Key details about this asset
Currency:
EUR
Ticker:
PUST
Exchange:
Euronext Paris
Asset type:
ETF
ISIN:
FR0011871110
First trade date:
May 20, 2014
Fees:
0.30%
Avg. daily volume:
42,373
Generated by AI based on asset data
Buy/sell signal from 7 technical indicators
Key details about this asset
Currency:
EUR
Ticker:
PUST
Exchange:
Euronext Paris
Asset type:
ETF
ISIN:
FR0011871110
First trade date:
May 20, 2014
Fees:
0.30%
Avg. daily volume:
42,373
Generated by AI based on asset data
Buy/sell signal from 7 technical indicators
North America
98.65%
Europe
0.74%
South America
0.61%
United States of America
97.20%
Canada
1.45%
Netherlands
0.74%
Brazil
0.61%
Sensitive
75.22%
Cyclical
14.61%
Defensive
10.17%
Information Technology
55.94%
Communication Services
15.77%
Consumer Discretionary
13.22%
Health Care
4.39%
Consumer Staples
4.36%
Industrials
3.05%
Utilities
1.42%
Materials
1.04%
Energy
0.46%
Financials
0.35%
Sensitive
75.22%
Cyclical
14.61%
Defensive
10.17%
Information Technology
55.94%
Communication Services
15.77%
Consumer Discretionary
13.22%
Health Care
4.39%
Consumer Staples
4.36%
Industrials
3.05%
Utilities
1.42%
Materials
1.04%
Energy
0.46%
Financials
0.35%
North America
98.65%
Europe
0.74%
South America
0.61%
United States of America
97.20%
Canada
1.45%
Netherlands
0.74%
Brazil
0.61%
Generated by AI based on asset data
🚀 Strong sector exposure to cyclical growth drivers – Dominant tech-heavy tilt thrives in expansionary regimes, capitalizing on tech-led productivity gains and defensive sectors weathering downturns.
⚠️ High geopolitical concentration risk – Over 97% North American focus amplifies exposure to U.S.-centric policy shifts, currency volatility, and regulatory turbulence.
📉 Underperforms in prolonged recessionary regimes – Heavy cyclical weighting and low defensive tilt erode value during prolonged downturns, lacking earnings-driven recovery momentum.
Generated by AI based on asset data
🚀 Strong sector exposure to cyclical growth drivers – Dominant tech-heavy tilt thrives in expansionary regimes, capitalizing on tech-led productivity gains and defensive sectors weathering downturns.
⚠️ High geopolitical concentration risk – Over 97% North American focus amplifies exposure to U.S.-centric policy shifts, currency volatility, and regulatory turbulence.
📉 Underperforms in prolonged recessionary regimes – Heavy cyclical weighting and low defensive tilt erode value during prolonged downturns, lacking earnings-driven recovery momentum.
Buy/sell signal from 7 technical indicators, based on 208 trading days
77
Buy
RSI
58
Momentum
92
MACD
65
Stochastic
20
CCI
41
Highs/Lows
49
Ult. Oscillator
46
Volume (info)
18
Volatility
18.6%
Buy/sell signal from 7 technical indicators, based on 208 trading days
77
Buy
RSI
58
Momentum
92
MACD
65
Stochastic
20
CCI
41
Highs/Lows
49
Ult. Oscillator
46
Volume (info)
18
Volatility
18.6%