Deka iBoxx EUR Liquid Non-Financials Diversified UCITS ETF
iBoxx® EUR Liquid Non-Financials Diversified
- ISIN
- DE000ETFL383
- Issuer
- Deka ETFs
- TER
- 0.20%
- Latest closing price
- N/A
- Fund Size
- €175 m As of: Sep 30, 2026
- Domicile
- Germany
- Distribution Policy
- Distributing
- Replication Method
- Physical
- Base Currency
- EUR
- WKN / Ticker
- ETFL38 / EFQ8
Data availability
Data is available for 2 of 5 areas for this fund.
- Master data (TER, index, size): As of: Sep 30, 2026
- Closing price: not available
- Price history (at least 20 prices): not available
- Holdings: As of: Jul 30, 2026
- Risk figures: not available
Missing information is marked as “not available” and is not estimated. The issuer’s documents are authoritative.
At a glance
Deka iBoxx EUR Liquid Non-Financials Diversified UCITS ETF (ISIN DE000ETFL383) is a fund from Deka ETFs (fund type: ETF). Benchmark index: iBoxx EUR Liquid Non-Financials Diversified. Its ongoing charges (TER) are 0.20% per year. The fund size is €175 m. Distribution policy: Distributing. Replication: Physical. Fund domicile: Germany.
- Launch date 03.03.2011 (15 years)
- Number of Holdings 60
- Strategy Passive (index tracking)
- Base Currency EUR
- Currency hedging No
- Distribution Policy Distributing
- Replication Method Physical
- Securities lending No
- Domicile DE
- UCITS Compliant Yes
Price development
Pure price change based on stored closing prices; distributions, purchase costs and taxes are not included. Different currencies and index types (price or total return index) can distort the comparison line. Past performance is not a reliable indicator of future results.
Risk figures (12 months)
No calculated risk figures are available for this fund yet.
The official summary risk indicator (SRI, scale 1–7) is in the issuer’s key information document (KID). The figures here are historical values and do not replace it.
Documents
We have no documents stored for this fund. The key information document (KID), factsheet and prospectus are provided by the issuer.
Tracking difference and tracking error
We have no comparison series stored for this fund’s index, so a tracking analysis is not possible.
What does the fund invest in?
As of 30.07.2026 · Source: justETF / etfdbSector Breakdown
-
Utilities 21.3%
-
Telecommunication 15.8%
-
Consumer staples 15.7%
-
Consumer discretionary 11.3%
-
Industrials 10.0%
-
Health care 8.5%
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Energy 7.0%
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Basic materials 4.2%
-
Financials 3.5%
-
Technology 2.0%
-
Other 0.7%
Country Breakdown
-
France 27.9%
-
Germany 21.6%
-
United Kingdom 11.8%
-
Netherlands 10.4%
-
Italy 6.9%
-
Belgium 6.0%
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Spain 4.4%
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Denmark 4.3%
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Switzerland 3.5%
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United States 1.4%
-
All others 2.0%
Holdings
Showing 10 holdings that together make up 22.3 % of fund assets. (out of 60 holdings in total).
| # | Name | ISIN | Sector | Country | Weight |
|---|---|---|---|---|---|
| 1 | Bayer, 4.625% 26may2033, EUR (64) | XS2630111719 | – | – | 2.63 % |
| 2 | Novo Nordisk, 2.375% 27may2028, EUR | XS3002552993 | – | – | 2.43 % |
| 3 | Orange, 3.5% 13nov2034, EUR | FR00140144C3 | – | – | 2.29 % |
| 4 | Kering, 3.875% 5sep2035, EUR | FR001400KHX5 | – | – | 2.23 % |
| 5 | Eni Spa, 4.25% 19may2033, EUR (29) | XS2623956773 | – | – | 2.18 % |
| 6 | Swisscom, 3.5% 29nov2031, EUR | XS2827696035 | – | – | 2.16 % |
| 7 | Stellantis, 4.25% 16jun2031, EUR (STLA006) | XS2634690114 | – | – | 2.10 % |
| 8 | Anheuser-Busch InBev, 3.375% 19may2033, EUR | BE6364524635 | – | – | 2.09 % |
| 9 | ESSILORLUXOTTICA, 2.875% 5mar2029, EUR (12) | FR001400RYN6 | – | – | 2.09 % |
| 10 | Robert Bosch, 4% 2jun2035, EUR | XS2629470845 | – | – | 2.08 % |
Cost calculator
What does this ETF cost you per year – and over your whole investment horizon?Simplified model based on the TER, excluding order fees, spreads, taxes and tracking difference. Not investment advice.
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All information without guarantee. It is provided for information purposes only and does not constitute investment advice.