Instrument type : Stock

Market : Euronext Paris

Classification Financial Instrument

CFI:ESVUFN
E = Equities
S = Common/ordinary shares
V = Voting
U = Free
F = Fully paid
N = Bearer/Registered

Index weighting

CAC UTILITIES 12.94%
EN FR 20-40 EW 5.42%
CAC 40 PERF WGT 3.55%
EN CORE E30 ESG EW 3.53%
CAC 40 GOVERNANCE 3.20%
CAC 40 EQUAL WEIGH 2.66%
EN FR ESG L 40 2.64%
EN FR ENER TR L 40 2.64%
EN CL OBJ 50 EW 2.41%
EN Cl OBJ 50 E EW 2.26%
EURONEXT COP 50 EW 2.25%
SBFT 50 ESG EW 2.14%
EN FR 40 RI 2.13%
CAC LOW RISK 2.13%
EN FR EZ 60 EW 1.76%
CAC LARGE 60 EW 1.76%
SBF TOP 80 EW 1.33%
CAC L60 RI SW 1.32%
EN EZ 100 ESG 1.27%
EN EUR N100 EW 1.07%
EN CORE E1 ESG EW 1.07%
EN CORE E100 EW 1.06%
EN EU SUST 100 EW 1.06%
CAC 40 1.04%
CAC LARGE 60 0.95%
SBF 120 0.87%
CAC ALL-TRADABLE 0.85%
EN EUROZONE 150 EW 0.71%
ESI EXC EUROPE VM 0.66%
LC 100 EUROPE 0.58%
CAC ALL SHARES 0.54%
EURONEXT 100 0.45%
ESI EXC EUROPE 0.39%
EN EUROZONE 300 0.30%
EN CLIMATE EUROPE 0.24%
EN EUROPE 500 0.16%

ICB SECTORIAL CLASSIFICATION

Industry 7000, Utilities
SuperSector 7500, Utilities
Sector 7570, Gas, Water & Multiutilities
Subsector 7577, Water

Trading Information

Trading currency EUR
Price multiplier 1
Quantity notation Number of units
Shares outstanding 565,825,621
Trading group F2
Trading type Continuous

Trading Information

Personal equity saving plan : Eligible to PEA

Deferred Settlement Service : Instrument eligible for the SRD and for the Loan and Lending Market

Compartment A (Large Cap)