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Fundology

LCCG holdings

As of , LCCG (Multi Units LU -Amundi MSCI China ETF Acc- Capitalisation, ISIN LU1841731745) has 84 holdings on our record, together 100.7% of the fund; the ten largest make up 41.2%. Amundi reports 86 positions in all. Weights are shares of the whole fund.

LCCG: price, returns and charges

Largest holdings

The 10 largest holdings of LCCG, as a percentage of the whole fund, as of 29/09/2026
Rank#HoldingWeight as a percentage of the fund
1Palo Alto NetworksPANW8.04%
2AmazonAMZN7.02%
3OracleORCL4.83%
4NVIDIANVDA3.83%
5ASML Holding NV (Usd)ASML3.68%
6QorvoQRVO3.23%
7Five BelowFIVE2.98%
8AtiATI2.63%
9Unum GroupUNM2.54%
10Palantir Technologies Inc-APLTR2.40%

Source: Amundi, holdings as published, as of

More of the portfolio

The fund publishes 86 holdings; the ten largest make up 41.2% of it. The fund's portfolio is also split by currency.

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Where it invests

The whole portfolio by sector, country and type of asset, every line, 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

  1. Information Technology52.0%
  2. Consumer Discretionary19.3%
  3. Health Care7.4%
  4. Financials6.8%
  5. Communication Services4.4%
  6. Consumer Staples3.8%
  7. Materials3.3%
  8. Industrials3.0%
  9. Utilities0.0%
As published by Amundi, as of 29/09/2026.

By country

  1. United States96.3%
  2. Netherlands3.7%
As published by Amundi, as of 29/09/2026.

More:LCCG: key facts, returns and chargesCompare what it holds with another fundHoldings overlapHow overlap is measured

Holdings and weights are as published by Amundi on 29/09/2026 and change as the fund trades.