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FESGX

ETF
FESGX · UNKNOWN · 124 holdings
€ 80,07
▲ € 1,88 (2,40%)
Day Range
52-Week Range
Volume
Openen —
50D / 200D Gem.
50D / 200D Gem.

About FESGX

No description available for this ETF.

Fund Details

Expense Ratio
Inception Date
Prev. Close
€ 78,19
Exchange
UNKNOWN
Currency
USD
Holdings As Of
Apr 10, 2026
Tracked Holdings
46.0%
HHI Score
84,91
Top Sector
Healthcare (7.1395%)

Performance

Low (17,9%) ↗ Recovering
1W
▲ 2,35%
1M
▼ -0,78%
3M
▲ 4,02%
6M
▲ 1,15%
YTD
▲ 4,70%
1Y
▲ 27,38%
3Y
▲ 35,44%

Positive 1W (+2.35%) after negative 1M (-0.78%) — trend may be reversing

Price History

Concentration Risk

17,45% Well Diversified
Diversified Concentrated

The top 10 holdings represent 17,45% of the fund. This ETF is well diversified across its holdings, reducing single-stock risk.

Top Holdings Today

Weighted by position size
META
▲ 3,40%
ORCL
▼ -4,72%
HCA
▲ 0,94%
PM
▲ 0,62%
ELV
▼ -0,22%
BDX
▼ -0,28%
CMCSA
▲ 0,48%
Weighted avg. of top holdings ▲ 0,07%

Sector Allocation

Healthcare
7,14%
Communication Services
6,83%
Technology
6,17%
Consumer Defensive
5,40%
Basic Materials
4,89%
Energy
4,25%
Financial Services
3,89%
Industrials
3,37%
Real Estate
1,99%
Consumer Cyclical
0,25%

Top 10 Holdings

17,45% of fund
META Meta Platforms, Inc.
2,44%
ORCL Oracle Corp.
2,14%
HCA HCA Healthcare, Inc.
1,85%
PM Philip Morris International, Inc.
1,78%
ELV Elevance Health, Inc.
1,66%
BDX Becton Dickinson & Co.
1,66%
British American Tob British American Tobacco plc
1,54%
CMCSA Comcast Corp.
1,47%
Prosus NV Prosus NV
1,46%
Samsung Electronics Samsung Electronics Co. Ltd.
1,45%
Other positions
16,59%

All Holdings (124)

Top 10: 17,45% of fund
# Ticker Name Weight Shares Market Value
1 META Meta Platforms, Inc. 2,44% 2,58 M 1,42 B
2 ORCL Oracle Corp. 2,14% 8,84 M 1,24 B
3 HCA HCA Healthcare, Inc. 1,85% 3,11 M 1,07 B
4 PM Philip Morris International, Inc. 1,78% 6,02 M 1,03 B
5 ELV Elevance Health, Inc. 1,66% 2,30 M 967,38 M
6 BDX Becton Dickinson & Co. 1,66% 4,66 M 965,20 M
7 British American Tob British American Tobacco plc 1,54% 20,56 M 895,52 M
8 CMCSA Comcast Corp. 1,47% 24,98 M 854,30 M
9 Prosus NV Prosus NV 1,46% 18,12 M 849,33 M
10 Samsung Electronics Samsung Electronics Co. Ltd. 1,45% 23,49 M 844,32 M
Showing top 10 of 124 holdings · Listed: 83,41% · 16,59% in other positions

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