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LAUU.L Holdings

Amundi Australia S&P/ASX 200 UCITS ETF Dist
1W: -0.5% 1M: -7.1% 3M: -0.3% YTD: -1.6% 1Y: +7.4% 3Y: +42.8% 5Y: +31.6%
$62.90
+1.07 (+1.74%)
 
Weekly Expected Move ±2.2%
$60 $61 $63 $64 $65
ETF LSE · AUM $151.5M
ETF-Level Metrics
AUM$151M
Holdings—
Top 10 Wt—%
Beta1.32
% Profitable—%
Coverage99%
Portfolio Valuation
P/E36.0
P/B14.9
P/S10.5
EV/EBITDA25.6
P/FCF47.7
PEG1.02
Profitability & Returns
Gross Margin54.1%
Net Margin29.1%
ROE47.3%
ROA22.3%
ROIC31.5%
Div Yield1.34%
Leverage & Liquidity
Debt/Equity0.50
Debt/Assets0.25
Net Debt/EBITDA0.4x
Interest Cov32.4x
Current Ratio1.43
Quick Ratio1.23
Growth (YoY)
Revenue+18.3%
Net Income+36.4%
EPS+38.0%
FCF+45.9%
EBITDA+29.9%
Rev CAGR 3Y+19.7%
Quality Scores
Piotroski F6.7
Altman Z11.46
IS Quality75.2
IS Overall67.7
IS Value48.0
Median P/E19.9

Sector Breakdown

10 sectors
Sector # Holdings Total Weight % Avg P/E
Technology 7 39.5% 26.9
Healthcare 5 22.5% 26.8
Consumer Cyclical 4 12.9% 28.2
Consumer Defensive 3 9.2% 15.4
Basic Materials 1 7.1% 14.5
Utilities 1 4.5% 19.5
Energy 1 2.6% 19.9
Industrials 1 1.5% —
Financial Services 3 0.6% 17.1
Other 1 -0.0% —

Smart Money Overlap

3 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
AVGO Broadcom Inc. 5.39% 4 Bullish 1 14 -0.1%
COR Cencora, Inc. 4.49% 4 Bullish 3 3 +13.9%
ADBE Adobe Inc. 4.39% 4 Bullish 1 6 -12.9%
Showing 27 of 27 holdings · Page 1 of 1
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 NVIDIA CORP NVDA 8.94% $6.9M 30,388 29.4 $5.7T Technology
2 MICROSOFT CORP MSFT 8.07% $6.2M 12,246 28.8 $3.8T Technology
3 NEWMONT CORP USD NEM 7.12% $5.5M 46,955 14.5 $121.8B Basic Materials
4 BROADCOM INC AVGO 5.39% $4.2M 11,730 44.1 $1.7T Technology
5 DARLING INGREDIENTS INC DAR 4.91% $3.8M 62,917 16.7 $10.0B Consumer Defensive
6 GILEAD SCIENCES INC GILD 4.54% $3.5M 23,191 -55.7 $179.5B Healthcare
7 DTE ENERGY COMPANY DTE 4.52% $3.5M 28,515 19.5 $25.9B Utilities
8 MERCK & CO. INC. MRK 4.51% $3.5M 23,309 114.5 $356.4B Healthcare
9 CENCORA INC COR 4.49% $3.5M 11,282 22.9 $60.1B Healthcare
10 ELI LILLY & CO LLY 4.49% $3.5M 2,924 38.2 $1.1T Healthcare
11 WESTERN DIGITAL CORPORATION WDC 4.45% $3.4M 7,580 15.3 $143.1B Technology
12 HCA HEALTHCARE INC HCA 4.44% $3.4M 7,949 14.2 $92.4B Healthcare
13 ADOBE INC ADBE 4.39% $3.4M 14,550 13.2 $94.5B Technology
14 HOME DEPOT INC HD 4.26% $3.3M 11,411 19.8 $282.0B Consumer Cyclical
15 PROCTER & GAMBLE CO/THE PG 4.24% $3.3M 22,061 21.5 $344.5B Consumer Defensive
16 MCDONALD S CORP COM NPV MCD 4.22% $3.3M 13,922 18.8 $164.8B Consumer Cyclical
17 PAYLOCITY HOLDING CORP PCTY 4.20% $3.2M 22,793 29.0 $7.7B Technology
18 GARMIN LTD GRMN 4.03% $3.1M 10,730 28.8 $54.2B Technology
19 STARBUCKS CORP SBUX 3.72% $2.9M 30,131 54.4 $108.0B Consumer Cyclical
20 KINDER MORGAN INC KMI 2.55% $2.0M 64,677 19.9 $69.2B Energy
21 FORGENT POWER SOLUTIONS-CL A FPS 1.48% $1.1M 30,724 — $10.5B Industrials
22 AMAZON.COM INC AMZN 0.66% $509,565 2,068 20.0 $2.7T Consumer Cyclical
23 BLACKROCK INC BLK 0.38% $296,568 278 25.0 $164.2B Financial Services
24 MORGAN STANLEY MS 0.11% $88,574 460 15.3 $300.2B Financial Services
25 REGIONS FINANCIAL CORP RF 0.11% $81,147 3,021 10.9 $23.1B Financial Services
26 MCCORMICK & CO-NON VTG SHRS MKC 0.04% $29,927 619 8.1 $12.0B Consumer Defensive
27 CASH Cash — -0.03% $-19,581 1 — — —

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