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DBXU.DE Holdings

Xtrackers MSCI USA Swap UCITS ETF
1W: -2.9% 1M: -11.8% 3M: -10.5% 1Y: +8.5% 3Y: +30.3% 5Y: +117.5%
€173.34
Last traded 2025-03-14 — delisted
ETF XETRA · AUM €6.2B
ETF-Level Metrics
AUM$6.2B
Holdings—
Top 10 Wt—%
Beta1.00
% Profitable—%
Coverage100%
Portfolio Valuation
P/E29.7
P/B10.5
P/S8.3
EV/EBITDA20.8
P/FCF54.5
PEG0.62
Profitability & Returns
Gross Margin52.9%
Net Margin28.0%
ROE41.7%
ROA19.3%
ROIC28.3%
Div Yield0.82%
Leverage & Liquidity
Debt/Equity0.37
Debt/Assets0.18
Net Debt/EBITDA-0.0x
Interest Cov36.1x
Current Ratio1.26
Quick Ratio1.14
Growth (YoY)
Revenue+31.7%
Net Income+46.8%
EPS+45.5%
FCF+46.7%
EBITDA+43.3%
Rev CAGR 3Y+27.3%
Quality Scores
Piotroski F6.6
Altman Z14.55
IS Quality76.5
IS Overall66.7
IS Value46.4
Median P/E21.5

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 73 47.3% 142.1
Consumer Cyclical 16 11.7% 18.7
Healthcare 33 9.5% 15.8
Communication Services 16 8.6% 11.1
Financial Services 34 7.0% 14.5
Industrials 28 4.3% 14.8
Consumer Defensive 12 3.7% 26.8
Basic Materials 10 2.9% 17.9
Energy 5 2.4% 19.0
Utilities 7 1.4% 14.2
Real Estate 9 1.0% 23.4
Other 3 0.0% —

Smart Money Overlap

16 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
BRK-B Berkshire Hathaway Inc. 1.32% 4 Bullish 3 3 -1.4%
ORCL Oracle Corporation 0.70% 4 Bullish 1 3 +3.3%
SCHW The Charles Schwab Corporation 0.35% 4 Bullish 1 4 +10.4%
ADSK Autodesk, Inc. 0.31% 4 Bullish 5 1 +12.3%
INTC Intel Corp. 0.31% 4 Bullish 1 6 +22.1%
INTU Intuit Inc. 0.26% 4 Bullish 2 15 -19.8%
AVGO Broadcom Inc. 0.17% 4 Bullish 1 14 -0.1%
BX Blackstone Inc. 0.11% 4 Bullish 10 3 -6.3%
ADP Automatic Data Processing, Inc. 0.10% 4 Bullish 1 3 +16.1%
SPGI S&P Global Inc. 0.08% 4 Bullish 3 21 +3.4%
MKL Markel Corporation 0.07% 4 Bullish 3 4 -3.5%
SPG Simon Property Group, Inc. 0.07% 4 Bullish 39 4 +0.1%
TFC Truist Financial Corporation 0.05% 4 Bullish 1 2 -4.1%
TXT Textron Inc. 0.00% 4 Bullish 1 2 -18.4%
HUM Humana Inc. 0.31% 3 Bullish 0 3 +102.1%
P Everpure, Inc. 0.08% 3 Bullish 0 2 +89.5%
Showing 50 of 246 holdings · Page 1 of 5
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 NVIDIA NVDA 7.51% $607.6M 3,003,340 29.4 $5.7T Technology
2 AMAZON COM INC AMZN 5.53% $447.2M 2,026,111 20.0 $2.7T Consumer Cyclical
3 MICROSOFT MSFT 5.28% $426.9M 939,551 28.8 $3.8T Technology
4 APPLE AAPL 5.12% $414.1M 1,403,707 38.1 $4.9T Technology
5 ALPHABET CLASS A GOOGL 3.85% $311.7M 1,022,447 16.9 $4.2T Communication Services
6 MICRON TECHNOLOGY MU 2.93% $237.3M 251,478 14.3 $1.2T Technology
7 ELI LILLY LLY 2.84% $229.8M 224,166 38.2 $1.1T Healthcare
8 TESLA INC TSLA 2.84% $229.6M 730,515 314.1 $1.5T Consumer Cyclical
9 ADVANCED MICRO DEVICES AMD 2.22% $179.7M 331,604 160.9 $1.0T Technology
10 SALESFORCE CRM 2.11% $170.7M 839,375 21.3 $192.2B Technology
11 UNITEDHEALTH GROUP UNH 1.90% $153.6M 472,345 23.9 $337.7B Healthcare
12 ANALOG DEVICES ADI 1.73% $139.8M 397,698 49.3 $203.2B Technology
13 PALANTIR TECHNOLOGIES CLASS A PLTR 1.70% $137.4M 828,919 149.8 $433.4B Technology
14 LAM RESEARCH LRCX 1.59% $128.9M 443,054 60.0 $434.6B Technology
15 SANDISK SNDK 1.52% $122.7M 79,615 22.1 $254.7B Technology
16 EXXONMOBIL HOLDINGS CORP XOM 1.51% $122.2M 846,565 21.1 $679.7B Energy
17 BOOKING HOLDINGS BKNG 1.50% $120.9M 838,028 17.5 $123.2B Consumer Cyclical
18 WALMART WMT 1.41% $114.1M 1,239,382 37.6 $829.7B Consumer Defensive
19 CROWDSTRIKE HOLDINGS CLASS A CRWD 1.39% $112.5M 479,864 7671.6 $275.0B Technology
20 BERKSHIRE HATHAWAY INC CLASS B BRK-B 1.32% $106.8M 241,783 12.7 $1.1T Financial Services
21 WELLS FARGO WFC 1.29% $104.3M 1,469,590 11.5 $243.3B Financial Services
22 LUMENTUM HOLDINGS LITE 1.27% $102.9M 119,589 -11.7 $84.4B Technology
23 EATON PLC 0Y3K.L 1.19% $96.4M 252,616 44.2 $169.7B Industrials
24 PALO ALTO NETWORKS PANW 1.17% $94.9M 269,526 876.6 $328.6B Technology
25 META PLATFORMS CLASS A META 1.16% $94.2M 146,623 27.1 $1.9T Communication Services
26 KLA KLAC 1.15% $92.8M 537,272 56.2 $270.3B Technology
27 NEWMONT NEM 1.10% $89.2M 873,044 14.5 $121.8B Basic Materials
28 GILEAD SCIENCES GILD 1.05% $85.0M 643,809 -55.7 $179.5B Healthcare
29 DEUTSCHE TELEKOM N AG DTE.DE 1.04% $84.4M 3,219,815 14.8 $128.5B Communication Services
30 COCA-COLA KO 1.04% $84.0M 1,101,623 25.7 $368.5B Consumer Defensive
31 ALPHABET CLASS C GOOG 0.98% $79.4M 263,139 16.9 $4.1T Communication Services
32 TEXAS INSTRUMENT INC TXN 0.94% $75.9M 305,948 44.4 $268.3B Technology
33 HEWLETT PACKARD ENTERPRISE HPE 0.87% $70.2M 1,240,471 34.5 $91.8B Technology
34 MARVELL TECHNOLOGY MRVL 0.79% $63.9M 273,188 89.3 $238.5B Technology
35 DUKE ENERGY CORP DUK 0.79% $63.8M 631,823 17.1 $89.0B Utilities
36 LINDE PLC LIN.DE 0.77% $62.1M 148,122 30.8 $198.0B Basic Materials
37 COUPANG CLASS A CPNG 0.77% $61.9M 5,036,006 -31.7 $24.8B Consumer Cyclical
38 SHOPIFY SUBORDINATE VOTING CLASS A SHOP.TO 0.76% $61.8M 471,202 101.6 $280.1B Technology
39 ORACLE ORCL 0.70% $56.3M 462,715 22.0 $409.9B Technology
40 CME GROUP CLASS A CME 0.62% $49.8M 214,372 22.2 $94.6B Financial Services
41 GENERAL DYNAMICS CORP GD 0.61% $49.0M 166,594 19.8 $89.3B Industrials
42 MOTOROLA SOLUTIONS INC MSI 0.59% $47.5M 120,077 34.8 $74.3B Technology
43 NU HOLDINGS CLASS A NU 0.56% $45.1M 4,018,834 18.1 $65.0B Financial Services
44 COSTCO WHOLESALE CORP COST 0.53% $42.6M 52,771 33.3 $408.3B Consumer Defensive
45 BOEING BA 0.52% $42.1M 255,549 72.5 $153.0B Industrials
46 BANK OF NEW YORK MELLON CORP BNY 0.49% $39.5M 308,188 16.8 $99.8B Financial Services
47 BIO TECHNE TECH 0.48% $38.4M 598,771 61.9 $11.3B Healthcare
48 WALT DISNEY DIS 0.46% $37.5M 402,962 21.0 $177.5B Communication Services
49 DELL TECHNOLOGIES INC (TEXAS) DELL 0.43% $34.5M 72,390 32.2 $373.6B Technology
50 WASTE MANAGEMENT INC WM 0.42% $34.1M 188,976 28.8 $81.7B Industrials
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms