Amundi S&P Global Information Technology ESG UCITS ETF DR EUR (A)
Track global tech stocks with ESG criteria. This Amundi ETF follows the S&P Developed Ex-Korea IT index for sustainable investors.
See below how EuroFolio members build portfolios around WELU, and which ETFs they most commonly pair with it.
WELU is predominantly paired with broad-market equity ETFs such as ACWE, H41C, and SPYI, which provide the foundational global exposure necessary to anchor a portfolio. These core holdings typically represent between 50 and 75 percent of the total allocation, serving as a stable base that mitigates the inherent volatility of the technology sector. By combining these diversified world indices with WELU, investors maintain a balanced risk profile that captures broad market growth while leveraging the specific upside potential of ESG-screened global information technology companies.
EuroFolio members utilize WELU as a targeted thematic tilt rather than a primary holding, with allocations ranging from a conservative 10 percent to a concentrated 50 percent. The data suggests two distinct strategies: a high-conviction approach that splits the portfolio equally between tech and broad markets to maximize returns, and a more defensive satellite approach that uses WELU to add a growth-oriented ESG layer to a diversified core. Across these top-rated portfolios, the inclusion of WELU consistently aligns with a long-term growth objective, demonstrating that users are comfortable accepting higher volatility in exchange for exposure to the tech sector's outperformance.
AI analysis of below portfolio data from our community only · Not investment advice · Jul 2026