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RYLIX

Rydex Leisure Inv
1W: -1.8% 1M: -0.7% 3M: -1.4% YTD: -5.3% 1Y: -7.6% 3Y: +21.2% 5Y: +4.7%
$100.09
+2.32 (+2.37%)
 
Weekly Expected Move ±2.1%
$91 $93 $95 $97 $99
ETF NASDAQ · AUM $14.0M
Key Statistics
AUM$14M
Holdings92
Top 10 Wt29.9%
Volume0
Avg Volume0
Beta0.87
Portfolio Fundamentals
P/E14.8
P/B3.9
Div Yield1.46%
ROE25.1%
% Profitable70%
Inception1998-03-31
Sector Allocation
Consumer Cyclical 48.0%
Communication Services 24.2%
Technology 12.8%
Consumer Defensive 12.0%
Other 2.5%
Industrials 1.0%
+1 more
Top 10 Holdings
# Name Ticker Weight % Market Value Shares
1 Netflix, Inc. NFC.DE 4.96% $244,798 2,546
2 Philip Morris International Inc. PMI.SW 3.81% $188,322 1,139
3 McDonald's Corp. MDO.DE 3.59% $177,461 571
4 Walt Disney Company WDP.F 3.19% $157,678 1,636
5 Booking Holdings Inc BKNG.SW 2.81% $138,941 33
6 Altria Group, Inc. PHM7.DE 2.49% $122,939 1,863
7 Comcast Corporation CTP2.DE 2.44% $120,266 4,189
8 Starbucks Corp. 4337.HK 2.37% $116,915 1,305
9 ROYAL CARIBBEAN CRUISES LTD 0I1W.L 2.11% $104,018 378
10 Marriott International, Inc. 0JYW.L 2.11% $104,008 318

Recent Holding Changes

Date Holding Change Details
2026-02-28 BC New
2026-02-28 CBRL New
2026-02-28 WMG New
2026-02-28 LTH New
2026-02-28 DRI New

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