AMUNDI EUR CORPORATE BOND 0-1Y ESG holdings
As of , AMUNDI EUR CORPORATE BOND 0-1Y ESG (AMUNDI EUR CORPORATE BOND 0-1Y ESG, ISIN LU1686830065) has 295 holdings on our record. Amundi reports 296 positions in all. Weights are shares of the whole fund.
AMUNDI EUR CORPORATE BOND 0-1Y ESG: price, returns and charges
- Holdings
- 295
- 296 reported by the issuer
- Ten largest
- 7.6%
- of the whole fund
- Effective number of holdings
- 253
- As concentrated as this many equal-sized holdings (how it is worked out)
- Largest holding
- 0.9%
- CDP FINANCIAL 1.125% Apr27
Where it invests
Every line of each split, as a share of the whole fund. Bonds, cash and positions the source does not classify are shown as they come, not guessed.
By sector
As published by Amundi, as of 30/09/2026.
- Financials47.2%
- Consumer Discretionary11.0%
- Industrials8.7%
- Health Care7.7%
- Communication Services6.3%
- Materials5.7%
- Consumer Staples4.6%
- Utilities4.6%
- Information Technology3.3%
- Others0.9%
By country
As published by Amundi, as of 30/09/2026.
- France21.1%
- United States16.5%
- Netherlands16.4%
- Spain6.9%
- Germany6.7%
- Sweden5.9%
- United Kingdom5.0%
- Italy3.5%
- Luxembourg3.2%
- Canada2.7%
- Ireland2.1%
- Finland1.9%
- Japan1.6%
- Denmark1.3%
- Austria1.2%
- New Zealand0.9%
- Australia0.7%
- Belgium0.7%
- Norway0.7%
- Mexico0.3%
- Portugal0.3%
- United Arab Emirates0.2%
More ways to cut the portfolio
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More:AMUNDI EUR CORPORATE BOND 0-1Y ESG: key facts, returns and chargesCompare what it holds with another fundHoldings overlapHow overlap is measured
Holdings and weights are as published by Amundi on 30/09/2026 and change as the fund trades. This is information, not advice.