ETF constituents for FR0010446146

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