7%+15.4%+14.7%
5-yr return p.a.-53.0%+12.6%+12.9%+9.9%+13.2%+11.0%
# holdings57107107107101010

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Data as of 2026-09-11 · Source: issuer data, compiled by Finance Hamster

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