L&G Quality Equity Dividends ESG Exclusions Europe Ex‑UK

High quality European companies

(LDEG)
£10.34
Previous business day’s close price
+£2.89 (+33.28%)
max available period
£7.57
£11.56

15 Apr 21
14 Jan 25

Details

ETF description

This ETF focuses on investing in European companies, excluding those based in the UK, that are known for paying high‑quality dividends. The fund selects companies with a strong history of consistent dividend payments and financial stability, while also applying environmental, social, and governance (ESG) criteria to exclude companies that do not meet certain ethical standards.

This ETF may appeal to investors who are seeking income through dividends, while also wanting to invest responsibly by supporting companies with strong ESG credentials.

Issuer details

Legal & General Investment Management (LGIM) is one of Europe’s largest asset managers and a subsidiary of Legal & General Group plc. With over £1.5 trillion in assets under management as of June 2024. Established in 1836, LGIM has a long history and is known for its strong focus on index investing, providing investors with cost‑effective and diversified exposure to various markets. LGIM is also recognized for its innovative ESG integration across its investment strategies and expertise in liability‑driven investment (LDI) solutions. Notable ETFs include the L&G Global Technology Leaders UCITS ETF and the L&G Cyber Security UCITS ETF, reflecting LGIM’s commitment to providing access to innovative and thematic investment themes. LGIM offers a range of investment solutions and covers various market segments.

Index details

The Quality Equity Dividends ESG Exclusions Europe ex‑UK index provides investors with a focused investment approach by selecting high‑quality, dividend‑paying companies across Europe, while applying ESG exclusions to enhance the ethical and sustainable profile of the portfolio. It offers a balance of reliable income through dividends, quality metrics, and adherence to ESG principles, catering to investors seeking both financial stability and ethical alignment in their European investments.

This ETF is in collections:

ETF Breakdown

Erste Group Bank AG
1.3%
HeidelbergCement AG
1.3%
ACS, Actividades de Construccion Y Servicios, S.A.
1.2%
Julius Baer Gruppe
1.2%
Be Semiconductor Industries NV
1.2%
Siemens AG
1.2%
Assicurazioni Generali SPA
1.2%
Unipol Gruppo S.p.A.
1.2%
Poste Italiane S.p.a
1.1%
Svenska Handelsbanken
1.1%
Zurich Insurance Group AG Ltd
1.1%
Helvetia Holding AG
1.1%
KBC Group SA NV
1.1%
Talanx AG
1.1%
Allianz SE
1.1%
Holcim Ltd
1.1%
ASR Nederland NV
1.1%
Iberdrola S.A.
1.1%
UBS Group AG
1.1%
Unicredit Spa
1.1%
Ageas
1.1%
Axa
1.1%
DNB Bank ASA
1.1%
Enel Spa
1.1%
Mowi ASA
1.1%
Norsk Hydro
1.1%
A.P. Moller ‑ Maersk AS
1.1%
Banco Bilbao Vizcaya Argentaria.
1.1%
Kesko Oyj
1.1%
Schneider Electric SE
1.1%
Swiss Life Holding
1.1%
Tryg AS
1.1%
Volvo AB
1.1%
Intesa Sanpaolo Spa
1.1%
Munich Re
1.1%
AIB Group Plc
1.0%
Baloise Holding AG
1.0%
Banco de Sabadell, S.A.
1.0%
Caixabank
1.0%
Gaztransport Et Technigaz
1.0%
Sampo Oyj
1.0%
Air Liquide S.A
1.0%
Nordea Bank Abp
1.0%
OMV AG
1.0%
Recordati Industria Chimica e Farmaceutica SpA
1.0%
Basf SE
1.0%
Boliden Ab
1.0%
Equinor ASA
1.0%
Hannover Ruck SE
1.0%
Orange.
1.0%
Redeia Corporacion S.A.
1.0%
Sanofi
1.0%
Terna Group
1.0%
Bankinter SA
1.0%
Skandinaviska Enskilda Banken
1.0%
BNP Paribas
1.0%
Bayerische Motoren Werke AG
0.9%
Mediobanca ‑ Banca Di Credito Finanziario Spa
0.9%
Randstad NV
0.9%
ING Groep N.V.
0.9%
Orion Corp (finland)
0.9%
Tele2 AB
0.9%
Elisa Oyj
0.9%
Sandvik AB
0.9%
Atlas Copco AB
0.9%
Compagnie Generale des Etablissements Michelin SCA
0.9%
Roche Holding AG
0.9%
Bouygues
0.9%
UPM‑Kymmene Oyj
0.9%
EDP‑Energias DE Portugal S.A.
0.9%
Mercedes‑Benz Group AG
0.9%
TotalEnergies SE
0.8%
Adecco Group AG
0.8%
Scor SE
0.8%
Andritz AG
0.8%
Polski Koncern Naftowy Orlen S.A.
0.8%
A2A Spa
0.7%
Enagas SA
0.7%
Banca Popolare di Sondrio S.p.A
0.7%
Naturgy Energy Group S.A.
0.7%
Fuchs Petrolub SE
0.6%
Cembra Money Bank AG
0.6%
Banca Generali
0.6%
Hochtief AG
0.6%
Sydbank
0.6%
Azimut Holding SpA
0.6%
Banca Mediolanum Spa.
0.6%
Mapfre
0.6%
Raiffeisen Bank International AG
0.6%
Banque Cantonale Vaudoise.
0.6%
Rubis
0.5%
SpareBank 1 SR‑Bank ASA
0.5%
Sulzer AG
0.5%
Kemira Oyj
0.5%
Loomis AB
0.5%
Solvay SA
0.5%
Vontobel Holding AG
0.5%
Acerinox
0.5%
Spar Nord Bank
0.4%
Sparebank 1 SMN
0.4%
Valiant Holding AG
0.4%
BillerudKorsnas AB (publ)
0.4%
TietoEVRY Corporation
0.4%
KBC Ancora
0.4%
Grupa Kety Sa
0.4%
Van Lanschot Kempen N.V
0.4%
Alm. Brand AS
0.3%
EFG International AG
0.3%
Peab AB
0.3%
Veidekke ASA
0.3%
Iren Spa
0.3%
Leroy Seafood Group
0.3%
Aperam SA
0.3%
Asseco Poland SA.
0.2%
Koninklijke BAM Groep NV
0.2%
GIMV
0.2%
Navigator Company SA
0.2%
Television Francaise (T.F.1)
0.2%
Uniqa Insurance Group AG
0.2%
Credito Emiliano SPA
0.2%
Sonae S.G.P.S. S.A.
0.2%
Acea Spa
0.2%
Bilia AB
0.2%
Austevoll Seafood Asa
0.1%
Metropole Television SA
0.1%
Metsa Board Corporation
0.1%
Clas Ohlson AB
0.1%
OC Oerlikon Corporation AG, Pfaffikon
0.1%
Nos SGPS SA.
0.1%
Sanoma Oyj
0.1%
Stolt‑Nielsen Limited
0.1%
Vicat
0.1%
Banca I.F.I.S Spa
0.1%
Strabag SE
0.1%
Cloetta AB
< 0.1%
Altri Sgps S.A.
< 0.1%
Atresmedia Corporacion De Medios De Comunicacion SA
< 0.1%
PostNL N.V.
< 0.1%
Piaggio&C. S.p.A.
< 0.1%
Wacker Neuson SE
< 0.1%
Euronav NV
< 0.1%
Gielda Papierow Wartosciowych w Warszawie SA
< 0.1%
Takkt AG
< 0.1%
VP Bank AG
< 0.1%
Others
0.2%
£10.34
Previous business day’s close price

Capital at risk

Why InvestEngine

Unbeatable value

From commission‑free investing, to zero‑ISA fees, we’re proud of our low fees.
Here's how we're able to do it

Choice of 760+ ETFs

Low cost, diversified, index‑tracking of stock markets, bonds and commodities.
Browse investments

Actionable insights

Know exactly which companies, sectors and regions are in your portfolio.

Powerful automation

Grow your wealth the easy way with automated investing features

Easy diversification

Fractional investing lets you put as little as £1 in any ETF.

DIY or Managed

Build and manage your own portfolio or leave it to us.

ETFs have spreads and annual charges and come with risks like market volatility, liquidity, and concentration, and may not always accurately track their index. Past performance and forecasts are not reliable indicators of future results. The value of your investments, including any income, can rise or fall. You may get back less than you originally invested.
Whenever you invest, your capital is at risk
This could mean the value of your investments goes down as well as up.
Understand more about investment risk.
© InvestEngine Limited 2025. All rights reserved.