Nexus Finance
IE000WP7CVZ7.SG Amundi S&P World Materials Screened UCITS ETF Dist | IE000WP7CVZ7

TER

0.18%

Total Expense Ratio per year

Fund Size

$479387.82B

Assets under management

Holdings

82

Underlying equities

Dividend Yield

N/A

Distributing

Performance Analysis

Based on selected timeframe (1D)

Top Performers - Upside

YARA INTERNATIONAL YAR.OL
+3.82%
NORSK HYDRO NHY.OL
+2.96%
ANGLO AMERICAN PLC ORD USD0.623 AAL.L
+2.86%

Top Performers - Downside

Stora Enso Oyj R STERV.HE
-8.51%
UPM-Kymmene Corporation UPM.HE
-7.76%
FRESNILLO PLC ORD USD0.50 FRES.L
-6.13%

Top Contributors - Upside

Linde plc LIN • Weight: 11.02% • Perf: +1.18%
+0.13% Impact
Sherwin-Williams Company (The) SHW • Weight: 3.42% • Perf: +2.24%
+0.08% Impact
Ecolab Inc. ECL • Weight: 3.21% • Perf: +2.13%
+0.07% Impact

Top Contributors - Downside

BHP GROUP FPO [BHP] Weight: 8.14% • Perf: -2.94%
-0.24% Impact
SHIN-ETSU CHEMICAL CO Weight: 3.62% • Perf: -3.85%
-0.14% Impact
Newmont Corporation Weight: 4.60% • Perf: -1.62%
-0.07% Impact

ETF Profile

Provider Amundi
Region World
Country N/A
Sector Basic Materials
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 21.14
Avg Forward P/E 18.78

Growth Analysis

EPS Growth (LY->CY) +74.82%
Revenue Growth (LY->CY) +104.20%
EPS Growth (CY->NY) +14.62%
Revenue Growth (CY->NY) +6.05%
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