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DE000A4PU131

Bountiful Enhancing the Common Good Developed Europe TR Index

Index Value 925.14
Month course -2.97%
Course of the year -2.27%
Last calculation 14.09.2026
Description

 

The objective of the Index is to enhance the common good as defined by the Bountiful Roman Catholic Investment Framework. The goal of the Frameworks is to provide tools whereby faith based investors can reflect their deeply held beliefs in their investments. Bountiful applies a robust governance model to ensure that its investment frameworks accurately reflect the values of a given faith community.

 

Index powered using Refinitiv data.

 

Chart

Information & documents

Date ISIN Name Weight
14/09/2026 AT0000609607 Porr AG 0.016853016
14/09/2026 BE0974413453 DEME Group NV 0.025739856
14/09/2026 CH0011795959 Dormakaba Holding AG 0.033632844
14/09/2026 CH0012549785 Sonova Holding AG 0.035213761
14/09/2026 CH0360674466 Galenica AG 0.047171744
14/09/2026 DE0005785802 Fresenius Medical Care AG 0.027741464
14/09/2026 DE0007667107 Vossloh AG 0.018888970
14/09/2026 DE000A3H3LL2 Vantage Towers AG 0.050343360
14/09/2026 DE000BEAU1Y4 Douglas AG 0.019964165
14/09/2026 DE000PSM7770 Prosiebensat 1 Media SE 0.024169630
14/09/2026 DK0060700516 Per Aarsleff Holding A/S 0.027860078
14/09/2026 DK0060738599 Demant A/S 0.026315774
14/09/2026 ES0105066007 Cellnex Telecom S.a 0.027873385
14/09/2026 FI0009007694 Sanoma Oyj 0.039416678
14/09/2026 FR0000120503 Bouygues SA 0.029760537
14/09/2026 FR0000130452 Eiffage SA 0.026090532
14/09/2026 FR0010386334 Clariane SE 0.016265574
14/09/2026 FR001400NLM4 Emeis SA 0.012250440
14/09/2026 GB0000811801 Barratt Redrow PLC 0.026436618
14/09/2026 GB0000904986 Bellway PLC 0.022899779
14/09/2026 GB0001859296 Vistry Group PLC 0.017408989
14/09/2026 GB0006776081 Pearson PLC 0.034831133
14/09/2026 GB0006825383 Persimmon PLC 0.026473952
14/09/2026 GB0008782301 Taylor Wimpey PLC 0.027472441
14/09/2026 GB00B1WY2338 Smiths Group PLC 0.034680953
14/09/2026 GB00B2PDGW16 WH Smith PLC 0.012550344
14/09/2026 GB00BJVQC708 Helios Towers PLC 0.024032626
14/09/2026 IE00BD6JX574 Glenveagh Properties PLC 0.032194028
14/09/2026 IE00BWY4ZF18 Cairn Homes PLC 0.031872034
14/09/2026 IT0005054967 Rai Way SpA 0.034783319
14/09/2026 IT0005090300 Infrastrutture Wireless Italiane S.p.A. 0.025089651
14/09/2026 PLBUDMX00013 Budimex SA 0.021575280
14/09/2026 SE0007100581 Assa Abloy AB 0.035373378
14/09/2026 SE0007666110 Attendo AB (publ) 0.029519950
14/09/2026 SE0009663826 Ambea publ AB 0.032018394
14/09/2026 SE0024320832 Atrium Ljungberg AB 0.025235323
Date ISIN Unit Change
11/09/2026 FI0009007694 0.05483261
12/08/2026 GB0006776081 0.01590203
05/08/2026 GB00BJVQC708 0.02993776
10/07/2026 ES0105066007 0.01517700
19/06/2026 SE0024320832 1.11741241
19/06/2026 SE0009663826 2.02003527
19/06/2026 SE0007666110 -0.19856624
19/06/2026 SE0007100581 -0.09067570
19/06/2026 PLBUDMX00013 -0.02742921
19/06/2026 IT0005090300 -1.67602342
19/06/2026 IT0005054967 -0.45623743
19/06/2026 IE00BWY4ZF18 -1.59049621
19/06/2026 IE00BD6JX574 -3.18757648
19/06/2026 GB00BJVQC708 9.64531324
19/06/2026 GB00B2PDGW16 0.51263359
19/06/2026 GB00B1WY2338 -0.50420454
19/06/2026 GB0008782301 -1.77497637
19/06/2026 GB0006825383 -0.24410687
19/06/2026 GB0006776081 -0.40582861
19/06/2026 GB0001859296 0.67758249
19/06/2026 GB0000904986 -0.15586240
19/06/2026 GB0000811801 -2.01577329
19/06/2026 FR001400NLM4 0.04454288
19/06/2026 FR0010386334 0.26126932
19/06/2026 FR0000130452 -0.00701539
19/06/2026 FR0000120503 -0.09549407
19/06/2026 FI0009007694 0.40314608
19/06/2026 ES0105066007 -0.11354829
19/06/2026 DK0060738599 -0.34938023
19/06/2026 DK0060700516 0.28162705
19/06/2026 DE000PSM7770 1.14290834
19/06/2026 DE000BEAU1Y4 0.70052504
19/06/2026 DE000A3H3LL2 0.05483214
19/06/2026 DE0007667107 0.03674763
19/06/2026 DE0005785802 -0.03590742
19/06/2026 CH0360674466 0.09343210
19/06/2026 CH0012549785 -0.03950936
19/06/2026 CH0011795959 -0.08645937
19/06/2026 BE0974413453 -0.00695825
19/06/2026 AT0000609607 -0.12608552
18/06/2026 CH0012549785 0.00414914
17/06/2026 GB0006825383 0.07775666
01/06/2026 PLBUDMX00013 0.00707211
25/05/2026 BE0974413453 0.00333675
21/05/2026 DE0005785802 0.02631274
20/05/2026 GB0000904986 0.01341641
20/05/2026 DE000PSM7770 0.06453126
19/05/2026 FR0000130452 0.00868076
15/05/2026 IT0005090300 0.41663458
15/05/2026 IT0005054967 0.43199514
07/05/2026 FI0009007694 0.05275373
06/05/2026 SE0007666110 0.02336460
06/05/2026 DE0007667107 0.00396446
04/05/2026 AT0000609607 0.01528433
28/04/2026 SE0007100581 0.01036200
27/04/2026 FR0000120503 0.02948669
22/04/2026 IE00BWY4ZF18 0.33151957
22/04/2026 CH0360674466 0.01133266
01/04/2026 GB00B1WY2338 0.01006083
01/04/2026 GB0008782301 1.00818770
01/04/2026 GB0000811801 0.18220618
20/03/2026 SE0024320832 0.75393663
20/03/2026 SE0007666110 -0.62465915
20/03/2026 SE0007100581 0.14759379
20/03/2026 PLBUDMX00013 0.14187405
20/03/2026 IT0005090300 0.69436266
20/03/2026 IT0005054967 0.09215197
20/03/2026 IE00BWY4ZF18 -0.21360748
20/03/2026 IE00BD6JX574 0.60976678
20/03/2026 GB00B2PDGW16 0.31507756
20/03/2026 GB00B1ZBKY84 -17.44628304
20/03/2026 GB00B1WY2338 0.36821248
20/03/2026 GB0008782301 5.71270338
20/03/2026 GB0006825383 0.42863985
20/03/2026 GB0006776081 -0.20109256
20/03/2026 GB0001859296 2.40528356
20/03/2026 GB0000904986 0.28501146
20/03/2026 GB0000811801 3.13039728
20/03/2026 FR001400NLM4 0.09656984
20/03/2026 FR0010386334 0.45150679
20/03/2026 FR0000130452 -0.01483359
20/03/2026 FR0000120503 -0.08676833
20/03/2026 FI0009007694 0.07510621
20/03/2026 ES0105066007 0.07602834
20/03/2026 DK0060738599 0.07864615
20/03/2026 DE000PSM7770 1.51858384
20/03/2026 DE000BEAU1Y4 0.29404866
20/03/2026 DE000A3H3LL2 -0.08647295
20/03/2026 DE0007667107 0.02523179
20/03/2026 DE0005785802 0.03363785
20/03/2026 CH0360674466 -0.00840336
20/03/2026 CH0012549785 0.01636439
20/03/2026 CH0011795959 0.14670514
20/03/2026 CH0008038389 -0.36002402
20/03/2026 BE0974413453 -0.03980197
20/03/2026 AT0000609607 -0.02521615
19/03/2026 SE0024320832 0.20831063
18/03/2026 GB0006776081 0.05078675
21/01/2026 GB00B2PDGW16 0.01670311
12/01/2026 ES0105066007 0.01416221
19/12/2025 SE0024320832 -0.96684953
19/12/2025 SE0007666110 3.30379974
19/12/2025 SE0007100581 -0.16722648
19/12/2025 IT0005090300 0.32451475
19/12/2025 IT0005054967 0.30318479
19/12/2025 IE00BWY4ZF18 -0.73082808
19/12/2025 IE00BD6JX574 0.27655848
19/12/2025 GB00B2PDGW16 0.07352669
19/12/2025 GB00B1ZBKY84 2.63422083
19/12/2025 GB00B1WY2338 0.10071609
19/12/2025 GB0008782301 -2.53338741
19/12/2025 GB0006825383 -0.32652880
19/12/2025 GB0006776081 -0.20816294
19/12/2025 GB0001859296 0.28797387
19/12/2025 GB0000904986 -0.12949238
19/12/2025 GB0000811801 -0.05881757
19/12/2025 FR001400NLM4 -0.03120551
19/12/2025 FR0010386334 0.42010271
19/12/2025 FR0000130452 -0.02382550
19/12/2025 FR0000120503 -0.20005704
19/12/2025 FI0009007694 0.24505334
19/12/2025 ES0105066007 0.05907614
19/12/2025 DK0060738599 0.08595624
19/12/2025 DE000PSM7770 0.43724135
19/12/2025 DE000BEAU1Y4 -0.03929787
19/12/2025 DE000A3H3LL2 -0.05489975
19/12/2025 DE0007667107 0.01410634
19/12/2025 DE0005785802 0.02877953
19/12/2025 CH0360674466 -0.09206149
19/12/2025 CH0012549785 0.01625053
19/12/2025 CH0011795959 0.02294464
19/12/2025 CH0008038389 -0.03605870
19/12/2025 BE0974413453 -0.01845344
19/12/2025 AT0000609607 -0.05234232
03/12/2025 GB0000904986 0.01632371
21/11/2025 IT0005090300 0.10455620
07/11/2025 SE0007100581 0.00978814
31/10/2025 FI0009007694 0.03678703
30/10/2025 DE000A3H3LL2 0.05240239
28/10/2025 CH0011795959 0.35404632
22/10/2025 CH0011795959 0.00052149
15/10/2025 GB00B1WY2338 0.01503921
15/10/2025 GB0006825383 0.03360631
08/10/2025 GB0008782301 1.15657375
08/10/2025 GB0000811801 0.19681621
24/09/2025 SE0024320832 0.11087642
19/09/2025 SE0024320832 -0.20220887
19/09/2025 SE0007100581 -0.27382151
19/09/2025 IT0005090300 -0.11676215
19/09/2025 IT0005054967 -0.62623900
19/09/2025 IE00BWY4ZF18 0.42263557
19/09/2025 IE00BD6JX574 15.30733352
19/09/2025 GB00B2PDGW16 -0.28148666
19/09/2025 GB00B1ZBKY84 1.58855955
19/09/2025 GB00B1WY2338 -0.13032761
19/09/2025 GB0008782301 2.14620209
19/09/2025 GB0006825383 0.18662116
19/09/2025 GB0006776081 -0.58446115
19/09/2025 GB0001859296 -0.24884544
19/09/2025 GB0000904986 0.08503084
19/09/2025 GB0000811801 0.60024435
19/09/2025 FR001400NLM4 -0.19195284
19/09/2025 FR0010386334 0.13366929
19/09/2025 FR0000130452 -0.01909616
19/09/2025 FR0000120503 -0.12976090
19/09/2025 FI0009007694 -0.44754686
19/09/2025 ES0105066007 0.07101421
19/09/2025 DK0060738599 0.05620625
19/09/2025 DE000PSM7770 0.45827010
19/09/2025 DE000BEAU7Y1 -1.89232911
19/09/2025 DE000BEAU1Y4 1.46538129
19/09/2025 DE000A3H3LL2 -0.06930969
19/09/2025 DE0007667107 -0.09603190
19/09/2025 DE0005785802 0.00711622
19/09/2025 CH0360674466 -0.03460249
19/09/2025 CH0012549785 -0.00125978
19/09/2025 CH0011795959 -0.00528685
19/09/2025 CH0008038389 0.00901617
19/09/2025 BE0974413453 -0.01079706
19/09/2025 AT0000609607 -0.21109890
17/09/2025 IE00BWY4ZF18 0.26114466
12/09/2025 FI0009007694 0.04030375
13/08/2025 GB0006776081 0.02668646
30/07/2025 GB00B1ZBKY84 0.21432986
09/07/2025 GB00B2PDGW16 0.02185461
20/06/2025 SE0024320832 -0.08603039
20/06/2025 SE0007100581 -0.18084971
20/06/2025 IT0005090300 -0.71534285
20/06/2025 IT0005054967 0.00937162
20/06/2025 IE00BWY4ZF18 -1.49650626
20/06/2025 GB00B2PDGW16 -0.20893486
20/06/2025 GB00B1ZBKY84 -0.06710840
20/06/2025 GB00B1WY2338 -0.14432923
20/06/2025 GB0008782301 -0.16971810
20/06/2025 GB0006825383 -0.02701768
20/06/2025 GB0006776081 0.00115539
20/06/2025 GB0001859296 -0.10485935
20/06/2025 GB0000904986 -0.08892881
20/06/2025 GB0000811801 -0.11119060
20/06/2025 FR001400NLM4 -0.06398729
20/06/2025 FR0010386334 -0.00195576
20/06/2025 FR0000130452 -0.03527669
20/06/2025 FR0000120503 -0.06345361
20/06/2025 FI0009007694 -0.29042160
20/06/2025 ES0105066007 -0.04689384
20/06/2025 DK0060738599 -0.06521156
20/06/2025 DE000PSM7770 -0.29529138
20/06/2025 DE000BEAU7Y1 -0.15651394
20/06/2025 DE000A3H3LL2 -0.00957434
20/06/2025 DE0007667107 0.32472567
20/06/2025 DE0005785802 0.04409093
20/06/2025 CH0360674466 -0.02370718
20/06/2025 CH0012549785 0.01395231
20/06/2025 CH0011795959 -0.00101406
20/06/2025 CH0008038389 -0.01212079
20/06/2025 BE0974413453 -0.01555732
20/06/2025 AT0000609607 0.83015940
18/06/2025 GB0006825383 0.05273343
13/06/2025 ES0105066007 0.00038530
12/06/2025 CH0012549785 0.00138523

Universe of Index Components

Stocks

Index Components Selection Criteria

a) An instrument is eligible if it is listed and traded on an Eligible Exchange.

b) Companies that are already part of the Index must maintain a minimum of20% positive revenue alignment with the "Enhancing the Common Good" principles defined below.

c) Companies that are already part of the Index must have a full market capitalization of at least 0.5 bn EUR.

Non-Index Components Selection Criteria

a) Companies must have a minimum of 25% positive revenue-alignment with the following principles of the "Enhancing the Common Good" standard of the Framework;

b) Securities must have a full company market capitalization of at least 1 bn EUR.

Identifier: DE000A4PU131 WKN: A4PU13
Bloomberg Ticker: BGOODEUT Index Sponsor: Bountiful Financial, LLC

Index Guidelines (Download as PDF) Benchmark Statement (Download as PDF) Compliance Statement (Download as PDF)