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LCCN
Lyxor MSCI China UCITS ETF
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Holding GB:LCCN?
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GB:LCCN
Holdings Information
LCCN has a total of 49 holdings. The top 10 holdings account for 55.52%.
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Portfolio
Holdings Count
49
Total Assets
412.74M
Top 10 Percentage
55.52%
Asset Class
Equity
Category
Size And Style
Region
Asia-Pacific
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49 Holdings as of Nov 22, 2024
49 Holdings as of Nov 22, 2024
Name
Weight %
Market Value
Price & Change
Market Cap
Yearly Gain
Analyst Consensus
Analyst Price Target
Smart Score
Follow
AVGO
Broadcom Inc.
8.64%
$36.39M
―
$769.80B
68.38%
22
Buy
3
Hold
0
Sell
Strong Buy
―
TXN
Texas Instruments
7.84%
$32.99M
―
$185.12B
32.12%
9
Buy
12
Hold
2
Sell
Moderate Buy
―
MDT
Medtronic
6.80%
$28.61M
―
$109.97B
8.58%
9
Buy
8
Hold
0
Sell
Moderate Buy
―
MU
Micron Technology
5.79%
$24.38M
―
$115.84B
35.92%
23
Buy
1
Hold
1
Sell
Strong Buy
―
CMG
Chipotle Mexican Grill
5.60%
$23.59M
―
$84.48B
39.66%
13
Buy
7
Hold
0
Sell
Moderate Buy
―
PYPL
PayPal Holdings, Inc.
4.61%
$19.39M
―
$87.99B
57.41%
13
Buy
16
Hold
0
Sell
Moderate Buy
―
ON
ON Semiconductor Corporation
4.44%
$18.70M
―
$30.82B
4.49%
16
Buy
4
Hold
1
Sell
Moderate Buy
―
XOM
Exxon Mobil Corp.
4.33%
$18.21M
―
$527.28B
14.73%
12
Buy
7
Hold
1
Sell
Moderate Buy
―
ADI
Analog Devices, Inc.
4.15%
$17.46M
―
$111.01B
22.14%
6
Buy
2
Hold
0
Sell
Strong Buy
―
CL
Colgate-palmolive Company
3.32%
$13.99M
―
$77.89B
23.32%
8
Buy
6
Hold
1
Sell
Moderate Buy
―
Back To Top
Rows:
10
Show More Holdings
Sector Breakdown
36.79%
Technology
22.46%
Consumer Cyclical
12.88%
Financial
11.81%
Healthcare
6.94%
Consumer Defensive
4.33%
Energy
2.56%
Industrials
1.75%
Communication Services
0.32%
Basic Materials
0.16%
Real Estate
36.79%
Technology
Technology
36.79%
Consumer Cyclical
22.46%
Financial
12.88%
Healthcare
11.81%
Consumer Defensive
6.94%
Energy
4.33%
Industrials
2.56%
Communication Services
1.75%
Basic Materials
0.32%
Real Estate
0.16%
Countries Breakdown
95.95%
United States
2.06%
Denmark
1.46%
Sweden
0.54%
Switzerland
95.95%
United States
United States
95.95%
Denmark
2.06%
Sweden
1.46%
Switzerland
0.54%
Breakdown By Smart Score
12.56%
Outperform
10
6.43%
Outperform
9
19.68%
Outperform
8
12.32%
Neutral
7
22.21%
Neutral
6
6.96%
Neutral
5
12.64%
Neutral
4
3.34%
Underperform
3
1.04%
Underperform
2
2.83%
Underperform
1
6
The weighted average smart score of the GB:LCCN ETF is 6
10
12.56%
9
6.43%
8
19.68%
7
12.32%
6
22.21%
5
6.96%
4
12.64%
3
3.34%
2
1.04%
1
2.83%
LCCN ETF FAQ
What are ETF GB:LCCN’s top 3 holdings?
GB:LCCN’s top 3 holdings are AVGO, TXN, MDT.
What is ETF GB:LCCN’s holdings count?
ETF GB:LCCN’s is holdings 49 different assets.
What are the total assets of ETF GB:LCCN?
ETF GB:LCCN’s total assets are 412.74M.
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