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STISX

ETF
STISX · UNKNOWN · 30 holdings
KWD 8.39
KWD 0.00 (0.00%)
Day Range
52-Week Range
KWD 7.98 — KWD 8.49
Volume
فتح KWD 8.39
متوسط 50 يوم / 200 يوم
KWD 8.38
0.15% above
متوسط 50 يوم / 200 يوم
KWD 8.37
0.24% above

About STISX

No description available for this ETF.

Fund Details

Expense Ratio
Inception Date
Prev. Close
KWD 8.39
Exchange
UNKNOWN
Currency
USD
Holdings As Of
Apr 10, 2026
Tracked Holdings
90.0%
HHI Score
2785.73
Top Sector
Consumer Cyclical (0.10662%)

Performance

Low (5.6%) ↗ Recovering
1W
▲ 0.96%
1M
▼ -0.12%
3M
0.00%
6M
▲ 0.24%
YTD
0.00%
1Y
▲ 4.88%
3Y
▲ 6.61%

Positive 1W (+0.96%) after negative 1M (-0.12%) — trend may be reversing

Price History

Concentration Risk

70.70% Highly Concentrated
Diversified Concentrated

The top 10 holdings represent 70.70% of the fund. This ETF is heavily concentrated — performance is largely driven by a few stocks.

Top Holdings Today

Weighted by position size
WCC
▲ 1.33%
CZR
▲ 1.66%
LEA
▼ -0.46%
GPK
▲ 0.21%
RRR
▼ -0.35%
DELL
▼ -2.02%
DVN
▼ -0.19%
BYD
▼ -0.38%
Weighted avg. of top holdings ▲ 0.03%

Sector Allocation

Consumer Cyclical
0.11%
Industrials
0.07%
Technology
0.05%
Basic Materials
0.04%
Utilities
0.04%
Consumer Defensive
0.02%
Energy
0.02%
Healthcare
0.01%

Top 10 Holdings

70.70% of fund
Federated Core Trust Federated Core Trust - High Yield Bond Portfolio
47.44%
PRUDENTIAL QMA STRAT PRUDENTIAL QMA STRAT VAL-
23.13%
WCC WESCO International Inc
0.02%
CZR Caesars Entertainment Inc
0.02%
LEA Lear Corp
0.02%
GPK Graphic Packaging Holding Co
0.02%
RRR Red Rock Resorts Inc
0.02%
DELL Dell Technologies Inc
0.02%
DVN Devon Energy Corp
0.02%
BYD Boyd Gaming Corp
0.01%
Other positions
29.07%

All Holdings (30)

Top 10: 70.70% of fund
# Ticker Name Weight Shares Market Value
1 Federated Core Trust Federated Core Trust - High Yield Bond Portfolio 47.44% 42.08 M 268.76 M
2 PRUDENTIAL QMA STRAT PRUDENTIAL QMA STRAT VAL- 23.13% 14.61 M 131.05 M
3 WCC WESCO International Inc 0.02% 480 105,523.2
4 CZR Caesars Entertainment Inc 0.02% 3,640 97,442.8
5 LEA Lear Corp 0.02% 875 96,250.0
6 GPK Graphic Packaging Holding Co 0.02% 4,218 93,934.86
7 RRR Red Rock Resorts Inc 0.02% 1,505 93,114.35
8 DELL Dell Technologies Inc 0.02% 710 86,726.5
9 DVN Devon Energy Corp 0.02% 2,398 86,567.8
10 BYD Boyd Gaming Corp 0.01% 925 79,420.5
Showing top 10 of 30 holdings · Listed: 70.93% · 29.07% in other positions

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