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NULV

ETF
NULV · UNKNOWN · 104 holdings
KWD 46.91
▼ KWD 0.44 (-0.93%)
Day Range
52-Week Range
Volume
فتح —
متوسط 50 يوم / 200 يوم
متوسط 50 يوم / 200 يوم

About NULV

No description available for this ETF.

Fund Details

Expense Ratio
Inception Date
Prev. Close
KWD 47.35
Exchange
UNKNOWN
Currency
USD
Holdings As Of
Apr 10, 2026
Tracked Holdings
97.1%
HHI Score
141.14
Top Sector
Financial Services (19.806502%)

Performance

Low (14.8%) ↗ Accelerating
1W
▲ 2.00%
1M
▲ 0.97%
3M
▲ 2.54%
6M
▲ 7.03%
YTD
▲ 4.13%
1Y
▲ 30.23%
3Y
▲ 38.70%

1W return (+2.0%) exceeds 1M (+0.97%) — momentum is building

Price History

Concentration Risk

21.75% Well Diversified
Diversified Concentrated

The top 10 holdings represent 21.75% of the fund. This ETF is well diversified across its holdings, reducing single-stock risk.

Top Holdings Today

Weighted by position size
PG
▼ -1.02%
BAC
▼ -0.32%
KO
▼ -0.91%
C
▼ -0.42%
DIS
▼ -0.62%
IBM
▼ -2.71%
CRM
▼ -3.45%
MRK
▼ -1.03%
AXP
▼ -1.34%
VZ
▼ -2.19%
Weighted avg. of top holdings ▼ -1.36%

Sector Allocation

Financial Services
19.81%
Technology
15.37%
Industrials
13.28%
Healthcare
12.94%
Consumer Defensive
9.75%
Communication Services
7.58%
Consumer Cyclical
5.07%
Energy
4.43%
Utilities
4.23%
Real Estate
3.13%
Basic Materials
1.78%

Top 10 Holdings

21.75% of fund
PG Procter & Gamble Co/The
2.51%
BAC Bank of America Corp
2.43%
KO Coca-Cola Co/The
2.29%
C Citigroup Inc
2.24%
DIS Walt Disney Co/The
2.18%
IBM International Business Machines Corp
2.12%
CRM Salesforce Inc
2.11%
MRK Merck & Co Inc
2.03%
AXP American Express Co
1.93%
VZ Verizon Communications Inc
1.92%
Other positions
0.27%

All Holdings (104)

Top 10: 21.75% of fund
# Ticker Name Weight Shares Market Value
1 PG Procter & Gamble Co/The 2.51% 288,945 43.48 M
2 BAC Bank of America Corp 2.43% 889,581 42.05 M
3 KO Coca-Cola Co/The 2.29% 584,555 39.69 M
4 C Citigroup Inc 2.24% 414,509 38.84 M
5 DIS Walt Disney Co/The 2.18% 317,351 37.80 M
6 IBM International Business Machines Corp 2.12% 145,132 36.74 M
7 CRM Salesforce Inc 2.11% 141,561 36.57 M
8 MRK Merck & Co Inc 2.03% 451,113 35.24 M
9 AXP American Express Co 1.93% 111,705 33.43 M
10 VZ Verizon Communications Inc 1.92% 780,379 33.37 M
Showing top 10 of 104 holdings · Listed: 99.73% · 0.27% in other positions

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