Global X S&P 500 Annual Tail Hedge UCITS ETF (SPAHLI) Holdings

Geographic Exposure

  • United States
    98.9%

Currency Exposure

  • USD
    98.9%

Sector Exposure

  • Industrials
    18.0%
  • Financials
    17.7%
  • Materials
    13.6%
  • Consumer Staples
    13.4%
  • Health Care
    9.0%
  • Energy
    4.5%
  • Communications
    4.5%
  • Technology
    4.5%
  • Consumer Discretionary
    4.4%

Industry Exposure

  • Banks
    13.1%
  • Electrical Equipment
    9.1%
  • Chemicals
    9.1%
  • Health Care Equipment & Supplies
    4.6%
  • Oil Gas & Consumable Fuels
    4.5%
  • Metals & Mining
    4.5%
  • Media
    4.5%
  • Capital Markets
    4.5%
  • Food Products
    4.5%
  • IT Services
    4.5%
  • Building Products
    4.5%
  • Tobacco
    4.4%
  • Beverages
    4.4%
  • Transportation Infrastructure
    4.4%
  • Biotechnology
    4.4%
  • Specialty Retail
    4.4%

SubIndustry Exposure

  • Diversified Banks
    13.1%
  • Electrical Components & Equipment
    9.1%
  • Specialty Chemicals
    9.1%
  • Life Sciences Tools & Services
    4.6%
  • Oil & Gas Exploration & Production
    4.5%
  • Steel
    4.5%
  • Internet Services & Infrastruc
    4.5%
  • Asset Management & Custody Banks
    4.5%
  • Packaged Foods & Meats
    4.5%
  • IT Consulting & Other Services
    4.5%
  • Building Products
    4.5%
  • Tobacco
    4.4%
  • Brewers
    4.4%
  • Trucking
    4.4%
  • Biotechnology
    4.4%
  • Automotive Retail
    4.4%

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This page (NYSEARCA:SPAHLI) was last updated on 5/15/2024 by MarketBeat.com Staff

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