SPDR S&P U.S. Financials Select Sector UCITS

ISINIE00BWBXM500
TickerZPDF.XETRA
Backtest this ETF
Category
ETF
Data available from
Jul 31, 2015
Underlying assets
76

Metrics at a glance

CAGR
+11.01%
Volatility
19.67%
Sharpe
0.46
Sortino
0.47
Calmar
0.31
Ulcer Index
8.98
Max Drawdown
28.68%
VaR 95%
7.81%
VaR 99%
12.12%
% Positive Months
58.33%

Performance over time

Rolling returns

Return computed over every rolling window of the selected length.

Fund composition

Estimated country, currency, and sector allocation from the underlying holdings.

SPDR S&P U.S. Financials Select Sector UCITS

Click a row name to exclude it from the calculation (remaining slices are renormalized).

98.5%
1.5%

Top holdings

Top 10 Weight

56.4%

Total Assets

76

HHI

0.000

  1. Berkshire Hathaway Inc Class B
    12.5%
  2. JPMorgan Chase &
    11.3%
  3. Visa Inc Class A
    7.2%
  4. Mastercard Inc Class A
    5.8%
  5. Bank of America
    4.6%
  6. The Goldman Sachs Group
    3.6%
  7. Wells Fargo &
    3.5%
  8. Citigroup
    2.8%
  9. Morgan Stanley
    2.8%
  10. American Express
    2.3%

Explore this ETF in the Backtester

Compare it with other assets, change the time horizon, and explore the full analysis.