Nexus Finance
XUCA.DE Xtrackers MSCI USA Positioning Screened UCITS ETF 1D | IE000EVOVOG1

Holdings & Portfolio Structure

Detailed breakdown of ETF components

ETF Concentration (Cumulative Weight)

Sector Distribution

Technology 31.66%
Financial Services 13.84%
Healthcare 12.11%
Consumer Cyclical 11.38%
Communication Services 7.84%
Industrials 7.09%
Consumer Defensive 4.59%
Energy 3.56%
Unknown 2.67%
Basic Materials 1.96%
Real Estate 1.86%
Utilities 1.43%

Industry Distribution

Semiconductors 16.25%
Software - Infrastructure 8.32%
Drug Manufacturers - General 7.81%
Internet Content & Information 5.07%
Banks - Diversified 4.85%
Internet Retail 4.62%
Credit Services 3.51%
Auto Manufacturers 3.18%
Software - Application 3.14%
Unknown 2.67%
Oil & Gas Integrated 2.27%
Communication Equipment 1.97%
Capital Markets 1.93%
Farm & Heavy Construction Machinery 1.64%
Specialty Industrial Machinery 1.62%
Beverages - Non-Alcoholic 1.61%
Diagnostics & Research 1.48%
Discount Stores 1.46%
Household & Personal Products 1.40%
Telecom Services 1.35%
Information Technology Services 1.30%
Entertainment 1.25%
Healthcare Plans 1.21%
Specialty Chemicals 1.12%
Restaurants 1.05%
Utilities - Regulated Electric 0.94%
Home Improvement Retail 0.90%
Asset Management 0.89%
Financial Data & Stock Exchanges 0.87%
Railroads 0.83%
Insurance - Property & Casualty 0.82%
Oil & Gas Midstream 0.82%
REIT - Specialty 0.80%
Medical Devices 0.72%
Travel Services 0.61%
Building Products & Equipment 0.59%
Electrical Equipment & Parts 0.55%
Biotechnology 0.50%
Insurance Brokers 0.44%
Lodging 0.43%
REIT - Retail 0.42%
Conglomerates 0.41%
Building Materials 0.39%
Waste Management 0.34%
REIT - Industrial 0.34%
Oil & Gas Equipment & Services 0.32%
Engineering & Construction 0.31%
Gold 0.31%
Insurance - Diversified 0.29%
Scientific & Technical Instruments 0.28%
Banks - Regional 0.25%
Medical Distribution 0.24%
Aerospace & Defense 0.23%
Utilities - Independent Power Producers 0.21%
Electronic Components 0.19%
Trucking 0.17%
Footwear & Accessories 0.17%
Utilities - Diversified 0.16%
Oil & Gas E&P 0.15%
Agricultural Inputs 0.14%
Computer Hardware 0.14%
Real Estate Services 0.13%
REIT - Residential 0.13%
Specialty Retail 0.13%
Packaging & Containers 0.12%
Electronic Gaming & Multimedia 0.11%
Integrated Freight & Logistics 0.11%
Consulting Services 0.11%
Specialty Business Services 0.11%
Drug Manufacturers - Specialty & Generic 0.08%
Solar 0.08%
Luxury Goods 0.08%
Confectioners 0.07%
Health Information Services 0.07%
Utilities - Regulated Water 0.07%
Utilities - Regulated Gas 0.06%
Pollution & Treatment Controls 0.06%
Advertising Agencies 0.05%
Packaged Foods 0.05%
REIT - Mortgage 0.04%
Gambling 0.04%
Resorts & Casinos 0.04%
Apparel Retail 0.03%

Geographic Distribution

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All Holdings

Ticker
Name
Sector
Industry
Market Cap
Weight
P/E
Fwd P/E
Revenue Estimate
EPS Estimate
AVGOBroadcom Inc.TechnologySemiconductors1,6 Bio. €5.40%63.6519.63
CY +66.00%
CQ +84.52%
NY +62.92%
NQ +18.68%
CY +70.50%
CQ +91.61%
NY +67.36%
NQ +19.63%
NVDANVIDIA CorporationTechnologySemiconductors4,4 Bio. €5.26%31.6816.07
CY +82.27%
CQ +96.44%
NY +42.47%
NQ +12.22%
CY +88.44%
CQ +98.31%
NY +43.17%
NQ +12.84%
MSFTMicrosoft CorporationTechnologySoftware - Infrastructure2,49 Bio. €5.26%22.7319.70
CY +16.98%
CQ +14.69%
NY +16.79%
NQ +2.33%
CY +22.97%
CQ +16.16%
NY +15.54%
NQ +8.88%
AMZNAmazon.com, Inc.Consumer CyclicalInternet Retail2,19 Bio. €4.31%27.7323.43
CY +14.82%
CQ +16.86%
NY +13.12%
NQ +4.08%
CY +21.04%
CQ +8.12%
NY +14.00%
NQ +4.95%
METAMeta Platforms, Inc.Communication ServicesInternet Content & Information1,33 Bio. €3.20%21.6316.08
CY +26.04%
CQ +26.83%
NY +20.10%
NQ +4.93%
CY +40.68%
CQ +1.08%
NY +6.35%
NQ -2.32%
TSLATesla, Inc.Consumer CyclicalAuto Manufacturers1,09 Bio. €3.00%336.59140.24
CY +11.36%
CQ -2.40%
NY +13.48%
NQ +3.44%
CY +9.49%
CQ -8.62%
NY +22.82%
NQ +8.52%
AMDAdvanced Micro Devices, Inc.TechnologySemiconductors748,19 Mrd. €2.91%172.8338.22
CY +43.52%
CQ +47.11%
NY +58.89%
NQ +10.39%
CY +78.63%
CQ +235.56%
NY +83.34%
NQ +14.46%
LLYEli Lilly and CompanyHealthcareDrug Manufacturers - General937,6 Mrd. €2.55%42.5526.66
CY +31.02%
CQ +32.96%
NY +15.62%
NQ +4.74%
CY +42.62%
CQ +5.55%
NY +29.94%
NQ +41.90%
-Alphabet Inc-2.37%--
CY -
CQ -
NY -
NQ -
CY -
CQ -
NY -
NQ -
JPMJP Morgan Chase & Co.Financial ServicesBanks - Diversified825,39 Mrd. €2.29%15.1314.28
CY +14.26%
CQ +9.37%
NY +1.59%
NQ +0.29%
CY +22.01%
CQ +16.42%
NY +2.76%
NQ +0.45%
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