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INRL.L Holdings

Amundi MSCI India Swap UCITS ETF USD Acc
1W: -2.9% 1M: -5.6% 3M: -7.2% YTD: -12.7% 1Y: -12.2% 3Y: -0.7% 5Y: +9.4%
£2,050.00 ($27.13)
-8.75 (-0.43%)
 
Weekly Expected Move ±1.9%
£1982 £2021 £2059 £2097 £2135
ETF LSE · AUM £7.7M
ETF-Level Metrics
AUM$8M
Holdings—
Top 10 Wt—%
Beta0.30
% Profitable—%
Coverage99%
Portfolio Valuation
P/E31.9
P/B11.9
P/S6.6
EV/EBITDA22.1
P/FCF42.7
PEG1.18
Profitability & Returns
Gross Margin49.9%
Net Margin20.3%
ROE43.3%
ROA17.2%
ROIC28.5%
Div Yield1.34%
Leverage & Liquidity
Debt/Equity0.53
Debt/Assets0.22
Net Debt/EBITDA0.3x
Interest Cov25.0x
Current Ratio0.98
Quick Ratio0.88
Growth (YoY)
Revenue+22.1%
Net Income+26.8%
EPS+20.9%
FCF+40.8%
EBITDA+25.0%
Rev CAGR 3Y+16.5%
Quality Scores
Piotroski F6.6
Altman Z8.65
IS Quality72.8
IS Overall64.6
IS Value46.6
Median P/E23.9

Sector Breakdown

11 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 14 27.6% 579.9
Healthcare 11 26.6% 19.4
Industrials 8 12.0% 33.0
Consumer Cyclical 7 11.8% 60.2
Communication Services 5 10.4% 15.2
Consumer Defensive 5 5.1% 21.8
Financial Services 3 4.7% 10.0
Other 4 1.8% —
Energy 1 0.5% 19.7
Basic Materials 2 0.0% 61.5
Utilities 1 0.0% 17.1

Smart Money Overlap

4 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
AVGO Broadcom Inc. 4.60% 4 Bullish 1 14 -0.1%
INTC Intel Corp. 2.54% 4 Bullish 1 6 +22.1%
ADBE Adobe Inc. 0.17% 4 Bullish 1 6 -12.9%
HUM Humana Inc. 0.00% 3 Bullish 0 3 +102.1%
Showing 50 of 61 holdings · Page 1 of 2
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 UNITEDHEALTH GROUP INC UNH 8.96% $6.7B 237,426 23.9 $337.7B Healthcare
2 GILEAD SCIENCES INC GILD 8.40% $6.3B 551,796 -55.7 $179.5B Healthcare
3 APPLE INC AAPL 7.40% $5.5B 223,143 38.1 $4.9T Technology
4 META PLATFORMS INC-CLASS A META 6.92% $5.2B 93,031 27.1 $1.9T Communication Services
5 ABBVIE INC ABBV 4.83% $3.6B 182,202 74.0 $464.3B Healthcare
6 NVIDIA CORP NVDA 4.61% $3.4B 201,675 29.4 $5.7T Technology
7 BROADCOM INC AVGO 4.60% $3.4B 128,736 44.1 $1.7T Technology
8 COSTCO WHOLESALE CORP COST 4.50% $3.4B 48,348 33.3 $408.3B Consumer Defensive
9 AMAZON.COM INC AMZN 4.49% $3.3B 180,676 20.0 $2.7T Consumer Cyclical
10 3M CO MMM 4.47% $3.3B 263,625 28.6 $83.5B Industrials
11 PNC FINANCIAL SERVICES GROUP PNC 4.41% $3.3B 197,736 12.2 $88.2B Financial Services
12 BOOKING HOLDINGS INC BKNG 4.40% $3.3B 269,003 17.5 $123.2B Consumer Cyclical
13 THERMO FISHER SCIENTIFIC INC TMO 3.70% $2.8B 54,083 35.2 $242.1B Healthcare
14 MICRON TECHNOLOGY INC MU 2.90% $2.2B 27,048 14.3 $1.2T Technology
15 INTEL CORP INTC 2.54% $1.9B 217,469 -56.6 $601.9B Technology
16 LEGRAND SA LR.PA 2.43% $1.8B 148,835 28.8 $37.9B Industrials
17 RTX CORP RTX 2.33% $1.7B 124,047 32.1 $248.9B Industrials
18 SAFRAN SA SAF.PA 2.31% $1.7B 60,480 35.5 $137.5B Industrials
19 MARVELL TECHNOLOGY INC MRVL 2.19% $1.6B 82,616 89.3 $238.5B Technology
20 TEXAS INSTRUMENTS COM USD1 TXN 2.00% $1.5B 70,686 44.4 $268.3B Technology
21 ALPHABET INC CL A GOOGL 1.84% $1.4B 53,635 16.9 $4.2T Communication Services
22 AT&T INC T 1.27% $950.2M 516,717 8.0 $166.5B Communication Services
23 TESLA INC TSLA 1.25% $935.6M 35,297 314.1 $1.5T Consumer Cyclical
24 L OREAL PRIME FIDELITE Private — 1.03% $771.0M 23,771 — — —
25 ELI LILLY & CO LLY 0.74% $549.4M 6,174 38.2 $1.1T Healthcare
26 CAPGEMINI SE CAP.PA 0.74% $548.8M 62,245 13.4 $18.1B Technology
27 HOME DEPOT INC HD 0.65% $485.9M 22,458 19.8 $282.0B Consumer Cyclical
28 PERNOD RICARD RI.PA 0.53% $395.5M 77,384 12.3 $14.8B Consumer Defensive
29 MICHELIN (CGDE) ML.PA 0.49% $368.5M 127,580 14.4 $22.4B Consumer Cyclical
30 ENGIE PRIME DE FIDELITE Private — 0.49% $368.4M 187,839 — — —
31 VALEO FR.PA 0.47% $352.6M 283,974 17.2 $3.4B Consumer Cyclical
32 THALES SA HO.PA 0.47% $347.2M 17,988 30.6 $45.8B Industrials
33 ADVANCED MICRO DEVICES AMD 0.46% $345.3M 7,565 160.9 $1.0T Technology
34 CHEVRON CORP CVX 0.46% $344.1M 22,412 19.7 $411.8B Energy
35 SCOR SE SCR.PA 0.29% $216.8M 77,292 6.9 $5.7B Financial Services
36 SODEXO-ACT PROV PRIME DE FIDELITE Private — 0.25% $186.4M 38,896 — — —
37 ORANGE ORA.PA 0.24% $178.5M 152,612 9.6 $37.2B Communication Services
38 PUBLICIS GROUPE SA PUB.PA 0.18% $131.9M 16,168 14.6 $23.6B Communication Services
39 ADOBE INC ADBE 0.17% $124.8M 7,127 13.2 $94.5B Technology
40 COCA-COLA CO/THE KO 0.09% $64.2M 9,835 25.7 $368.5B Consumer Defensive
41 ARKEMA AKE.PA 0.02% $17.4M 3,669 94.5 $4.1B Basic Materials
42 MCDONALD S CORP COM NPV MCD 0.01% $6.5M 371 18.8 $164.8B Consumer Cyclical
43 WESTERN DIGITAL CORPORATION WDC 0.01% $4.5M 133 15.3 $143.1B Technology
44 CROWDSTRIKE HOLDINGS INC - A CRWD 0.01% $4.1M 210 7671.6 $275.0B Technology
45 SALESFORCE COM CRM 0.00% $3.2M 192 21.3 $192.2B Technology
46 DUKE ENERGY DUK 0.00% $3.2M 370 17.1 $89.0B Utilities
47 VULCAN MATERIALS CO VMC 0.00% $3.2M 173 28.6 $31.5B Basic Materials
48 JOHNSON & JOHNSON JNJ 0.00% $3.1M 156 29.6 $617.0B Healthcare
49 COMFORT SYSTEMS USA INC FIX 0.00% $3.1M 25 42.5 $60.9B Industrials
50 EXPEDITORS INTL WASH INC EXPD 0.00% $3.0M 211 27.9 $25.2B Industrials

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms