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DE000A4PU123

Bountiful Enhancing the Common Good Developed Europe PR Index

Indexwert 929.51
Monatsverlauf 1.52%
Jahresverlauf -0.76%
Letzte Berechnung 13.08.2026
Beschreibung

 

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

Informationen & Dokumente

Date ISIN Name Weight
13/08/2026 AT0000609607 Porr AG 0.017496182
13/08/2026 BE0974413453 DEME Group NV 0.023133377
13/08/2026 CH0011795959 Dormakaba Holding AG 0.031167399
13/08/2026 CH0012549785 Sonova Holding AG 0.035436365
13/08/2026 CH0360674466 Galenica AG 0.044319851
13/08/2026 CHF 0.000000000
13/08/2026 DE0005785802 Fresenius Medical Care AG 0.027698779
13/08/2026 DE0007667107 Vossloh AG 0.019166717
13/08/2026 DE000A3H3LL2 Vantage Towers AG 0.048512295
13/08/2026 DE000BEAU1Y4 Douglas AG 0.021002995
13/08/2026 DE000PSM7770 Prosiebensat 1 Media SE 0.024984876
13/08/2026 DK0060700516 Per Aarsleff Holding A/S 0.029084773
13/08/2026 DK0060738599 Demant A/S 0.024832052
13/08/2026 ES0105066007 Cellnex Telecom S.a 0.028527991
13/08/2026 EUR 0.000000000
13/08/2026 FI0009007694 Sanoma Oyj 0.036416806
13/08/2026 FR0000120503 Bouygues SA 0.031188664
13/08/2026 FR0000130452 Eiffage SA 0.028623629
13/08/2026 FR0010386334 Clariane SE 0.016013679
13/08/2026 FR001400NLM4 Emeis SA 0.013690241
13/08/2026 GB0000811801 Barratt Redrow PLC 0.030322332
13/08/2026 GB0000904986 Bellway PLC 0.024894851
13/08/2026 GB0001859296 Vistry Group PLC 0.017638135
13/08/2026 GB0006776081 Pearson PLC 0.033377063
13/08/2026 GB0006825383 Persimmon PLC 0.028135305
13/08/2026 GB0008782301 Taylor Wimpey PLC 0.030096659
13/08/2026 GB00B1WY2338 Smiths Group PLC 0.034849452
13/08/2026 GB00B2PDGW16 WH Smith PLC 0.014460899
13/08/2026 GB00BJVQC708 Helios Towers PLC 0.024355404
13/08/2026 GBP 0.000000000
13/08/2026 IE00BD6JX574 Glenveagh Properties PLC 0.033867993
13/08/2026 IE00BWY4ZF18 Cairn Homes PLC 0.029858796
13/08/2026 IT0005054967 Rai Way SpA 0.035982769
13/08/2026 IT0005090300 Infrastrutture Wireless Italiane S.p.A. 0.023689055
13/08/2026 PLBUDMX00013 Budimex SA 0.021418630
13/08/2026 PLN 0.000000000
13/08/2026 SE0007100581 Assa Abloy AB 0.036739246
13/08/2026 SE0007666110 Attendo AB (publ) 0.025598281
13/08/2026 SE0009663826 Ambea publ AB 0.026816067
13/08/2026 SE0024320832 Atrium Ljungberg AB 0.026602391
13/08/2026 SEK 0.000000000
Date ISIN Unit Change
19/06/2026 SE0024320832 0.89636119
19/06/2026 SE0009663826 1.95576624
19/06/2026 SE0007666110 -0.22157084
19/06/2026 SE0007100581 -0.10022780
19/06/2026 PLBUDMX00013 -0.02246008
19/06/2026 IT0005090300 -1.31361707
19/06/2026 IT0005054967 -0.16509403
19/06/2026 IE00BWY4ZF18 -1.45587023
19/06/2026 IE00BD6JX574 -3.40012510
19/06/2026 GB00BJVQC708 9.33843996
19/06/2026 GB00B2PDGW16 0.45335108
19/06/2026 GB00B1WY2338 -0.50922864
19/06/2026 GB0008782301 -1.30964805
19/06/2026 GB0006825383 -0.20172387
19/06/2026 GB0006776081 -0.44531329
19/06/2026 GB0001859296 0.56771311
19/06/2026 GB0000904986 -0.15867819
19/06/2026 GB0000811801 -1.95758495
19/06/2026 FR001400NLM4 0.02635433
19/06/2026 FR0010386334 0.18449664
19/06/2026 FR0000130452 -0.00274948
19/06/2026 FR0000120503 -0.07738830
19/06/2026 FI0009007694 0.37703206
19/06/2026 ES0105066007 -0.13150295
19/06/2026 DK0060738599 -0.35686842
19/06/2026 DK0060700516 0.27266686
19/06/2026 DE000PSM7770 1.07113499
19/06/2026 DE000BEAU1Y4 0.64488722
19/06/2026 DE000A3H3LL2 0.03069638
19/06/2026 DE0007667107 0.03422017
19/06/2026 DE0005785802 -0.02205353
19/06/2026 CH0360674466 0.09389085
19/06/2026 CH0012549785 -0.03751630
19/06/2026 CH0011795959 -0.09462476
19/06/2026 BE0974413453 -0.00616733
19/06/2026 AT0000609607 -0.11777465
20/03/2026 SE0024320832 0.93487335
20/03/2026 SE0007666110 -0.62281431
20/03/2026 SE0007100581 0.14394789
20/03/2026 PLBUDMX00013 0.14011088
20/03/2026 IT0005090300 0.67826470
20/03/2026 IT0005054967 0.07808667
20/03/2026 IE00BWY4ZF18 -0.23322816
20/03/2026 IE00BD6JX574 0.57427265
20/03/2026 GB00B2PDGW16 0.32428131
20/03/2026 GB00B1ZBKY84 -17.26071790
20/03/2026 GB00B1WY2338 0.36144970
20/03/2026 GB0008782301 5.59952988
20/03/2026 GB0006825383 0.42032336
20/03/2026 GB0006776081 -0.15354823
20/03/2026 GB0001859296 2.37154060
20/03/2026 GB0000904986 0.28006148
20/03/2026 GB0000811801 3.08025275
20/03/2026 FR001400NLM4 0.09399311
20/03/2026 FR0010386334 0.44037908
20/03/2026 FR0000130452 -0.01507882
20/03/2026 FR0000120503 -0.08709100
20/03/2026 FI0009007694 0.06836060
20/03/2026 ES0105066007 0.08723856
20/03/2026 DK0060738599 0.07609075
20/03/2026 DE000PSM7770 1.49338725
20/03/2026 DE000BEAU1Y4 0.28783971
20/03/2026 DE000A3H3LL2 -0.08762201
20/03/2026 DE0007667107 0.02448328
20/03/2026 DE0005785802 0.03210075
20/03/2026 CH0360674466 -0.00901070
20/03/2026 CH0012549785 0.01588719
20/03/2026 CH0011795959 0.14413614
20/03/2026 CH0008038389 -0.35619467
20/03/2026 BE0974413453 -0.03962449
20/03/2026 AT0000609607 -0.02591795
19/12/2025 SE0024320832 -0.91683220
19/12/2025 SE0007666110 3.26865930
19/12/2025 SE0007100581 -0.16440633
19/12/2025 IT0005090300 0.29263263
19/12/2025 IT0005054967 0.24886853
19/12/2025 IE00BWY4ZF18 -0.82041044
19/12/2025 IE00BD6JX574 0.16042550
19/12/2025 GB00B2PDGW16 0.05935199
19/12/2025 GB00B1ZBKY84 2.49667321
19/12/2025 GB00B1WY2338 0.10635327
19/12/2025 GB0008782301 -1.54645768
19/12/2025 GB0006825383 -0.30431332
19/12/2025 GB0006776081 -0.22858350
19/12/2025 GB0001859296 0.27114449
19/12/2025 GB0000904986 -0.11861371
19/12/2025 GB0000811801 0.09114962
19/12/2025 FR001400NLM4 -0.03678684
19/12/2025 FR0010386334 0.39596891
19/12/2025 FR0000130452 -0.02552156
19/12/2025 FR0000120503 -0.20519174
19/12/2025 FI0009007694 0.25693414
19/12/2025 ES0105066007 0.05132582
19/12/2025 DK0060738599 0.07916360
19/12/2025 DE000PSM7770 0.40971849
19/12/2025 DE000BEAU1Y4 -0.04971578
19/12/2025 DE000A3H3LL2 -0.01166868
19/12/2025 DE0007667107 0.01226521
19/12/2025 DE0005785802 0.02406675
19/12/2025 CH0360674466 -0.09470122
19/12/2025 CH0012549785 0.01506746
19/12/2025 CH0011795959 0.02498971
19/12/2025 CH0008038389 -0.03860404
19/12/2025 BE0974413453 -0.01970285
19/12/2025 AT0000609607 -0.05636329
21/11/2025 IT0005090300 0.10421725
28/10/2025 CH0011795959 0.34822035
19/09/2025 SE0024320832 -0.22128865
19/09/2025 SE0007100581 -0.27587993
19/09/2025 IT0005090300 -0.12426040
19/09/2025 IT0005054967 -0.63959810
19/09/2025 IE00BWY4ZF18 0.65607255
19/09/2025 IE00BD6JX574 15.25771044
19/09/2025 GB00B2PDGW16 -0.26301934
19/09/2025 GB00B1ZBKY84 1.77047727
19/09/2025 GB00B1WY2338 -0.13242788
19/09/2025 GB0008782301 2.09273132
19/09/2025 GB0006825383 0.18239094
19/09/2025 GB0006776081 -0.56335678
19/09/2025 GB0001859296 -0.25234890
19/09/2025 GB0000904986 0.08309261
19/09/2025 GB0000811801 0.58699104
19/09/2025 FR001400NLM4 -0.19335568
19/09/2025 FR0010386334 0.12807780
19/09/2025 FR0000130452 -0.01961165
19/09/2025 FR0000120503 -0.13161101
19/09/2025 FI0009007694 -0.41280522
19/09/2025 ES0105066007 0.06896209
19/09/2025 DK0060738599 0.05451536
19/09/2025 DE000PSM7770 0.45140359
19/09/2025 DE000BEAU7Y1 -1.89005913
19/09/2025 DE000BEAU1Y4 1.46063084
19/09/2025 DE000A3H3LL2 -0.07176680
19/09/2025 DE0007667107 -0.09638375
19/09/2025 DE0005785802 0.00589067
19/09/2025 CH0360674466 -0.03556045
19/09/2025 CH0012549785 -0.00153728
19/09/2025 CH0011795959 -0.00535979
19/09/2025 CH0008038389 0.00819647
19/09/2025 BE0974413453 -0.01118338
19/09/2025 AT0000609607 -0.21210993
20/06/2025 SE0024320832 -0.09762261
20/06/2025 SE0007100581 -0.18258019
20/06/2025 IT0005090300 -0.71996955
20/06/2025 IT0005054967 0.00033223
20/06/2025 IE00BWY4ZF18 -1.51147929
20/06/2025 GB00B2PDGW16 -0.21141889
20/06/2025 GB00B1ZBKY84 -0.08271378
20/06/2025 GB00B1WY2338 -0.14581105
20/06/2025 GB0008782301 -0.19703928
20/06/2025 GB0006825383 0.02358634
20/06/2025 GB0006776081 -0.00318555
20/06/2025 GB0001859296 -0.10739107
20/06/2025 GB0000904986 -0.08990539
20/06/2025 GB0000811801 -0.11783241
20/06/2025 FR001400NLM4 -0.06517681
20/06/2025 FR0010386334 -0.00498559
20/06/2025 FR0000130452 -0.03561585
20/06/2025 FR0000120503 -0.06478742
20/06/2025 FI0009007694 -0.29446415
20/06/2025 ES0105066007 -0.04757869
20/06/2025 DK0060738599 -0.06609774
20/06/2025 DE000PSM7770 -0.29845204
20/06/2025 DE000BEAU7Y1 -0.15878392
20/06/2025 DE000A3H3LL2 -0.01114958
20/06/2025 DE0007667107 0.32433614
20/06/2025 DE0005785802 0.04338460
20/06/2025 CH0360674466 -0.02433575
20/06/2025 CH0012549785 0.01517215
20/06/2025 CH0011795959 -0.00106696
20/06/2025 CH0008038389 -0.01258510
20/06/2025 BE0974413453 -0.01580480
20/06/2025 AT0000609607 0.82916357

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: DE000A4PU123 WKN: A4PU12
Bloomberg Ticker: BGOODEUP Index Sponsor: Bountiful Financial, LLC

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