SPDR® S&P/ASX 200 Fund (STW)

69.98 +0.47 (+0.68%)
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Asset Allocation
Asset
Net %
Long %
Short %
Cash
0.42 0.42 0
Shares
99.53 99.53 0
Bonds
0.05 0.05 0
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Value & Growth Measures
Ratios
Value
Category Average
P/E Ratio 16.69 0
Price to Book 2.14 0
Price to Sales 2.1 0
Price to Free Cash Flow 8.22 0
Dividend (Yield) 4.42 0
5 Years Earnings Growth 18.33 0
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Sector Allocation
Ratios
Value
Category Average
Basic Materials 21.85 -
Consumer Cyclical 7.70 -
Financial Services 30.64 -
Real Estate 6.39 -
Consumer Defensive 4.34 -
Healthcare 9.61 -
Utilities 0.66 -
Communication Services 4.18 -
Energy 5.77 -
Industrials 5.81 -
Technology 3.05 -
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Ratios
Value
Category Average
Cash 0.42 -
Derivative 0.05 -
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Region Allocation
North America
Europe Developed
Australasia
Developed Market
Top Holdings
Name
Weight %
Chg. %
Last
Australia BHP Group Ltd 0.00 +2.25% 44.920
Australia Commonwealth Bank Australia 0.00 +0.82% 117.360
Australia CSL 0.00 -1.36% 282.35
Australia National Australia Bank 0.00 +0.59% 34.040
Australia Westpac Banking 0.00 +0.23% 26.410
Australia ANZ Holdings 0.00 +1.05% 28.750
Australia Wesfarmers 0.00 -0.38% 66.390
Australia Macquarie 0.00 -0.24% 194.340
Australia Woodside Energy 0.00 +1.61% 30.850
Australia Goodman Group 0.00 +1.94% 30.480
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