Nexus Finance
IE000ANYHV73.SG Amundi S&P World Communication Services Screened UCITS ETF Dist | IE000ANYHV73

TER

0.18%

Total Expense Ratio per year

Fund Size

$291654.68B

Assets under management

Holdings

56

Underlying equities

Dividend Yield

N/A

Distributing

Performance Analysis

Based on selected timeframe (1D)

Top Performers - Upside

TOHO CO LTD 9602.T
+6.48%
Verizon Communications Inc. VZ
+5.84%
T-Mobile US, Inc. TMUS
+5.67%

Top Performers - Downside

SOFTBANK GROUP CORP 9984.T
-7.06%
DEUTSCHE TELEKOM AG N DTE.DE
-4.04%
CAR GROUP FPO [CAR] CAR.AX
-3.90%

Top Contributors - Upside

Netflix, Inc. NFLX • Weight: 8.84% • Perf: +1.74%
+0.15% Impact
Spotify Technology S.A. SPOT • Weight: 3.96% • Perf: +2.91%
+0.12% Impact
T-Mobile US, Inc. TMUS • Weight: 1.83% • Perf: +5.67%
+0.10% Impact

Top Contributors - Downside

SOFTBANK GROUP CORP Weight: 4.59% • Perf: -7.06%
-0.32% Impact
Meta Platforms, Inc. Weight: 17.70% • Perf: -1.80%
-0.32% Impact
DEUTSCHE TELEKOM AG N Weight: 0.71% • Perf: -4.04%
-0.03% Impact

ETF Profile

Provider Amundi
Region World
Country N/A
Sector Telecommunications
Strategy Social / Environmental
Theme N/A
Distribution Policy Distributing
Replication Full replication
Sustainable Yes

Aggregate Fundamentals

Weighted average of underlying holdings

Avg P/E Ratio 16.82
Avg Forward P/E 18.93

Growth Analysis

EPS Growth (LY->CY) +15.26%
Revenue Growth (LY->CY) +53.71%
EPS Growth (CY->NY) +18.13%
Revenue Growth (CY->NY) +12.68%
ende