Toga Ui B (0P0000NAT1)

86.900 -0.520 (-0.59%)
Closed EUR Disclaimer
4.74M
Asset Allocation
Asset
Net %
Long %
Short %
Cash
2.9 3.51 0.61
Shares
84.21 84.21 0
Other, Net
12.89 12.89 0
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Value & Growth Measures
Ratios
Value
Category Average
P/E Ratio 12.75 16.16
Price to Book 2.13 2.33
Price to Sales 0.73 1.68
Price to Free Cash Flow 6.99 9.53
Dividend (Yield) 3.16 2.5
5 Years Earnings Growth 18.21 11.17
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Sector Allocation
Ratios
Value
Category Average
Energy 17.920 4.657
Financial Services 15.940 15.067
Technology 15.410 19.381
Consumer Cyclical 15.260 12.185
Healthcare 13.410 12.468
Basic Materials 8.960 7.112
Industrials 8.030 12.265
Communication Services 2.620 7.150
Utilities 2.460 3.509
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Ratios
Value
Category Average
Cash 2.907 164.553
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Region Allocation
North America
Latin America
Europe Developed
Emerging Market
Developed Market
Top Holdings
Name
Weight %
Chg. %
Last
France Lyxor Euro Overnight Return UCITS Acc 12.89 -0.02% 108.01
USA McKesson 3.03 +1.57% 564.48
USA Fair Isaac 2.99 +0.52% 1,411.80
USA General Electric 2.81 -0.76% 159.90
Italy UniCredit 2.74 -0.08% 36.280
USA Cardinal Health 2.48 +0.36% 99.06
USA Marathon Petroleum 2.44 +2.84% 179.73
USA NVIDIA 2.40 -1.99% 924.79
Spain Caixabank 2.36 +1.37% 4.890
France TotalEnergies SE 2.30 +0.74% 66.95
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