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Zusammensetzung von Advent Convertible Bond ETF

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Nettovermögen
28,5 Mio. $
Anleihen
48 von 47 Gesellschaften

Die Anleihen, die er hält

47 Gesellschaften, 48 Anleihen. Nur Emittenten, deren Aktien diese Website bereits abbildet, erscheinen hier.

RangGesellschaftAnleihenWertGewicht
1Barclays Bank plc1986.880 $3,46 %
2Super Micro Computer Inc1912.317,1 $3,20 %
3Workiva Inc1888.555,5 $3,12 %
4Datadog Inc1853.028,3 $2,99 %
5Progress Software Corp1822.324 $2,89 %
6Live Nation Entertainment Inc1746.462,5 $2,62 %
7Coinbase Global Inc1737.662,5 $2,59 %
8PG&E Corp1735.850,4 $2,58 %
9Itron Inc1712.881,3 $2,50 %
10Rivian Automotive Inc1650.437,8 $2,28 %
11Guidewire Software Inc1595.404 $2,09 %
12Enphase Energy Inc1592.121,3 $2,08 %
13Marriott Vacations Worldwide Corp1591.448 $2,08 %
14Cloudflare Inc1584.982 $2,05 %
15Nutanix Inc2574.780 $2,02 %
16Haemonetics Corp1567.763,2 $1,99 %
17Upstart Holdings Inc1546.385,5 $1,92 %
18BlackLine Inc1518.231,3 $1,82 %
19Global Payments Inc1478.537,5 $1,68 %
20Dexcom Inc1434.178,3 $1,52 %
21Meritage Homes Corp1432.192,3 $1,52 %
22Microchip Technology Inc1431.884,9 $1,52 %
23Etsy Inc1430.804,5 $1,51 %
24Enovis Corp1420.356,3 $1,48 %
25Bridgebio Pharma Inc1418.206,3 $1,47 %
26Vertex Inc1413.116 $1,45 %
27Northern Oil & Gas Inc1410.881,3 $1,44 %
28Box Inc1409.530 $1,44 %
29Alphatec Holdings Inc1382.415 $1,34 %
30BILL Holdings Inc1375.966,3 $1,32 %
31ON Semiconductor Corp1369.569 $1,30 %
32Akamai Technologies Inc1360.763,2 $1,27 %
33Winnebago Industries Inc1352.842 $1,24 %
34Amphastar Pharmaceuticals Inc1346.406 $1,22 %
35Lantheus Holdings Inc1337.270,3 $1,18 %
36Strategy Inc1329.832,3 $1,16 %
37Array Technologies Inc1297.569 $1,04 %
38Lyft Inc1291.587,2 $1,02 %
39Five9 Inc1284.406 $1,00 %
40Shake Shack Inc1280.212,5 $0,98 %
41Parsons Corp1278.250 $0,98 %
42Integer Holdings Corp1277.065 $0,97 %
43Varonis Systems Inc1274.576,3 $0,96 %
44Repligen Corp1261.690 $0,92 %
45Snap Inc1257.303 $0,90 %
46Vishay Intertechnology Inc1212.957,5 $0,75 %
47Guardant Health Inc1212.124,9 $0,74 %
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