FI
FINYX
ETF
FINYX
·
UNKNOWN
·
121 holdings
About FINYX
No description available for this ETF.
Fund Details
- Expense Ratio
- —
- Inception Date
- —
- Prev. Close
- € 86,25
- Exchange
- UNKNOWN
- Currency
- USD
- Holdings As Of
- Apr 10, 2026
- Tracked Holdings
- 82.6%
- HHI Score
- 122,54
- Top Sector
- Financial Services (19.698801%)
23,14%
Well Diversified
Diversified
Concentrated
The top 10 holdings represent 23,14% of the fund. This ETF is well diversified across its holdings, reducing single-stock risk.
Weighted by position size
Weighted avg. of top holdings
▲ 0,55%
JPM
JPMORGAN CHASE and CO
BAC
BANK OF AMERICA CORPORATION
TSM
TAIWAN SEMICONDUCTOR MFG CO LTD
All Holdings (121)
Top 10: 23,14% of fund
| # |
Ticker |
Name |
Weight |
Shares |
Market Value |
| 1 |
JPM
|
JPMORGAN CHASE and CO |
3,75% |
1,19 M |
369,26 M |
| 2 |
GOOGL
|
ALPHABET INC |
3,33% |
1,17 M |
327,69 M |
| 3 |
XOM
|
EXXON MOBIL CORP |
2,84% |
2,45 M |
279,71 M |
| 4 |
WFC
|
WELLS FARGO and CO |
2,22% |
2,51 M |
218,36 M |
| 5 |
BAC
|
BANK OF AMERICA CORPORATION |
2,12% |
3,91 M |
208,88 M |
| 6 |
WMT
|
WALMART INC |
1,95% |
1,90 M |
192,19 M |
| 7 |
LINDE PLC
|
LINDE PLC |
1,94% |
456.708 |
191,04 M |
| 8 |
TSM
|
TAIWAN SEMICONDUCTOR MFG CO LTD |
1,72% |
562.222 |
168,91 M |
| 9 |
JNJ
|
JOHNSON and JOHNSON |
1,71% |
890.845 |
168,25 M |
| 10 |
MSFT
|
MICROSOFT CORP |
1,57% |
298.480 |
154,56 M |
| 11 |
ITT
|
ITT INC |
1,56% |
831.329 |
153,85 M |
| 12 |
PG
|
PROCTER and GAMBLE CO |
1,56% |
1,02 M |
153,25 M |
| 13 |
ABBV
|
ABBVIE INC |
1,54% |
695.458 |
151,64 M |
| 14 |
GILD
|
GILEAD SCIENCES INC |
1,54% |
1,27 M |
151,58 M |
| 15 |
CHUBB LTD
|
CHUBB LTD |
1,49% |
528.780 |
146,44 M |
| 16 |
NEE
|
NEXTERA ENERGY INC |
1,35% |
1,63 M |
132,50 M |
| 17 |
CSCO
|
CISCO SYSTEMS INC |
1,34% |
1,80 M |
131,59 M |
| 18 |
UNH
|
UNITEDHEALTH GROUP INC |
1,29% |
373.008 |
127,40 M |
| 19 |
SAMSUNG ELECTRONICS
|
SAMSUNG ELECTRONICS CO LTD |
1,26% |
1,66 M |
124,50 M |
| 20 |
PNC
|
PNC FINANCIAL SERVICES GRP INC |
1,26% |
680.092 |
124,15 M |
| 21 |
MRK
|
MERCK and CO INC |
1,22% |
1,39 M |
119,86 M |
| 22 |
DIS
|
WALT DISNEY CO |
1,19% |
1,04 M |
116,70 M |
| 23 |
MCD
|
MCDONALDS CORP |
1,17% |
385.970 |
115,19 M |
| 24 |
GE
|
GE AEROSPACE |
1,14% |
362.519 |
112,00 M |
| 25 |
KO
|
COCA COLA CO |
1,12% |
1,60 M |
110,50 M |
| 26 |
TRV
|
TRAVELERS COS INC |
1,10% |
402.144 |
108,02 M |
| 27 |
TJX
|
TJX COMPANIES INC |
1,10% |
770.571 |
107,99 M |
| 28 |
ASTRAZENECA PLC
|
ASTRAZENECA PLC |
1,09% |
651.893 |
107,53 M |
| 29 |
CEG
|
CONSTELLATION ENERGY CORP |
1,05% |
274.222 |
103,38 M |
| 30 |
HIG
|
HARTFORD INSURANCE GROUP INC/THE |
1,04% |
825.559 |
102,52 M |
| 31 |
SCHW
|
SCHWAB CHARLES CORP |
0,99% |
1,03 M |
97,46 M |
| 32 |
NSC
|
NORFOLK SOUTHERN CORP |
0,97% |
335.740 |
95,14 M |
| 33 |
DHR
|
DANAHER CORP |
0,97% |
441.589 |
95,11 M |
| 34 |
LOW
|
LOWES COS INC |
0,95% |
393.890 |
93,80 M |
| 35 |
MTB
|
M and T BANK CORP |
0,92% |
495.056 |
91,03 M |
| 36 |
NXP SEMICONDUCTORS N
|
NXP SEMICONDUCTORS NV |
0,91% |
427.411 |
89,38 M |
| 37 |
JOHNSON CONTROLS INT
|
JOHNSON CONTROLS INTERNATIONAL PLC |
0,89% |
767.313 |
87,77 M |
| 38 |
ROLLS-ROYCE HOLDINGS
|
ROLLS-ROYCE HOLDINGS PLC |
0,89% |
5,69 M |
87,54 M |
| 39 |
TMUS
|
T-MOBILE US INC |
0,87% |
405.915 |
85,26 M |
| 40 |
SO
|
SOUTHERN COMPANY |
0,86% |
901.250 |
84,75 M |
| 41 |
LAMR
|
LAMAR ADVERTISING CO |
0,86% |
712.325 |
84,47 M |
| 42 |
COF
|
CAPITAL ONE FINANCIAL CORP |
0,85% |
379.839 |
83,56 M |
| 43 |
BLK
|
BLACKROCK INC |
0,84% |
76.264 |
82,58 M |
| 44 |
GD
|
GENERAL DYNAMICS CORP |
0,81% |
231.290 |
79,77 M |
| 45 |
PSA
|
PUBLIC STORAGE |
0,79% |
278.961 |
77,71 M |
| 46 |
TPR
|
TAPESTRY INC |
0,77% |
691.525 |
75,94 M |
| 47 |
NOC
|
NORTHROP GRUMMAN CORP |
0,77% |
129.909 |
75,80 M |
| 48 |
SHELL PLC
|
SHELL PLC |
0,77% |
2,02 M |
75,71 M |
| 49 |
IMO
|
IMPERIAL OIL LTD |
0,76% |
849.896 |
75,17 M |
| 50 |
MRSH
|
MARSH and MCLENNAN COS INC |
0,75% |
416.429 |
74,19 M |
| 51 |
CR
|
CRANE CO |
0,75% |
389.107 |
73,93 M |
| 52 |
VZ
|
VERIZON COMMUNICATIONS INC |
0,73% |
1,81 M |
71,83 M |
| 53 |
KDP
|
KEURIG DR PEPPER INC |
0,73% |
2,63 M |
71,50 M |
| 54 |
VST
|
VISTRA CORP |
0,72% |
375.756 |
70,75 M |
| 55 |
T
|
AT and T INC |
0,72% |
2,86 M |
70,70 M |
| 56 |
LLY
|
ELI LILLY and CO |
0,71% |
81.575 |
70,39 M |
| 57 |
HBAN
|
HUNTINGTON BANCSHARES INC/OH |
0,71% |
4,56 M |
70,36 M |
| 58 |
GEV
|
GE VERNOVA INC |
0,71% |
118.687 |
69,45 M |
| 59 |
USB
|
US BANCORP DEL |
0,70% |
1,47 M |
68,50 M |
| 60 |
HII
|
HUNTINGTON INGALLS INDUSTRIES INC |
0,68% |
206.769 |
66,58 M |
| 61 |
AFG
|
AMERICAN FINL GROUP INC OHIO |
0,68% |
505.402 |
66,55 M |
| 62 |
AME
|
AMETEK INC NEW |
0,67% |
327.672 |
66,23 M |
| 63 |
ACCENTURE PLC
|
ACCENTURE PLC |
0,65% |
255.091 |
63,80 M |
| 64 |
GSK PLC
|
GSK PLC |
0,63% |
2,65 M |
62,03 M |
| 65 |
HITACHI LTD
|
HITACHI LTD |
0,62% |
1,77 M |
61,25 M |
| 66 |
QSR
|
RESTAURANT BRANDS INTL INC |
0,62% |
924.129 |
60,70 M |
| 67 |
ADI
|
ANALOG DEVICES INC |
0,60% |
254.257 |
59,53 M |
| 68 |
DKS
|
DICKS SPORTING GOODS INC |
0,58% |
258.599 |
57,27 M |
| 69 |
BJ
|
BJS WHOLESALE CLUB HOLDINGS INC |
0,56% |
630.085 |
55,61 M |
| 70 |
AMDOCS LIMITED
|
AMDOCS LIMITED |
0,56% |
656.086 |
55,28 M |
| 71 |
BURL
|
BURLINGTON STORES INC |
0,55% |
198.081 |
54,19 M |
| 72 |
CNQ
|
CANADIAN NATURAL RESOURCES LTD |
0,54% |
1,65 M |
52,70 M |
| 73 |
AMZN
|
AMAZON.COM INC |
0,53% |
214.145 |
52,30 M |
| 74 |
CMCSA
|
COMCAST CORP |
0,52% |
1,84 M |
51,15 M |
| 75 |
AAPL
|
APPLE INC |
0,52% |
187.983 |
50,82 M |
| 76 |
V
|
VISA INC |
0,50% |
145.607 |
49,61 M |
| 77 |
PRYSMIAN SPA
|
PRYSMIAN SPA |
0,50% |
471.844 |
48,85 M |
| 78 |
APOS
|
APOLLO GLOBAL MANAGEMENT, INC |
0,48% |
376.820 |
46,84 M |
| 79 |
EPD
|
ENTERPRISE PRODUCTS PARTNERS LP |
0,47% |
1,52 M |
46,73 M |
| 80 |
CCK
|
CROWN HOLDINGS INC |
0,47% |
473.362 |
46,00 M |
| 81 |
SIEMENS AG
|
SIEMENS AG |
0,47% |
162.103 |
45,94 M |
| 82 |
WSO
|
WATSCO INC |
0,46% |
123.990 |
45,63 M |
| 83 |
TGT
|
TARGET CORP |
0,45% |
478.941 |
44,41 M |
| 84 |
IBM
|
IBM CORPORATION |
0,45% |
144.300 |
44,36 M |
| 85 |
AVGO
|
BROADCOM INC |
0,44% |
117.261 |
43,34 M |
| 86 |
AMT
|
AMERICAN TOWER CORP |
0,43% |
238.066 |
42,61 M |
| 87 |
ROYALTY PHARMA PLC
|
ROYALTY PHARMA PLC |
0,43% |
1,13 M |
42,51 M |
| 88 |
BALL
|
BALL CORP |
0,43% |
901.938 |
42,39 M |
| 89 |
META
|
META PLATFORMS INC |
0,42% |
64.058 |
41,53 M |
| 90 |
ALIMENTATION COUCHE-
|
ALIMENTATION COUCHE-TARD INC |
0,42% |
815.642 |
41,45 M |
| 91 |
UNILEVER PLC
|
UNILEVER PLC |
0,41% |
667.022 |
40,02 M |
| 92 |
WEC
|
WEC ENERGY GROUP INC |
0,39% |
346.298 |
38,69 M |
| 93 |
FCX
|
FREEPORT-MCMORAN INC |
0,39% |
923.618 |
38,51 M |
| 94 |
MDLZ
|
MONDELEZ INTERNATIONAL INC |
0,39% |
663.834 |
38,14 M |
| 95 |
SBUX
|
STARBUCKS CORP |
0,39% |
469.912 |
38,00 M |
| 96 |
CI
|
CIGNA GROUP (THE) |
0,38% |
151.648 |
37,06 M |
| 97 |
CNP
|
CENTERPOINT ENERGY INC |
0,37% |
940.511 |
35,97 M |
| 98 |
METRO INC
|
METRO INC |
0,36% |
528.392 |
35,22 M |
| 99 |
AEE
|
AMEREN CORP |
0,35% |
342.430 |
34,93 M |
| 100 |
EXC
|
EXELON CORP |
0,35% |
751.627 |
34,67 M |
| 101 |
HRB
|
H and R BLOCK INC |
0,35% |
689.350 |
34,29 M |
| 102 |
NKE
|
NIKE INC |
0,35% |
526.200 |
33,99 M |
| 103 |
CXT
|
CRANE NXT CO |
0,34% |
531.822 |
33,64 M |
| 104 |
CVX
|
CHEVRON CORP NEW |
0,33% |
207.398 |
32,71 M |
| 105 |
VALLOUREC SA
|
VALLOUREC SA |
0,31% |
1,63 M |
30,38 M |
| 106 |
PCG
|
PG and E CORP |
0,30% |
1,83 M |
29,27 M |
| 107 |
VLO
|
VALERO ENERGY CORP |
0,29% |
168.113 |
28,51 M |
| 108 |
FE
|
FIRSTENERGY CORP |
0,29% |
619.063 |
28,37 M |
| 109 |
GEN
|
GEN DIGITAL INC |
0,29% |
1,07 M |
28,15 M |
| 110 |
PSX
|
PHILLIPS 66 |
0,28% |
203.399 |
27,69 M |
| 111 |
SJM
|
JM SMUCKER CO/THE |
0,27% |
254.779 |
26,38 M |
| 112 |
KVUE
|
KENVUE INC |
0,24% |
1,65 M |
23,68 M |
| 113 |
VLTO
|
VERALTO CORP |
0,24% |
239.127 |
23,60 M |
| 114 |
SWX
|
SOUTHWEST GAS HOLDINGS INC |
0,22% |
276.068 |
21,95 M |
| 115 |
GFL
|
GFL ENVIRONMENTAL INC |
0,22% |
490.833 |
21,46 M |
| 116 |
IMPERIAL BRANDS PLC
|
IMPERIAL BRANDS PLC |
0,19% |
463.808 |
18,43 M |
| 117 |
KBR
|
KBR INC |
0,18% |
410.704 |
17,59 M |
| 118 |
ACI
|
ALBERTSONS COS INC |
0,14% |
796.147 |
14,08 M |
| 119 |
COST
|
COSTCO WHOLESALE CORP |
0,10% |
10.296 |
9,38 M |
| 120 |
ROCHE HOLDING AG
|
ROCHE HOLDING AG |
0,09% |
26.993 |
8,74 M |
| 121 |
COLM
|
COLUMBIA SPORTSWEAR CO |
0,03% |
60.098 |
2,98 M |
Showing top 10 of 121 holdings
·
Listed: 97,33%
·
2,67% in other positions
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