Putnam Focused Large Cap Value ETF
PVAL
#213
ETF Rang
€12.41 Mrd.
Marktkapitalisierung
🇺🇸 US
Markt
46,53 €
Aktienkurs
-0.39%
Veränderung (1 Tag)
29.28%
Veränderung (1 Jahr)

Putnam Focused Large Cap Value ETF - Bestände

ETF-Bestände zum Stand 19. September 2026Anzahl der Bestände: 141

Vollständige Bestandsliste

Gewichtung %NameTickerISINGehaltene Aktien
9.26%
Microsoft CorpUS59491810452576445
8.58%
Microsoft CorpUS59491810452490656
7.19%
Microsoft CorpUS59491810452305493
6.69%
Apple IncUS03783310052979535
6.60%
Apple IncUS03783310052880254
6.45%
Apple IncUS03783310052665980
4.98%
Amazon.com IncUS02313510672472285
4.70%
Amazon.com IncUS02313510672557346
4.56%
Amazon.com IncUS02313510672288704
4.05%
Citigroup IncUS17296742423456444
3.76%
Exxonmobil Holdings CorpUS30233Q10853298697
3.67%
Exxonmobil Holdings CorpUS30233Q10853189389
3.35%
Exxon Mobil CorpUS30231G10222928997
3.30%
Citigroup IncUS17296742423359786
3.24%
Charles Schwab Corp/TheUS80851310554170447
3.24%
Citigroup IncUS17296742423474937
3.22%
Cisco Systems IncUS17275R10233280499
3.15%
Charles Schwab Corp/TheUS80851310554031828
3.12%
Freeport-McMoRan IncUS35671D85705821343
3.05%
Cisco Systems IncUS17275R10233553025
3.03%
Southwest Airlines CoUS84474110887044861
2.96%
Allstate Corp/TheUS02000210141509800
2.94%
Coca-Cola Co/TheUS19121610074531727
2.94%
Coca-Cola Co/TheUS19121610074687938
2.88%
Cisco Systems IncUS17275R10233674791
2.88%
Charles Schwab Corp/TheUS80851310553732625
2.85%
Allstate Corp/TheUS02000210141561494
2.85%
Coca-Cola Co/TheUS19121610074194592
2.85%
Bank of America CorpUS06050510465974251
2.78%
Allstate Corp/TheUS02000210141398195
2.74%
Freeport-McMoRan IncUS35671D85705212561
2.73%
Bank of America CorpUS06050510465937070
2.72%
Philip Morris International IncUS71817210901921863
2.71%
PUTNAM GOVERNMENT MONEY MARKE 00.0000 12/31/2049 12/31/2049 STIF CLASS P TIS A/C # 39245US74680A8696323120756
2.69%
Philip Morris International IncUS71817210901779493
2.69%
Bank of America CorpUS06050510466141350
2.64%
Philip Morris International IncUS71817210901987815
2.61%
Freeport-McMoRan IncUS35671D85705628628
2.54%
Southwest Airlines CoUS84474110887608854
2.53%
Valero Energy CorpUS91913Y1001996652
2.51%
UnitedHealth Group IncUS91324P1021721978
2.48%
Thermo Fisher Scientific IncUS8835561023567601
2.44%
General Motors CoUS37045V10083702496
2.40%
UnitedHealth Group IncUS91324P1021779896
2.34%
General Motors CoUS37045V10083829185
2.34%
Thermo Fisher Scientific IncUS8835561023548816
2.23%
Valero Energy CorpUS91913Y1001963532
2.22%
UnitedHealth Group IncUS91324P1021806731
2.21%
General Motors CoUS37045V10083428974
2.21%
PUTNAM GOVERNMENT MONEY MARKE 00.0000 12/31/2049 12/31/2049 STIF CLASS P TIS A/C # 39245US74680A8696312197248
2.16%
Capital One Financial CorpUS14040H10591419416
2.15%
Southwest Airlines CoUS84474110887870138
2.13%
Capital One Financial CorpUS14040H10591271044
2.13%
Capital One Financial CorpUS14040H10591372447
2.13%
Thermo Fisher Scientific IncUS8835561023508269
2.07%
Vertex Pharmaceuticals IncUS92532F1003535636
2.01%
AbbVie IncUS00287Y1091954917
2.01%
HILTON WORLDWIDE HOLDINGS INCUS43300A2033726918
2.00%
ConocoPhillipsUS20825C10452134660
1.97%
Seagate Technology Holdings PLCIE00BKVD2N49244056
1.96%
NextEra Energy IncUS65339F10122671763
1.94%
Valero Energy CorpUS91913Y1001892033
1.94%
AbbVie IncUS00287Y10911067225
1.92%
AbbVie IncUS00287Y10911031667
1.91%
Prologis IncUS74340W10361784150
1.91%
NRG Energy IncUS62937750851565034
1.90%
PulteGroup IncUS74586710101654264
1.87%
Prologis IncUS74340W10361652326
1.86%
NextEra Energy IncUS65339F10122885448
1.84%
Astrazeneca PLCGB00098952921162429
1.84%
ConocoPhillipsUS20825C10452064032
1.83%
Vertex Pharmaceuticals IncUS92532F1003517784
1.83%
Prologis IncUS74340W10361845207
1.80%
Corteva IncUS22052L10442542070
1.74%
NextEra Energy IncUS65339F10122984439
1.73%
Advanced Micro Devices IncUS0079031078356611
1.72%
McKesson CorpUS58155Q1031273908
1.68%
McKesson CorpUS58155Q1031264830
1.68%
NRG Energy IncUS62937750851690352
1.68%
PulteGroup IncUS74586710101786878
1.67%
Seagate Technology Holdings PLCIE00BKVD2N49263673
1.66%
Northrop Grumman CorpUS6668071029411818
1.66%
ConocoPhillipsUS20825C10451911539
1.65%
PulteGroup IncUS74586710101848320
1.63%
Northrop Grumman CorpUS6668071029425912
1.62%
Northrop Grumman CorpUS6668071029381391
1.61%
Regeneron Pharmaceuticals IncUS75886F1075283633
1.60%
Seagate Technology Holdings PLCIE00BKVD2N49272765
1.59%
NRG Energy IncUS62937750852037655
1.58%
Astrazeneca PLCGB00098952921255283
1.55%
Regeneron Pharmaceuticals IncUS75886F1075274235
1.54%
McKesson CorpUS58155Q1031243833
1.49%
Astrazeneca PLCGB00098952921298295
1.37%
Apollo Global Management IncUS03769M10621419423
1.35%
Advanced Micro Devices IncUS0079031078382732
1.35%
American Electric Power Co IncUS02553710171423029
1.32%
WALMART INCUS93114210391398195
1.32%
Regeneron Pharmaceuticals IncUS75886F1075253954
1.32%
Advanced Micro Devices IncUS0079031078395849
1.31%
Ingersoll-Rand IncUS45687V10611911959
1.28%
Ingersoll-Rand IncUS45687V10612064811
1.28%
Apollo Global Management IncUS03769M10621372452
1.28%
American Electric Power Co IncUS02553710171472080
1.27%
FedEx CorpUS31428X1063484534
1.26%
Apollo Global Management IncUS03769M10621271044
1.26%
FedEx CorpUS31428X1063543515
1.25%
PUTNAM GOVERNMENT MONEY MARKE 00.0000 12/31/2049 12/31/2049 STIF CLASS P TIS A/C # 39245US74680A8696167584817
1.24%
WALMART INCUS93114210391509760
1.22%
Royal Caribbean Cruises LtdLR0008862868519169
1.21%
United Rentals IncUS9113631090127546
1.20%
FedEx CorpUS31428X1063525505
1.17%
Ingersoll-Rand IncUS45687V10612135608
1.16%
WALMART INCUS93114210391561438
1.15%
Corteva IncUS22052L10441973108
1.10%
United Rentals IncUS9113631090137723
1.09%
BJ's Wholesale Club Holdings IncUS05550J10161509731
1.05%
United Rentals IncUS9113631090142436
1.04%
Aon PLCIE00BLP1HW54388002
1.04%
Goldman Sachs Group Inc/TheUS38141G1040123150
1.02%
Royal Caribbean Cruises LtdLR0008862868536960
1.02%
BJ's Wholesale Club Holdings IncUS05550J10161398195
1.01%
Goldman Sachs Group Inc/TheUS38141G1040134256
1.01%
Goldman Sachs Group Inc/TheUS38141G1040138853
1.00%
BJ's Wholesale Club Holdings IncUS05550J10161561396
1.00%
Vertex Pharmaceuticals IncUS92532F1003241472
0.91%
T-Mobile US IncUS8725901040713234
0.91%
Aon PLCIE00BLP1HW54401302
0.90%
T-Mobile US IncUS8725901040638593
0.89%
Becton Dickinson & CoUS0758871091667036
0.88%
T-Mobile US IncUS8725901040689607
0.79%
Cash and Cash Equivalents
0.79%
Becton Dickinson & CoUS0758871091644809
0.76%
Becton Dickinson & CoUS0758871091596843
0.48%
Fedex Freight Holding Co IncUS3143521058380821
0.43%
Fedex Freight Holding Co IncUS3143521058411428
0.40%
Fedex Freight Holding Co IncUS3143521058425613
0.28%
Cash and Cash Equivalents
0.23%
American Electric Power Co IncUS0255371017197150
0.11%
Cash and Cash Equivalents
0.00%
Novo Nordisk A/SUS67010020563145
0.00%
Sanofi SAUS80105N10547344