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Zusammensetzung von Xtrackers High Beta High Yield Bond ETF

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Nettovermögen
40 Mio. $
Anleihen
197 von 93 Gesellschaften

Die Anleihen, die er hält

93 Gesellschaften, 197 Anleihen. Nur Emittenten, deren Aktien diese Website bereits abbildet, erscheinen hier.

RangGesellschaftAnleihenWertGewicht
1Cleveland-Cliffs Inc6412.128,6 $1,03 %
2Nissan Motor Co Ltd4370.018,9 $0,92 %
3Clear Channel Outdoor Holdings Inc5356.178,5 $0,89 %
4Gray Media Inc5335.939,5 $0,84 %
5NRG Energy Inc3328.270,9 $0,82 %
6ICAHN ENTERPRISES LP5293.635,1 $0,73 %
7SM Energy Co4285.161,2 $0,71 %
8Post Holdings Inc4267.052,8 $0,67 %
9Bausch Health Cos Inc7264.569,6 $0,66 %
10Service Properties Trust7255.761,2 $0,64 %
11Caesars Entertainment Inc3252.836 $0,63 %
12First Quantum Minerals Ltd3233.865,8 $0,58 %
13Newell Brands Inc5231.963,6 $0,58 %
14Six Flags Entertainment Corp4217.282,9 $0,54 %
15Albertsons Cos Inc2195.940,2 $0,49 %
16PennyMac Financial Services Inc4185.241,8 $0,46 %
17Comstock Resources Inc3170.594,4 $0,43 %
18Advance Auto Parts Inc3167.735,1 $0,42 %
19Organon & Co3160.843,6 $0,40 %
20Navient Corp4157.348,5 $0,39 %
21SUNOCO LP3153.593 $0,38 %
22Rakuten Group Inc1149.858,3 $0,37 %
23Snap Inc2144.543,6 $0,36 %
24goeasy Ltd5143.133 $0,36 %
25JetBlue Airways Corp1140.366,8 $0,35 %
26Chemours Co/The3127.159,6 $0,32 %
27Builders FirstSource Inc2126.234,5 $0,32 %
28YEOMAN CAPITAL SA1125.712,4 $0,31 %
29IHS Holding Ltd3122.659,6 $0,31 %
30Delek Logistics Partners LP2120.701,1 $0,30 %
31Viasat Inc2113.614,6 $0,28 %
32USA Compression Partners LP2110.820,6 $0,28 %
33ALTICE FRANCE HOLDING SA1108.060,3 $0,27 %
34Molina Healthcare Inc2106.397,6 $0,27 %
35Goodyear Tire & Rubber Co/The3105.067,3 $0,26 %
36B&G Foods Inc298.356,1 $0,25 %
37GEO Group Inc/The290.693,1 $0,23 %
38Energizer Holdings Inc289.514,1 $0,22 %
39Genesis Energy LP288.487,6 $0,22 %
40Northern Oil & Gas Inc285.413,4 $0,21 %
41EquipmentShare.com Inc284.341,3 $0,21 %
42Magnera Corp283.979,1 $0,21 %
43Rithm Capital Corp283.510,7 $0,21 %
44Millicom International Cellular SA282.790,3 $0,21 %
45AMC Networks Inc279.090,1 $0,20 %
46Genmab A/S176.443,2 $0,19 %
47Herc Holdings Inc176.155,6 $0,19 %
48Forvia SE274.029,9 $0,19 %
49DaVita Inc173.819,5 $0,18 %
50Commercial Metals Co173.788 $0,18 %
51Versant Media Group Inc168.609,9 $0,17 %
52INVERSION ESCROW IS 6.75%167.984 $0,17 %
53CVR Energy Inc266.363,1 $0,17 %
54LGI Homes Inc266.216,7 $0,17 %
55Acadia Healthcare Co Inc264.124,5 $0,16 %
56FMC Corp260.725,7 $0,15 %
57Encore Capital Group Inc260.290,9 $0,15 %
58Scotts Miracle-Gro Co/The259.889 $0,15 %
59Global Partners LP/MA257.701 $0,14 %
60Medical Properties Trust Inc157.082,5 $0,14 %
61Synchrony Financial155.919,4 $0,14 %
62Bath & Body Works Inc155.355 $0,14 %
63Mercer International Inc255.296,6 $0,14 %
64Mineral Resources Ltd154.737,5 $0,14 %
65MGM Resorts International154.432,2 $0,14 %
66Kosmos Energy Ltd253.765 $0,13 %
67Brightstar Lottery PLC153.696,5 $0,13 %
68ams-OSRAM AG153.391 $0,13 %
69EW Scripps Co/The153.268,3 $0,13 %
70Whirlpool Corp148.935,4 $0,12 %
71Terex Corp147.407,3 $0,12 %
72Asbury Automotive Group Inc144.762,4 $0,11 %
73Gap Inc/The142.839,8 $0,11 %
74PRA Group Inc140.750 $0,10 %
75Golar LNG Ltd140.273,2 $0,10 %
76Sonic Automotive Inc138.667,3 $0,10 %
77Avis Budget Group Inc138.375,5 $0,10 %
78Accendra Health Inc237.539,7 $0,09 %
79Olin Corp137.153,4 $0,09 %
80VF Corp134.917,2 $0,09 %
81Bread Financial Holdings Inc134.682,9 $0,09 %
82Suburban Propane Partners LP133.729,4 $0,08 %
83Brink's Co/The133.145,1 $0,08 %
84Kohl's Corp133.029,1 $0,08 %
85Travel + Leisure Co131.532,2 $0,08 %
86Xerox Holdings Corp231.052,6 $0,08 %
87Enova International Inc130.485,5 $0,08 %
88Century Communities Inc129.490,5 $0,07 %
89Cable One Inc129.111 $0,07 %
90Under Armour Inc126.918,9 $0,07 %
91Edgewell Personal Care Co126.074,3 $0,07 %
92TransAlta Corp125.170,9 $0,06 %
93California Resources Corp119.360,1 $0,05 %
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