Amundi
EQSP.DE
LU2991918421
Amundi S&P 500 Equal Weight UCITS ETF Acc
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Analytics & Allocation

Detailed breakdown by growth drivers, valuation & quality, and asset allocation

Synthetic Replication Note (Swap ETF)

Synthetic (Swap)

The reported holdings, valuation ratios (P/E, etc.), and analyst estimates reflect the fund's underlying collateral/substitute basket, not the actual composition of the tracked index.

Growth Drivers (Estimates)

Largest contributors to earnings and revenue growth

Balance Sheet & Financial Health

Aggregated leverage and valuation structure

Weighted P/E
17.88
Weighted Fwd P/E
14.4
Avg P/FCF
22.8
Avg FCF Yield
3.70%
Avg EV / EBITDA
24.64
Avg EV / Revenue
11.06
Avg Price-to-Book (P/B)
19.88
Avg Price-to-Sales (P/S)
11.11
Avg Dividend Yield
0.01%
P/E Compression (Trailing vs Fwd)
-19.44%
Avg Debt-to-Equity (D/E)
151.56%
<50% (27.85%) 50-150% (32.71%) >150% (26.25%) Unreported (13.19%)

Profitability Analysis

59 Holdings Count
Profitable 99.87%
Profitable 99.87%
58 Holdings Count (98.31%)
Unprofitable 0.13%
1 Holdings Count (1.69%)

ETF Concentration (Cumulative Weight)

Cumulative weight of positions (Lorenz curve)

Moderate Concentration
Top 5
26.8%
Top 10
42.8%
Top 25
74.8%
50% Threshold
Top 13
The top 10 positions account for 42.8% of the portfolio. A healthy balance between a strong core and diversification. The steeper the curve initially rises, the more the largest positions dominate the fund volume.

Geographic Distribution

3 Countries
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0% (No exposure)
Tiers:
Low (0.1%+)
Med (24.6%+)
High (64.1%+)
Top (88.7%+)

Country Breakdown

Max: 98.58%
US US US
98.58%
CA CA CA
1.32%
GB GB GB
0.13%

Sector Distribution

9 Sector
Technology
44.55%
Healthcare
15.62%
Communication Services
8.90%
Industrials
7.27%
Consumer Cyclical
7.19%
Consumer Defensive
6.86%
Financial Services
5.67%
Utilities
3.85%
Other
0.10%

Industry Distribution

38 Industries
Semiconductors
10.88%
Communication Equipment
9.92%
Software - Infrastructure
8.02%
Consumer Electronics
5.88%
Information Technology Services
4.90%
Household & Personal Products
4.77%
Drug Manufacturers - General
4.19%
Asset Management
4.11%
Other
47.36%

Market Cap Distribution

59 Holdings Count
Mega Cap (> 200B)
(14) 42.64%
Large Cap (10B - 200B)
(41) 52.29%
Mid Cap (2B - 10B)
(4) 5.09%
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