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Xtrackers MSCI ACWI ex USA ESG Leaders Equity ETF (ACSG) Holdings List

$47.73 -0.36 (-0.75%)
As of 04:10 PM Eastern

What stocks does ACSG hold?

The Xtrackers MSCI ACWI ex USA ESG Leaders Equity ETF (ACSG) top stock holdings include CECO Environmental, Plexus, and Crinetics Pharmaceuticals. The top 25 ACSG holdings ordered by weight make up 18.01% of the total fund. ACSG is an equity fund in the strategy category that invests in publicly traded companies, focused on theme strategies within the Global Ex-U.S. region. This page includes a complete ACSG stock holdings list ranked by weight, along with a full breakdown of sector, geographic, industry, and currency exposure.

Top 25 ACSG Holdings

RankCompanyCurrent PriceWeightShares Held
1
CECO Environmental Corp. stock logo
CECO
CECO Environmental
$75.63
-5.0%
0.99%3,007
2
Plexus Corp. stock logo
PLXS
Plexus
$254.45
-2.8%
0.95%903
3
Crinetics Pharmaceuticals, Inc. stock logo
CRNX
Crinetics Pharmaceuticals
$83.73
+0.1%
0.86%2,621
4
Argan, Inc. stock logo
AGX
Argan
$566.37
-6.0%
0.83%334
5
ESCO Technologies Inc. stock logo
ESE
ESCO Technologies
$327.56
-1.2%
0.80%618
6
AAR Corp. stock logo
AIR
AAR
$128.86
-0.5%
0.80%1,489
7
Hexcel Corporation stock logo
HXL
Hexcel
$110.15
+0.2%
0.79%2,019
8
Agilysys, Inc. stock logo
AGYS
Agilysys
$98.54
+3.7%
0.74%1,733
9
Openlane stock logo
OPLN
Openlane
$39.30
+0.8%
0.74%4,709
10
10x Genomics stock logo
TXG
10x Genomics
$46.27
-3.7%
0.74%4,381
11
Hayward Holdings, Inc. stock logo
HAYW
Hayward
$14.44
+0.2%
0.73%11,547
12
Novanta Inc. stock logo
NOVT
Novanta
$141.54
-1.2%
0.72%1,169
13
Omada Health, Inc. stock logo
OMDA
Omada Health
$20.53
-3.2%
0.68%7,430
14
Qualys, Inc. stock logo
QLYS
Qualys
$137.48
+2.8%
0.66%1,103
15
RadNet, Inc. stock logo
RDNT
RadNet
$61.57
+1.0%
0.66%2,562
16
Life Time Group Holdings, Inc. stock logo
LTH
Life Time Group
$42.33
+1.0%
0.66%3,968
17
Core Scientific, Inc. stock logo
CORZ
Core Scientific
$22.75
-5.1%
0.65%6,998
18
Dave Inc. stock logo
DAVE
Dave
$402.81
-1.4%
0.64%404
19
Enova International, Inc. stock logo
ENVA
Enova International
$237.13
+8.9%
0.64%678
20
Herc Holdings Inc. stock logo
HRI
Herc
$162.33
-0.6%
0.63%1,078
21
Littelfuse, Inc. stock logo
LFUS
Littelfuse
$404.86
-2.5%
0.63%383
22
Ultragenyx Pharmaceutical Inc. stock logo
RARE
Ultragenyx Pharmaceutical
$26.90
-0.4%
0.62%4,676
23
Magnite, Inc. stock logo
MGNI
Magnite
$18.51
+3.3%
0.62%7,754
24
Protagonist Therapeutics, Inc. stock logo
PTGX
Protagonist Therapeutics
$136.11
+0.5%
0.62%1,194
25
Cognex Corporation stock logo
CGNX
Cognex
$62.05
-2.2%
0.61%2,333

ACSG Geographic Exposure

ACSG's largest geographic exposure is Taiwan, Province of China at 19.1%, followed by Cayman Islands at 13.4%.

  • Taiwan, Province of China
    19.1%
  • Cayman Islands
    13.4%
  • United States
    11.6%
  • Korea, Republic of
    11.5%
  • India
    11.2%
  • China
    10.8%
  • Brazil
    3.6%
  • South Africa
    3.2%
  • Saudi Arabia
    2.0%
  • Mexico
    1.8%
  • Other
    9.9%

ACSG Currency Exposure

ACSG's largest currency exposure is HKD at 21.3%, followed by TWD at 19.4%.

  • HKD
    21.3%
  • TWD
    19.4%
  • USD
    12.4%
  • KRW
    11.6%
  • INR
    11.2%
  • BRL
    4.0%
  • CNY
    3.6%
  • ZAR
    3.2%
  • SAR
    2.1%
  • MXN
    1.8%
  • Other
    9.5%

ACSG Sector Exposure

ACSG's largest sector exposure is Technology at 33.2%, followed by Financials at 25.3%.

  • Technology
    33.2%
  • Financials
    25.3%
  • Consumer Discretionary
    12.7%
  • Materials
    5.8%
  • Communications
    5.2%
  • Industrials
    3.8%
  • Consumer Staples
    3.5%
  • Health Care
    3.5%
  • Utilities
    0.6%
  • Real Estate
    0.3%
  • Other
    0.4%

ACSG Industry Exposure

ACSG's largest industry exposure is Banks at 17.2%, followed by Semiconductors & Semiconductor Equipment at 13.0%.

  • Banks
    17.2%
  • Semiconductors & Semiconductor Equipment
    13.0%
  • Software
    8.7%
  • Specialty Retail
    6.4%
  • Communications Equipment
    4.2%
  • IT Services
    3.6%
  • Insurance
    3.4%
  • Media
    2.7%
  • Electronic Equipment Instruments & Components
    2.7%
  • Automobiles
    2.5%
  • Other
    28.5%

ACSG Sub-Industry Exposure

ACSG's largest sub-industry exposure is Diversified Banks at 17.1%, followed by Semiconductors at 12.8%.

  • Diversified Banks
    17.1%
  • Semiconductors
    12.8%
  • Application Software
    8.5%
  • Internet & Direct Marketing Retail
    7.0%
  • Communications Equipment
    4.2%
  • IT Consulting & Other Services
    3.1%
  • Life & Health Insurance
    2.9%
  • Automobile Manufacturers
    2.5%
  • Alternative Carriers
    1.9%
  • Electronic Components
    1.8%
  • Other
    31.1%

ACSG Coupon Exposure

ACSG's largest coupon exposure is 0-2 at 0.1%, followed by 4-6 at 0.0%.

  • 0-2
    0.1%

ACSG Maturity Exposure

ACSG's largest maturity exposure is 0-1 at 0.1%, followed by 1-3 at 0.0%.

  • 0-1
    0.1%

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This page (NYSEARCA:ACSG) was last updated on 7/24/2026 by MarketBeat.com Staff.
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