Key details about this asset
Currency:
EUR
Ticker:
PAEEM
Exchange:
Euronext Paris
Asset type:
ETF
ISIN:
FR0013412020
First trade date:
April 25, 2019
Fees:
0.30%
Avg. daily volume:
39,120
Generated by AI based on asset data
Buy/sell signal from 7 technical indicators
Key details about this asset
Currency:
EUR
Ticker:
PAEEM
Exchange:
Euronext Paris
Asset type:
ETF
ISIN:
FR0013412020
First trade date:
April 25, 2019
Fees:
0.30%
Avg. daily volume:
39,120
Generated by AI based on asset data
Buy/sell signal from 7 technical indicators
Europe
100.00%
France
100.00%
Buy/sell signal from 7 technical indicators, based on 208 trading days
84
Strong Buy
RSI
59
Momentum
100
MACD
65
Stochastic
25
CCI
50
Highs/Lows
59
Ult. Oscillator
50
Volume (info)
75
Volatility
27.4%
Sensitive
44.55%
Cyclical
41.59%
Defensive
13.86%
Information Technology
21.78%
Financials
20.79%
Consumer Discretionary
12.87%
Communication Services
9.90%
Energy
6.93%
Industrials
5.94%
Consumer Staples
4.95%
Materials
4.95%
Utilities
4.95%
Health Care
3.96%
Real Estate
2.98%
Buy/sell signal from 7 technical indicators, based on 208 trading days
84
Strong Buy
RSI
59
Momentum
100
MACD
65
Stochastic
25
CCI
50
Highs/Lows
59
Ult. Oscillator
50
Volume (info)
75
Volatility
27.4%
Sensitive
44.55%
Cyclical
41.59%
Defensive
13.86%
Information Technology
21.78%
Financials
20.79%
Consumer Discretionary
12.87%
Communication Services
9.90%
Energy
6.93%
Industrials
5.94%
Consumer Staples
4.95%
Materials
4.95%
Utilities
4.95%
Health Care
3.96%
Real Estate
2.98%
Europe
100.00%
France
100.00%
Generated by AI based on asset data
📈 Strong defensive exposure – Defensive sectors shielded during volatility, enabling resilience in liquidity crunches and policy uncertainty.
🚨 Geopolitical concentration risk – Heavy European focus amplifies exposure to regional conflicts, currency swings, and regulatory shifts.
🔍 Balanced but selective – Cyclical sectors drive upside in expansionary regimes, while defensive sectors anchor stability in downturns.
Generated by AI based on asset data
📈 Strong defensive exposure – Defensive sectors shielded during volatility, enabling resilience in liquidity crunches and policy uncertainty.
🚨 Geopolitical concentration risk – Heavy European focus amplifies exposure to regional conflicts, currency swings, and regulatory shifts.
🔍 Balanced but selective – Cyclical sectors drive upside in expansionary regimes, while defensive sectors anchor stability in downturns.