Nexus Finance
JPSRU.SW UBS MSCI Japan Socially Responsible UCITS ETF hUSD acc | LU1273489440

Holdings & Portfolio Structure

Detailed breakdown of ETF components

ETF Concentration (Cumulative Weight)

Sector Distribution

Technology 28.16%
Industrials 19.97%
Financial Services 17.23%
Communication Services 12.41%
Consumer Cyclical 7.67%
Healthcare 5.87%
Consumer Defensive 4.65%
Real Estate 2.13%
Basic Materials 1.76%

Industry Distribution

Semiconductor Equipment & Materials 9.51%
Consumer Electronics 9.01%
Insurance - Property & Casualty 7.06%
Telecom Services 6.59%
Conglomerates 6.07%
Information Technology Services 5.92%
Internet Content & Information 5.83%
Banks - Diversified 5.37%
Electrical Equipment & Parts 5.28%
Medical Instruments & Supplies 3.75%
Semiconductors 3.71%
Specialty Industrial Machinery 3.43%
Building Products & Equipment 3.07%
Insurance - Life 2.94%
Packaged Foods 2.76%
Drug Manufacturers - General 2.12%
Household & Personal Products 1.89%
Auto Parts 1.77%
Real Estate - Diversified 1.75%
Footwear & Accessories 1.44%
Leisure 1.28%
Security & Protection Services 1.21%
Capital Markets 1.01%
Specialty Chemicals 0.97%
Residential Construction 0.96%
Engineering & Construction 0.92%
Banks - Regional 0.85%
Other Industrial Metals & Mining 0.79%
Textile Manufacturing 0.68%
Internet Retail 0.52%
Specialty Retail 0.51%
Auto Manufacturers 0.51%
Real Estate Services 0.37%

Geographic Distribution

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All Holdings

Ticker
Name
Sector
Industry
Market Cap
Weight
P/E
Fwd P/E
Revenue Estimate
EPS Estimate
8035.TTOKYO ELECTRONTechnologySemiconductor Equipment & Materials152,95 Mrd. €6.77%50.00-
CY +47.27%
CQ +37.24%
NY +22.16%
NQ +9.40%
CY +27.06%
CQ +36.13%
NY +34.59%
NQ +12.36%
6098.TRECRUIT HOLDINGS CO LTDCommunication ServicesInternet Content & Information90,1 Mrd. €5.83%34.72-
CY +474.13%
CQ +12.12%
NY +6.88%
NQ +3.23%
CY -4.48%
CQ +30.51%
NY +18.91%
NQ +9.98%
8316.TSUMITOMO MITSUI FINANCIAL GROUPFinancial ServicesBanks - Diversified146,55 Mrd. €5.37%17.39-
CY +96.97%
CQ +14.29%
NY +4.61%
NQ +4.99%
CY +14.41%
CQ +15.49%
NY +9.37%
NQ +9.58%
6752.TPANASONIC HOLDINGS CORPTechnologyConsumer Electronics48,68 Mrd. €4.63%47.85-
CY +2884.19%
CQ -1.81%
NY +6.11%
NQ +2.38%
CY +142.03%
CQ +48.25%
NY +24.33%
NQ +16.02%
8766.TTOKIO MARINE HOLDINGS INCFinancial ServicesInsurance - Property & Casualty82,78 Mrd. €4.55%29.07-
CY +1224.02%
CQ -
NY +0.59%
NQ -
CY +5.55%
CQ -55.65%
NY +3.95%
NQ +6.37%
6501.THITACHIIndustrialsConglomerates116,77 Mrd. €4.53%27.47-
CY +512.54%
CQ +10.81%
NY +6.16%
NQ +8.92%
CY +14.84%
CQ -10.75%
NY +19.01%
NQ +27.64%
6503.TMITSUBISHI ELECTRIC CORPIndustrialsElectrical Equipment & Parts62,07 Mrd. €4.45%28.49-
CY +165.32%
CQ +5.03%
NY +3.22%
NQ +9.57%
CY +23.07%
CQ +16.79%
NY +11.82%
NQ +13.03%
6758.TSONY GROUP CORPORATIONTechnologyConsumer Electronics107,48 Mrd. €4.38%19.88-
CY +1487.71%
CQ +3.66%
NY +0.26%
NQ +14.91%
CY +169.44%
CQ +13.39%
NY +6.66%
NQ +32.58%
9433.TKDDI CORPORATIONCommunication ServicesTelecom Services59,74 Mrd. €3.77%15.92-
CY +62.70%
CQ +4.06%
NY +3.42%
NQ +4.95%
CY +7.24%
CQ +3.17%
NY +6.91%
NQ +13.23%
7741.THOYA CORPHealthcareMedical Instruments & Supplies44,11 Mrd. €3.75%33.00-
CY +301.55%
CQ +11.85%
NY +7.77%
NQ +3.80%
CY +1.37%
CQ +19.19%
NY +13.52%
NQ +5.64%
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