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Amundi MSCI Europe ESG Selection UCITS ETF EUR Hedged Acc

Amundi · LU1940199984

Amundi MSCI Europe ESG Selection UCITS ETF EUR Hedged Acc is an exchange-traded fund (ETF) from Amundi, traded under the ticker ESGH (ISIN LU1940199984). 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 share in…

· Tracks the MSCI Europe ESG Selection P-Series 5% Issuer Capped Index index ?
Equity ?Accumulating ?Physical ?LU ?
Low yearly feeReinvests dividendsOwns the shares directlyEurope
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Fund size (AUM) ?
€1.2B
Risk level (SRI) ?
3 / 7 · Medium
1-year return ?
+22.5%
Total return · to 2026-08-13
Yearly fee (TER) ?
0.25%
All-in cost ≈ 0.00%

About this fund

What you own

The MSCI Europe ESG Selection P-Series 5% Issuer Capped Index index is the benchmark this fund aims to copy. By holding it, this fund gives you a stake in around 210 companies across Europe 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

0.25%Yearly fee (TER)
0.00%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 Europe ESG Selection P-Series 5% Issuer Capped Index
Replication ?
Physical
Full — buys every share
Regulation ?
UCITS
Yes
Launched
May 2021
5-year track record
Recommended holding period
5 years

Performance

77.796.1114133151202120242026

Growth of €100 invested — the line starts at €100.

Amundi MSCI Europe ESG Selection UCITS ETF EUR Hedged Acc

End-of-day prices, rebased to a common start so the shapes are comparable. Past performance does not predict future results.

YTD+14.3%
1 year+22.5%
3 years+12.8%
5 years+7.8%

Return, year by year

-10.9
+14.7
+6.2
+14.1
'22'23'24'25
3 of 4 up yearsBest: 2023 +14.7%Worst: 2022 -10.9%Calendar-year total returns, in EUR

How bumpy has it been?

13.0%
Volatility (1y) ?
How much the price swings year to year — lower is calmer.
-15.4%
Worst drop (3y) ?
The biggest fall from a peak over the last three years.
0.94
Return for the risk (3y) ?
Reward earned per unit of bumpiness.

The bigger picture

+52.0%
Since inception
Total growth since launch — about +8.5% a year.
+29.7%
Best 12 months
The strongest one-year stretch on record.
-15.6%
Worst 12 months
The weakest one-year stretch on record.
-21.1%
Worst fall on record ?
It clawed back in about 15 months.

What's inside

By sector ?

Financials27.0%
Industrials19.3%
Health Care14.2%
Technology9.5%
Consumer Staples8.1%
Consumer Discretionary6.8%
Materials5.7%
Utilities4.9%

The 10 biggest holdings make up 32.6% of the fund — the rest is spread across roughly 200 more companies.

Top 10 holdings

#CompanyWeight
1ASML HOLDING NV5.9%
2HSBC HOLDINGS PLC5.0%
3NOVARTIS AG-REG3.9%
4ASTRAZENECA GBP3.3%
5SCHNEIDER ELECT SE2.7%
6NOKIA OYJ HELSINKI2.7%
7ALLIANZ SE-REG2.7%
8ABB LTD-REG2.3%
9NOVO NORDISK A/S-B2.1%
10IBERDROLA SA2.0%

Where to buy this fund

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

Where it trades

ExchangeTickerCurrency
Euronext ParisESGHEUR★ Primary
EUR listings
B3ESGHMEUR
B3ESGHPEUR
Borsa ItalianaESGHEUR
E1ESGHEUREUR
EBESGHPEUR
EOESGHEUREUR
EPESGHEUREUR
EUESGHEUREUR
EZESGHEUREUR
FrankfurtBUN5EUR
GZBUN5EUR
I2ESGHPEUR
IXESGHPEUR
L1ESGHMEUR
L1ESGHPEUR
L3ESGHPEUR
L3ESGHMEUR
POESGHMEUR
POESGHPEUR
S1ESGHPEUR
S4ESGHPEUR
THBUN5EUR
X1ESGHEUREUR
X2ESGHEUREUR
X9ESGHEUREUR
XAESGHEUREUR
XEESGHEUREUR
XETRAESGHEUR
XFESGHEUREUR
XGESGHEUREUR
XHESGHEUREUR
XJESGHEUREUR
XLESGHEUREUR
XOESGHEUREUR
XQESGHEUREUR
XTESGHEUREUR
XUESGHEUREUR
XVESGHEUREUR
XWESGHEUREUR
XXESGHEUREUR
XZESGHEUREUR
For serious comparison — full data holdings, percentiles, advanced risk, tilt, flows

Full holdings

As of 2026-08-13 · the fund's own published holdings.

#CompanyWeight
1ASML HOLDING NV5.9%
2HSBC HOLDINGS PLC5.0%
3NOVARTIS AG-REG3.9%
4ASTRAZENECA GBP3.3%
5SCHNEIDER ELECT SE2.7%
6NOKIA OYJ HELSINKI2.7%
7ALLIANZ SE-REG2.7%
8ABB LTD-REG2.3%
9NOVO NORDISK A/S-B2.1%
10IBERDROLA SA2.0%
11UNILEVER PLC LONDON1.9%
12LVMH MOET HENNESSY LOUIS VUI1.9%
13BNP PARIBAS1.8%
14INTESA SANPAOLO1.5%
15ZURICH INSURANCE GROUP AG1.5%
16ING GROEP NV1.5%
17AIR LIQUIDE PRIME DE FIDELITE 20281.4%
18LLOYDS BANKING GROUP PLC1.3%
19L OREAL PRIME FIDELITE1.2%
20AXA SA1.1%
21NATIONAL GRID PLC1.1%
22SPOTIFY TECHNOLOGY SA1.0%
23VINCI SA (PARIS)0.9%
24DASSAULT SYSTEMES SE0.9%
25SOCIETE GENERALE0.9%
26RELX PLC0.9%
27PROSUS NV0.8%
28DEUTSCHE BOERSE AG0.8%
29ESSILORLUXOTTICA0.8%
30COMPASS GROUP PLC0.8%
31VOLVO AB-B SHS0.8%
32ATLAS COPCO AB-A SHS0.8%
33LONDON STOCK EXCHANGE GROUP GBP0.7%
34CAIXABANK SA0.7%
35SWISS RE AG0.7%
36LONZA GROUP AG-REG0.7%
37DANONE0.7%
38HERMES INTERNATIONAL0.7%
39RECKITT BENCKISER GROUP PLC GBP0.6%
40PRYSMIAN SPA0.6%
41LEGRAND SA0.6%
42GENERALI MILAN0.6%
43DSV A/S (DKK)0.6%
44GALDERMA GROUP AG0.6%
45SSE PLC0.6%
46SANDVIK AB0.6%
47GIVAUDAN-REG0.5%
48ASSA ABLOY AB -B0.5%
49ALCON INC0.5%
503I GROUP PLC0.5%
51SIKA AG-REG0.5%
52KBC GROUP NV0.5%
53KONINKLIJKE AHOLD DELHAIZE0.5%
54SUNBELT RENTALS HOLDINGS INC GBP0.4%
55VESTAS WIND SYSTEMS A/S0.4%
56FERROVIAL SE MADRID0.4%
57SWISS LIFE HOLDINGS AG0.4%
58UCB SA0.4%
59VODAFONE GROUP PLC0.4%
60ADIDAS AG0.4%
61AMADEUS IT GROUP SA0.4%
62AVIVA PLC0.4%
63ATLAS COPCO AB-B SHS0.4%
64AIB GROUP PLC0.4%
65SAMPO OYJ-A SHS0.4%
66DNB BANK ASA0.4%
67PUBLICIS GROUPE SA0.4%
68HEIDELBERGCEMENT AG0.3%
69MICHELIN (CGDE)0.3%
70AERCAP HOLDINGS NV0.3%
71NN GROUP NV0.3%
72MTU AERO ENGINES AG0.3%
73AIR LIQUIDE SA0.3%
74AENA SME SA0.3%
75NOVONESIS (NOVOZYMES) B0.3%
76INTERCONTINENTAL HOTELS GROU0.3%
77KERING PARIS0.3%
78GEBERIT AG-REG0.3%
79COCA-COLA EUROPACIFIC PARTNE0.3%
80VAT GROUP AG0.3%
81LEGAL & GENERAL GROUP PLC0.3%
82MERCK KGAA0.3%
83CREDIT AGRICOLE SA0.3%
84BANK OF IRELAND GROUP PLC DUBLIN0.3%
85HELVETIA BALOISE HOLDING AG0.3%
86SWISSCOM AG-REG0.3%
87SGS SA-REG0.3%
88BANCO DE SABADELL SA0.3%
89KONE OYJ-B0.3%
90GENMAB A/S0.3%
91ANTOFAGASTA PLC0.3%
92KINGSPAN GROUP0.3%
93UNIVERSAL MUSIC GROUP NV0.3%
94WOLTERS KLUWER0.3%
95KONINKLIJKE KPN NV0.2%
96DSM-FIRMENICH AG AMSTERDAM0.2%
97VONOVIA SE0.2%
98ALFA LAVAL AB0.2%
99ESSITY AKTIEBOLAG - B0.2%
100EPIROC AB-A0.2%
101BOLIDEN AB0.2%
102EQT AB0.2%
103TERNA-RETE ELETTRICA NAZIONA0.2%
104EDP SA0.2%
105SEGRO PLC0.2%
106L OREAL PRIME DE FIDELITE 20280.2%
107BAWAG GROUP AG0.2%
108INFORMA PLC0.2%
109KERRY GROUP PLC-A0.2%
110CELLNEX TELECOM SA0.2%
111SONOVA HOLDING CHF0.2%
112ENDESA SA0.2%
113BT GROUP PLC0.2%
114STRAUMANN HOLDING AG-REG0.2%
115UPM-KYMMENE OYJ0.2%
116SYMRISE AG XETRA0.2%
117HENKEL AG & CO KGAA VOR-PFD0.2%
118ADMIRAL GROUP PLC0.2%
119SWISS PRIME SITE0.2%
120COCA-COLA HBC AG-DI - LDN0.2%
121AGEAS0.2%
122MONCLER SPA0.2%
123NORSK HYDRO ASA NOK200.2%
124RENTOKIL INITIAL 050.2%
125KUEHNE + NAGEL INTL AG-REG0.2%
126BOUYGUES SA0.2%
127METSO CORP0.2%
128INTERTEK GROUP PLC0.2%
129BANKINTER SA0.2%
130ENDEAVOUR MINING PLC0.2%
131BUNZL PLC0.2%
132CHOCOLADEFABRIKEN LINDT-REG0.2%
133AEGON LTD AMSTERDAM0.2%
134GEA GROUP AG EX MG TECHNOLOGIE0.2%
135TELIA CO AB / SEK0.2%
136AKZO NOBEL N.V.0.2%
137SMITHS GROUP PLC0.1%
138CARREFOUR SA0.1%
139ORSTED A/S0.1%
140CHOCOLADEFABRIKEN LINDT-PC CHF0.1%
141MARKS & SPENCER GROUP PLC0.1%
142ORION OYJ-CLASS B0.1%
143BUREAU VERITAS0.1%
144BELIMO HOLDING AG-REG0.1%
145EVOLUTION AB0.1%
146ADDTECH AB-B SHARES0.1%
147TELE2 AB-B SHS NEW0.1%
148REXEL SA0.1%
149SKANSKA AB-B SHS0.1%
150EIFFAGE0.1%
151MAGNUM ICE CREAM CO NV/THE0.1%
152MOWI ASA0.1%
153PANDORA A/S (DKK)0.1%
154EUROFINS SCIENTIFIC0.1%
155TELENOR ASA0.1%
156AP MOLLER-MAERSK A/S-B0.1%
157COLOPLAST-B0.1%
158QIAGEN N.V.XETRA0.1%
159STANDARD LIFE PLC0.1%
160EPIROC AB-B0.1%
161SWEDISH ORPHAN BIOVITRUM AB0.1%
162BEIERSDORF AG0.1%
163ORKLA ASA0.1%
164HENKEL AG & CO KGAA0.1%
165KNORR-BREME AG0.1%
166ASSOCIATED BRITISH FOODS PLC0.1%
167SAINSBURY (J) PLC0.1%
168HENNES & MAURITZ AB-B SHS0.1%
169PEARSON PLC GBP0.1%
170YARA INTERNATIONAL ASA0.1%
171KINGFISHER PLC0.1%
172INDUTRADE AB0.1%
173LAND SECURITIES GROUP PLC0.1%
174KESKO OYJ-B SHS0.1%
175REDEIA CORP SA0.1%
176SPIRAX GROUP PLC0.1%
177ELIA GROUP SA/NV0.1%
178SARTORIUS PFD0.1%
179EMS-CHEMIE HOLDING AG-REG0.1%
180L OREAL0.1%
181STORA ENSO OYJ-R SHS0.1%
182SVENSKA CELLULOSA AB0.1%
183GJENSIDIGE FORSIKRING ASA0.1%
184SYENSQO SA0.1%
185SCHRODERS PLC0.1%
186AP MOLLER-MAERSK A/S-A0.1%
187LOTUS BAKERIES0.1%
188DEUTSCHE LUFTHANSA NOMINATIVE0.1%
189ACCIONA SA0.1%
190ELISA OYJ0.1%
191IPSEN0.1%
192JERONIMO MARTINS0.1%
193ZALANDO SE0.1%
194NIBE INDUSTRIER AB-B SHS0.1%
195EVONIK INDUSTRIES AG0.1%
196GETLINK SE0.1%
197INPOST SA0.1%
198BARRY CALLEBAUT AG0.1%
199VERBUND AG0.1%
200D IETEREN GROUP0.1%
201ADP0.1%
202SALMAR ASA0.1%
203DEMANT A/S0.1%
204BUZZI SPA0.0%
205ROCKWOOL A/S-B SHS0.0%
206AIRTEL AFRICA PLC0.0%
207IBERDROLA SA -RTS - EXPD0.0%
208VERISURE PLC0.0%
209SCOUT24 SE0.0%
210MSCI EUROPE 09/26 EUREX0.0%

⭳ Download full holdings (CSV)

How it ranks vs peers

🪙 Cheaper than 27% of similar ETFs📈 Higher 1-yr return than 73%📈 Higher 3-yr return than 42%📈 Higher 5-yr return than 53%📊 Beat its category by 4.1% (1-yr) (category average +18.5%)📊 Beat its category by 0.4% (3-yr) (category average +12.4%)📊 Beat its category by 0.3% (5-yr) (category average +7.5%)

Versus the Equity (stocks) · Europe · EUR ETFs we track.

Advanced risk

1.32
Sortino (3y) ?
0.83
Calmar (3y) ?
8.4%
Downside deviation ?
83%
Up months (hit rate) ?
€31.34
52-week high ?
€25.27
52-week low ?

Concentration depth

~59 ?
Effective number of holdings

Roughly 210 companies are held, but the largest names carry most of the weight — so it behaves like ~59 equal-sized positions.

Tilt vs a world tracker

United States-72.1
Technology-19.7
United Kingdom+18.2
France+16.2
Switzerland+12.2
Financials+10.7

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

Estimated fund flows

+€37.2M
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🌍 Europe stocks
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Why it's similarThis is the fund on this page.
StocksAccumulatingCheaper fee
Tracks a different index in the same category.
StocksAccumulatingCheaper fee
Tracks a different index in the same category.
StocksCheaper fee
Tracks a different index in the same category.
StocksAccumulatingPhysicalCheaper fee
Tracks a different index in the same category.
StocksAccumulatingPhysicalCheaper fee
Tracks a different index in the same category.
StocksPhysicalCheaper fee
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Index trackedMSCI Europe ESG Selection P-Series 5% Issuer Capped IndexS&P 500 Daily Hedged Euro Net Total Return IndexS&P 500 Daily Hedged Euro Index Net TRS&P 500 Daily Hedged Euro Index Net TRSTOXX Europe 600 (Net Return) EURSTOXX Europe 600 (Net Return) EURSTOXX Europe 600 (Net Return) EUR
Yearly fee (TER)0.25%0.05%0.07%0.07%0.07%0.09%0.15%
All-in cost0.00%0.45%0.00%0.07%0.07%0.09%0.15%
Fund size€1.2B€50.7B€28.7B€28.6B€21.7B€21.6B€21.4B
DomicileLUIrelandLULULULULU
ReplicationPhysical (full)Synthetic (swap)Synthetic (swap)Synthetic (swap)Physical (full)Physical (full)Physical (full)
3-yr return p.a.+12.8%+20.0%+19.0%
5-yr return p.a.+7.8%+10.5%+9.5%
# holdings2102941010613613613

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Data as of 2026-08-13 · Source: issuer data, compiled by Finance Hamster

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