Nexus Finance
FTUI.DE Franklin US Income Equity Focus UCITS ETF | IE0001T0BHM5

Holdings & Portfolio Structure

Detailed breakdown of ETF components

ETF Concentration (Cumulative Weight)

Sector Distribution

Unknown 23.75%
Industrials 10.59%
Technology 10.51%
Utilities 10.27%
Financial Services 9.22%
Energy 9.01%
Consumer Defensive 8.91%
Healthcare 7.39%
Basic Materials 4.58%
Consumer Cyclical 3.64%
Communication Services 2.16%

Industry Distribution

Unknown 23.75%
Utilities - Regulated Electric 9.25%
Oil & Gas Integrated 7.37%
Drug Manufacturers - General 5.23%
Banks - Diversified 4.37%
Aerospace & Defense 4.37%
Beverages - Non-Alcoholic 3.89%
Software - Infrastructure 3.09%
Building Products & Equipment 3.05%
Household & Personal Products 2.55%
Banks - Regional 2.51%
Medical Devices 2.16%
Telecom Services 2.16%
Home Improvement Retail 2.12%
Other Industrial Metals & Mining 2.09%
Communication Equipment 1.78%
Computer Hardware 1.77%
Information Technology Services 1.71%
Oil & Gas Equipment & Services 1.64%
Railroads 1.58%
Specialty Chemicals 1.54%
Restaurants 1.52%
Tobacco 1.49%
Semiconductors 1.43%
Asset Management 1.22%
Capital Markets 1.12%
Integrated Freight & Logistics 1.10%
Utilities - Diversified 1.02%
Packaged Foods 0.98%
Copper 0.95%
Software - Application 0.73%
Conglomerates 0.49%

Geographic Distribution

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All Holdings

Ticker
Name
Sector
Industry
Market Cap
Weight
P/E
Fwd P/E
Revenue Estimate
EPS Estimate
PANWPalo Alto Networks, Inc.TechnologySoftware - Infrastructure231,98 Mrd. €0.63%284.0378.49
CY +23.87%
CQ +32.15%
NY +20.90%
NQ -3.90%
CY +12.98%
CQ +2.91%
NY -48.30%
NQ -55.16%
-ALBEMARLE CORP USD 50 PFD-1.13%--
CY -
CQ -
NY -
NQ -
CY -
CQ -
NY -
NQ -
DUKDuke Energy Corporation (HoldinUtilitiesUtilities - Regulated Electric89,45 Mrd. €1.50%20.0818.21
CY +4.44%
CQ +2.31%
NY +4.78%
NQ +16.80%
CY +6.24%
CQ +4.61%
NY +6.93%
NQ +42.65%
ABE1.FAlphabet Inc. D-0.50%--
CY -
CQ -
NY -
NQ -
CY -
CQ -
NY -
NQ -
HONAVHoneywell Aerospace Inc.61,58 Mrd. €0.47%46.5321.96
CY +9.30%
CQ -
NY +8.13%
NQ +5.54%
CY -
CQ -
NY +20.80%
NQ +7.25%
JNJJohnson & JohnsonHealthcareDrug Manufacturers - General557,4 Mrd. €1.11%30.5920.53
CY +7.50%
CQ +5.52%
NY +7.03%
NQ +4.64%
CY +8.20%
CQ +8.91%
NY +9.91%
NQ -0.74%
IBMInternational Business MachinesTechnologyInformation Technology Services177,4 Mrd. €1.71%19.0216.21
CY +4.16%
CQ +3.11%
NY +4.34%
NQ +21.59%
CY +6.38%
CQ +9.57%
NY +7.14%
NQ +58.64%
MRKMerck & Company, Inc.HealthcareDrug Manufacturers - General284,58 Mrd. €0.51%36.9213.57
CY +2.87%
CQ +3.56%
NY +4.84%
NQ +5.84%
CY -69.43%
CQ -112.16%
NY +251.83%
NQ +980.88%
HONHoneywell International Inc.IndustrialsConglomerates67,72 Mrd. €0.49%9.3524.53
CY -46.07%
CQ -51.40%
NY +1.32%
NQ +1.77%
CY -57.92%
CQ -61.94%
NY +20.40%
NQ +11.57%
ORCL-PDOracle Corporation Depositary STechnologySoftware - Infrastructure-1.12%--
CY +32.60%
CQ +28.12%
NY +46.07%
NQ +10.58%
CY -
CQ -
NY -
NQ -
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