Amundi
CI2.PA
LU1681043086
Amundi MSCI India Swap II UCITS ETF EUR Acc
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Analytics & Allocation

Detailed breakdown by growth drivers, valuation & quality, and asset allocation

Synthetic Replication Note (Swap ETF)

Synthetic (Swap)

The reported holdings, valuation ratios (P/E, etc.), and analyst estimates reflect the fund's underlying collateral/substitute basket, not the actual composition of the tracked index.

Growth Drivers (Estimates)

Largest contributors to earnings and revenue growth

Balance Sheet & Financial Health

Aggregated leverage and valuation structure

Weighted P/E
19.1
Weighted Fwd P/E
12.87
Avg P/FCF
24.57
Avg FCF Yield
1.43%
Avg EV / EBITDA
19.05
Avg EV / Revenue
7.69
Avg Price-to-Book (P/B)
8.36
Avg Price-to-Sales (P/S)
6.77
Avg Dividend Yield
0.00%
P/E Compression (Trailing vs Fwd)
-32.61%
Avg Debt-to-Equity (D/E)
69.91%
<50% (37.29%) 50-150% (27.29%) >150% (12.27%) Unreported (23.15%)

Profitability Analysis

45 Holdings Count
Profitable 98.6%
Profitable 98.6%
43 Holdings Count (95.56%)
Unprofitable 1.4%
2 Holdings Count (4.44%)

ETF Concentration (Cumulative Weight)

Cumulative weight of positions (Lorenz curve)

Moderate Concentration
Top 5
30.1%
Top 10
51.9%
Top 25
92.2%
50% Threshold
Top 10
The top 10 positions account for 51.9% of the portfolio. A healthy balance between a strong core and diversification. The steeper the curve initially rises, the more the largest positions dominate the fund volume.

Geographic Distribution

3 Countries
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0% (No exposure)
Tiers:
Low (0.1%+)
Med (19.0%+)
High (49.3%+)
Top (68.3%+)

Country Breakdown

Max: 75.91%
US US US
75.91%
FR FR FR
22.68%
CH CH CH
0.33%

Sector Distribution

12 Sector
Technology
33.61%
Healthcare
15.99%
Financial Services
15.41%
Communication Services
13.59%
Consumer Defensive
5.81%
Energy
4.74%
Utilities
4.01%
Real Estate
2.81%
Other
4.23%

Industry Distribution

31 Industries
Semiconductors
13.85%
Software - Infrastructure
9.22%
Drug Manufacturers - General
8.49%
Telecom Services
6.80%
Internet Content & Information
6.79%
Banks - Regional
6.37%
Insurance - Diversified
4.65%
Oil & Gas Integrated
4.63%
Other
39.40%

Market Cap Distribution

45 Holdings Count
Mega Cap (> 200B)
(10) 39.35%
Large Cap (10B - 200B)
(29) 56.28%
Mid Cap (2B - 10B)
(5) 3.29%
Unclassified
(1) 1.28%
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