Below, a list of constituents for FR0010446146 (Lyxor FTSE MIB Daily (-1x) Inverse (Bear) UCITS ETF - Acc) is shown. In total, FR0010446146 consists of 29 securities.
Note: The data shown here is as of date 2021-11-10 00:00:00 (the latest that can be sourced directly from the fund provider).
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Instrument Type | Ticker Bloomberg | ISIN | Instrument Name | % weight | Sector | Spot underlying | Underlying Currency |
Equity | SAF FP | FR0000073272 | Safran SA | 0.0840713777851837 | Industrials | 123.0 | EUR |
Equity | SOI FP | FR0013227113 | S.O.I.T.E.C. | 0.07842467690461952 | Information Technology | 227.0 | EUR |
Equity | SPIE FP | FR0012757854 | SPIE SA | 0.0747025369835471 | Industrials | 22.739999771118164 | EUR |
Equity | AAPL UW | US0378331005 | Apple Inc | 0.05268677246074642 | Information Technology | 147.9199981689453 | USD |
Equity | IP IM | IT0001078911 | INTERPUMP GROUP SPA | 0.04216837725324101 | Industrials | 66.94999694824219 | EUR |
Equity | GIS UN | US3703341046 | GENERAL MILLS INC | 0.04031237384129403 | Consumer Staples | 63.529998779296875 | USD |
Equity | AMZN UW | US0231351067 | AMAZON.COM INC | 0.040167171755187005 | Consumer Discretionary | 3482.050048828125 | USD |
Equity | INTU UW | US4612021034 | INTUIT INC | 0.039442239590120845 | Information Technology | 603.97998046875 | USD |
Equity | FB UW | US30303M1027 | FACEBOOK INC-CLASS A | 0.03888717970544617 | Communication Services | 327.6400146484375 | USD |
Equity | CSCO UW | US17275R1023 | CISCO SYSTEMS INC | 0.03791694214618515 | Information Technology | 57.77000045776367 | USD |
Equity | VOD LN | GB00BH4HKS39 | VODAFONE GROUP PLC | 0.037051802992274924 | Communication Services | 1.1225999593734741 | GBP |
Equity | RUN UW | US86771W1053 | SUNRUN INC | 0.036778992085258186 | Industrials | 53.959999084472656 | USD |
Equity | GOOGL UW | US02079K3059 | ALPHABET INC-CL A | 0.036198570227549375 | Communication Services | 2917.8701171875 | USD |
Equity | RSG UN | US7607591002 | REPUBLIC SERVICES INC | 0.033818848080854634 | Industrials | 134.44000244140625 | USD |
Equity | MOS UN | US61945C1036 | MOSAIC CO/THE | 0.033562165686846925 | Materials | 36.08000183105469 | USD |
Equity | SK FP | FR0000121709 | SEB SA | 0.030796599882782424 | Consumer Discretionary | 137.3000030517578 | EUR |
Equity | C UN | US1729674242 | CITIGROUP INC | 0.030673528221090117 | Financials | 68.20999908447266 | USD |
Equity | A2A IM | IT0001233417 | A2A SpA | 0.025793659212867442 | Utilities | 1.843000054359436 | EUR |
Equity | APD UN | US0091581068 | AIR PRODUCTS & CHEMICALS INC | 0.024222486769686375 | Materials | 314.2699890136719 | USD |
Equity | KER FP | FR0000121485 | KERING | 0.023980952056845414 | Consumer Discretionary | 664.7999877929688 | EUR |
Equity | PBCT UW | US7127041058 | PEOPLE'S UNITED FINANCIAL | 0.023121017482495596 | Financials | 18.079999923706055 | USD |
Equity | AXP UN | US0258161092 | AMERICAN EXPRESS CO | 0.0210660481092198 | Financials | 181.38999938964844 | USD |
Equity | ACA FP | FR0000045072 | CREDIT AGRICOLE SA | 0.01675408073767295 | Financials | 12.857999801635742 | EUR |
Equity | SOP FP | FR0000050809 | SOPRA GROUP | 0.015141510370394112 | Information Technology | 172.3000030517578 | EUR |
Equity | CPRT UW | US2172041061 | COPART INC | 0.013821726427502533 | Industrials | 151.9600067138672 | USD |
Equity | AMUN FP | FR0004125920 | AMUNDI SA | 0.0133181269247247 | Financials | 78.5 | EUR |
Equity | NEXI IM | IT0005366767 | NEXI SPA | 0.013283480339011444 | Information Technology | 14.680000305175781 | EUR |
Equity | TXG UW | US88025U1097 | 10X GENOMICS INC-CLASS A | 0.012575018516594707 | Health Care | 167.02000427246094 | USD |
Equity | PG UN | US7427181091 | PROCTER & GAMBLE CO/THE | 0.012273485800315924 | Consumer Staples | 146.82000732421875 | USD |