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7. Juni 2026
keine Änderung
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
MU Micron Technology Semiconductors & Semiconductor Equipment 15,8% 17.484 1,8954
WDC Western Digital Computers, Phones & Household Electronics 34,6% 38.312 1,6627
DDOG Datadog Software & IT Services 32,2% 35.723 1,6261
CIEN Ciena Communications & Networking 10,1% 11.240 1,3218
APA APA Corporation Oil & Gas 7,3% 8.111 1,1356
Summe 100,0% 110.870
24. Mai 2026
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
MU Micron Technology Semiconductors & Semiconductor Equipment 14,1% 15.197 1,8585
WDC Western Digital Computers, Phones & Household Electronics 33,7% 36.248 1,7258
CIEN Ciena Communications & Networking 12,5% 13.440 1,7036
DDOG Datadog Software & IT Services 31,6% 33.924 1,6026
APA APA Corporation Oil & Gas 8,0% 8.606 1,2402
ALB Albemarle Corporation Position geschlossen
Summe 100,0% 107.414
5. April 2026
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
CIEN Ciena Communications & Networking 12,2% 10.309 1,7983
APA APA Corporation Oil & Gas 11,1% 9.324 1,5500
WDC Western Digital Computers, Phones & Household Electronics 26,2% 22.084 1,4443
ALB Albemarle Corporation Chemicals 41,7% 35.211 1,2696
MU Micron Technology Semiconductors & Semiconductor Equipment 8,8% 7.411 1,1969
WBD Warner Bros. Discovery Position geschlossen
Summe 100,0% 84.339
22. März 2026
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
CIEN Ciena Communications & Networking 11,1% 8.838 1,6675
WDC Western Digital Computers, Phones & Household Electronics 27,5% 21.944 1,5271
MU Micron Technology Semiconductors & Semiconductor Equipment 10,7% 8.554 1,4482
ALB Albemarle Corporation Chemicals 38,9% 30.982 1,1727
WBD Warner Bros. Discovery Media & Publishing 11,7% 9.358 1,0990
NEM Newmont Position geschlossen
Summe 100,0% 79.677
11. Januar 2026
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
MU Micron Technology Semiconductors & Semiconductor Equipment 9,5% 6.980 1,8418
WDC Western Digital Computers, Phones & Household Electronics 20,4% 15.001 1,6448
ALB Albemarle Corporation Chemicals 43,2% 31.811 1,6359
WBD Warner Bros. Discovery Media & Publishing 13,4% 9.860 1,5055
NEM Newmont Metals & Mining 13,6% 10.035 1,3350
AMD Advanced Micro Devices Position geschlossen
Summe 100,0% 73.687
23. November 2025
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
WBD Warner Bros. Discovery Media & Publishing 14,1% 7.908 1,5485
WDC Western Digital Computers, Phones & Household Electronics 18,6% 10.408 1,5000
ALB Albemarle Corporation Chemicals 41,1% 22.971 1,4670
AMD Advanced Micro Devices Semiconductors & Semiconductor Equipment 12,5% 7.001 1,1741
NEM Newmont Metals & Mining 13,7% 7.665 1,1696
PLTR Palantir Technologies Position geschlossen
Summe 100,0% 55.952
16. November 2025
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
WDC Western Digital Computers, Phones & Household Electronics 19,0% 11.801 1,7745
WBD Warner Bros. Discovery Media & Publishing 12,7% 7.860 1,5964
AMD Advanced Micro Devices Semiconductors & Semiconductor Equipment 13,7% 8.479 1,4561
NEM Newmont Metals & Mining 13,0% 8.060 1,2542
PLTR Palantir Technologies Software & IT Services 41,6% 25.813 1,0880
ANET Arista Networks Position geschlossen
Summe 100,0% 62.014
24. August 2025
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
WDC Western Digital Computers, Phones & Household Electronics 11,6% 5.749 1,4271
ANET Arista Networks Communications & Networking 16,1% 7.973 1,3817
AMD Advanced Micro Devices Semiconductors & Semiconductor Equipment 11,6% 5.764 1,3586
NEM Newmont Metals & Mining 13,1% 6.476 1,2995
PLTR Palantir Technologies Software & IT Services 47,6% 23.548 1,2918
NRG NRG Energy Position geschlossen
Summe 100,0% 49.508
17. August 2025
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
AMD Advanced Micro Devices Semiconductors & Semiconductor Equipment 11,5% 6.099 1,4632
PLTR Palantir Technologies Software & IT Services 49,8% 26.282 1,4619
ANET Arista Networks Communications & Networking 15,6% 8.215 1,4356
NEM Newmont Metals & Mining 12,0% 6.344 1,2942
NRG NRG Energy Electrical Utilities & IPPs 11,1% 5.888 1,1530
HWM Howmet Aerospace Position geschlossen
Summe 100,0% 52.827
10. August 2025
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
PLTR Palantir Technologies Software & IT Services 50,6% 27.734 1,5830
ANET Arista Networks Communications & Networking 15,2% 8.327 1,4691
NEM Newmont Metals & Mining 11,5% 6.312 1,3112
NRG NRG Energy Electrical Utilities & IPPs 11,0% 6.044 1,2017
HWM Howmet Aerospace Aerospace & Defense 11,7% 6.437 1,1831
MOS Mosaic Company (The) Position geschlossen
Summe 100,0% 54.854
18. Mai 2025
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
NRG NRG Energy Electrical Utilities & IPPs 14,0% 6.291 1,5723
PLTR Palantir Technologies Software & IT Services 42,7% 19.213 1,4927
MOS Mosaic Company (The) Chemicals 20,3% 9.114 1,3189
HWM Howmet Aerospace Aerospace & Defense 12,9% 5.794 1,2917
NEM Newmont Metals & Mining 10,1% 4.563 1,1167
CVS CVS Health Position geschlossen
Summe 100,0% 44.975
11. Mai 2025
+2 neu 2 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
PLTR Palantir Technologies Software & IT Services 40,4% 17.401 1,4019
HWM Howmet Aerospace Aerospace & Defense 13,0% 5.602 1,2709
MOS Mosaic Company (The) Chemicals 19,6% 8.456 1,2364
NEM Newmont Metals & Mining 11,4% 4.916 1,2084
CVS CVS Health Healthcare Providers & Services 15,6% 6.738 1,1462
GILD Gilead Sciences Position geschlossen
YUM Yum! Brands Position geschlossen
Summe 100,0% 43.113
13. April 2025
+2 neu 2 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
NEM Newmont Metals & Mining 12,7% 5.006 1,2350
CVS CVS Health Healthcare Providers & Services 17,6% 6.922 1,1980
PLTR Palantir Technologies Software & IT Services 33,3% 13.136 1,1944
GILD Gilead Sciences Pharmaceuticals 15,2% 5.990 1,0731
YUM Yum! Brands Hotels & Entertainment Services 21,2% 8.334 1,0387
TPR Tapestry, Inc. Position geschlossen
FOX Fox Corporation (Class B) Position geschlossen
Summe 100,0% 39.388
9. März 2025
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
PLTR Palantir Technologies Software & IT Services 29,7% 12.596 1,3178
GILD Gilead Sciences Pharmaceuticals 15,9% 6.740 1,2804
TPR Tapestry, Inc. Specialty Retailers 13,9% 5.916 1,2528
YUM Yum! Brands Hotels & Entertainment Services 22,0% 9.341 1,1989
FOX Fox Corporation (Class B) Media & Publishing 18,4% 7.824 1,1809
UAL United Airlines Holdings Position geschlossen
Summe 100,0% 42.417
2. März 2025
+2 neu 2 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
TPR Tapestry, Inc. Specialty Retailers 15,1% 6.716 1,4595
PLTR Palantir Technologies Software & IT Services 28,2% 12.597 1,3614
GILD Gilead Sciences Pharmaceuticals 14,7% 6.562 1,2680
FOX Fox Corporation (Class B) Media & Publishing 18,3% 8.157 1,2471
UAL United Airlines Holdings Passenger Transportation Services 23,7% 10.573 1,1325
VST Vistra Corp. Position geschlossen
TSLA Tesla, Inc. Position geschlossen
Summe 100,0% 44.605
23. Februar 2025
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
PLTR Palantir Technologies Software & IT Services 30,5% 15.035 1,6823
TPR Tapestry, Inc. Specialty Retailers 13,5% 6.651 1,4895
UAL United Airlines Holdings Passenger Transportation Services 21,9% 10.808 1,1870
VST Vistra Corp. Electrical Utilities & IPPs 15,0% 7.385 1,1232
TSLA Tesla, Inc. Automobiles & Auto Parts 19,1% 9.404 1,0712
AXON Axon Enterprise Position geschlossen
Summe 100,0% 49.283
29. Dezember 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
PLTR Palantir Technologies Software & IT Services 23,6% 11.731 1,8233
TSLA Tesla, Inc. Automobiles & Auto Parts 24,2% 12.017 1,5967
UAL United Airlines Holdings Passenger Transportation Services 22,6% 11.231 1,5474
AXON Axon Enterprise Aerospace & Defense 15,9% 7.918 1,3970
VST Vistra Corp. Electrical Utilities & IPPs 13,8% 6.857 1,2651
FICO Fair Isaac Position geschlossen
Summe 100,0% 49.755
17. November 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
UAL United Airlines Holdings Passenger Transportation Services 21,9% 10.276 1,6640
AXON Axon Enterprise Aerospace & Defense 16,5% 7.767 1,6549
VST Vistra Corp. Electrical Utilities & IPPs 14,8% 6.967 1,4478
TSLA Tesla, Inc. Automobiles & Auto Parts 19,0% 8.929 1,4304
FICO Fair Isaac Software & IT Services 27,7% 13.019 1,3133
IRM Iron Mountain Position geschlossen
Summe 100,0% 46.957
27. Oktober 2024
+2 neu 2 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
UAL United Airlines Holdings Passenger Transportation Services 20,2% 8.413 1,4585
VST Vistra Corp. Electrical Utilities & IPPs 14,6% 6.079 1,3448
AXON Axon Enterprise Aerospace & Defense 13,8% 5.761 1,3092
IRM Iron Mountain Residential & Commercial REIT 23,8% 9.925 1,2823
FICO Fair Isaac Software & IT Services 27,6% 11.516 1,2397
MMM 3M Position geschlossen
MHK MHK Position geschlossen
Summe 100,0% 41.693
6. Oktober 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
VST Vistra Corp. Electrical Utilities & IPPs 15,8% 6.784 1,6187
FICO Fair Isaac Software & IT Services 25,7% 11.017 1,2602
IRM Iron Mountain Residential & Commercial REIT 21,4% 9.193 1,2559
MMM 3M Consumer Goods Conglomerates 21,3% 9.122 1,2260
MHK MHK Household Goods 15,8% 6.798 1,1782
PM Philip Morris International Position geschlossen
Summe 100,0% 42.914
8. September 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
MMM 3M Consumer Goods Conglomerates 21,3% 8.672 1,2540
IRM Iron Mountain Residential & Commercial REIT 20,8% 8.457 1,2323
PM Philip Morris International Food & Tobacco 17,4% 7.087 1,2315
FICO Fair Isaac Software & IT Services 24,5% 9.984 1,2201
MHK MHK Household Goods 16,0% 6.511 1,1740
CHTR Charter Communications Position geschlossen
Summe 100,0% 40.711
11. August 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
IRM Iron Mountain Residential & Commercial REIT 20,4% 8.377 1,3089
MMM 3M Consumer Goods Conglomerates 20,3% 8.329 1,3030
FICO Fair Isaac Software & IT Services 24,5% 10.089 1,2937
CHTR Charter Communications Telecommunications Services 19,2% 7.887 1,2497
MHK MHK Household Goods 15,7% 6.446 1,2134
GLW Corning Inc. Position geschlossen
Summe 100,0% 41.128
4. August 2024
+4 neu 4 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
MMM 3M Consumer Goods Conglomerates 20,2% 8.400 1,3393
IRM Iron Mountain Residential & Commercial REIT 19,8% 8.242 1,3116
CHTR Charter Communications Telecommunications Services 19,4% 8.076 1,2788
MHK MHK Household Goods 16,1% 6.704 1,2781
GLW Corning Inc. Electronic Equipment & Parts 24,5% 10.218 1,1027
GE GE Aerospace Position geschlossen
FSLR First Solar Position geschlossen
NTAP NetApp Position geschlossen
TSLA Tesla, Inc. Position geschlossen
Summe 100,0% 41.640
21. Juli 2024
+2 neu 2 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
GLW Corning Inc. Electronic Equipment & Parts 26,1% 11.627 1,2885
TSLA Tesla, Inc. Automobiles & Auto Parts 17,3% 7.722 1,2701
NTAP NetApp Computers, Phones & Household Electronics 19,2% 8.563 1,1904
FSLR First Solar Renewable Energy 18,8% 8.372 1,1301
GE GE Aerospace Aerospace & Defense 18,7% 8.340 1,1095
CEG Constellation Energy Position geschlossen
MU Micron Technology Position geschlossen
Summe 100,0% 44.624
30. Juni 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
NTAP NetApp Computers, Phones & Household Electronics 18,5% 8.703 1,2660
MU Micron Technology Semiconductors & Semiconductor Equipment 18,9% 8.881 1,2239
FSLR First Solar Renewable Energy 18,6% 8.722 1,2141
CEG Constellation Energy Electrical Utilities & IPPs 26,2% 12.301 1,1740
GE GE Aerospace Aerospace & Defense 17,7% 8.318 1,1583
SMCI Supermicro Position geschlossen
Summe 100,0% 46.924
9. Juni 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
FSLR First Solar Renewable Energy 21,6% 10.342 1,5384
MU Micron Technology Semiconductors & Semiconductor Equipment 18,4% 8.841 1,3004
GE GE Aerospace Aerospace & Defense 17,7% 8.472 1,2422
CEG Constellation Energy Electrical Utilities & IPPs 25,3% 12.162 1,2382
SMCI Supermicro Computers, Phones & Household Electronics 17,0% 8.169 1,0828
BBWI BBWI Position geschlossen
Summe 100,0% 47.986
28. April 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
SMCI Supermicro Computers, Phones & Household Electronics 19,3% 9.107 1,4667
GE GE Aerospace Aerospace & Defense 18,0% 8.494 1,4219
CEG Constellation Energy Electrical Utilities & IPPs 24,4% 11.552 1,3475
MU Micron Technology Semiconductors & Semiconductor Equipment 16,4% 7.754 1,2869
BBWI BBWI Specialty Retailers 21,9% 10.342 1,1258
META Meta Platforms Position geschlossen
Summe 100,0% 47.250
14. April 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
SMCI Supermicro Computers, Phones & Household Electronics 19,3% 9.543 1,6550
MU Micron Technology Semiconductors & Semiconductor Equipment 16,7% 8.273 1,4280
CEG Constellation Energy Electrical Utilities & IPPs 23,7% 11.755 1,4275
META Meta Platforms Software & IT Services 19,8% 9.809 1,2897
BBWI BBWI Specialty Retailers 20,5% 10.158 1,1347
AMD Advanced Micro Devices Position geschlossen
Summe 100,0% 49.538
7. April 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
SMCI Supermicro Computers, Phones & Household Electronics 19,8% 10.070 1,8285
CEG Constellation Energy Electrical Utilities & IPPs 23,3% 11.841 1,4739
META Meta Platforms Software & IT Services 19,9% 10.105 1,3569
AMD Advanced Micro Devices Semiconductors & Semiconductor Equipment 17,0% 8.634 1,1617
BBWI BBWI Specialty Retailers 20,1% 10.218 1,1563
FITB Fifth Third Bancorp Position geschlossen
Summe 100,0% 50.869
3. März 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
AMD Advanced Micro Devices Semiconductors & Semiconductor Equipment 20,4% 10.267 1,5466
CEG Constellation Energy Electrical Utilities & IPPs 20,7% 10.405 1,4362
META Meta Platforms Software & IT Services 19,1% 9.625 1,4283
BBWI BBWI Specialty Retailers 20,4% 10.261 1,2265
FITB Fifth Third Bancorp Banking Services 19,3% 9.709 1,1730
ALL Allstate Position geschlossen
Summe 100,0% 50.267
11. Februar 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
META Meta Platforms Software & IT Services 18,7% 8.960 1,4081
AMD Advanced Micro Devices Semiconductors & Semiconductor Equipment 18,3% 8.739 1,3953
ALL Allstate Insurance 22,3% 10.670 1,2451
BBWI BBWI Specialty Retailers 20,9% 10.002 1,2282
FITB Fifth Third Bancorp Banking Services 19,9% 9.506 1,1825
EXPE Expedia Group Position geschlossen
Summe 100,0% 47.877
4. Februar 2024
+1 neu 1 ausgeschieden
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
AMD Advanced Micro Devices Semiconductors & Semiconductor Equipment 18,3% 9.001 1,4631
ALL Allstate Insurance 21,4% 10.493 1,2430
EXPE Expedia Group Hotels & Entertainment Services 21,0% 10.323 1,2364
BBWI BBWI Specialty Retailers 19,8% 9.718 1,2023
FITB Fifth Third Bancorp Banking Services 19,5% 9.562 1,1984
ZION ZION Position geschlossen
Summe 100,0% 49.097
7. Januar 2024
+5 neu
Ticker Unternehmen Sektor Gewicht Betrag in USD RS Score
FITB Fifth Third Bancorp Banking Services 20,0% 10.000 1,3042
BBWI BBWI Specialty Retailers 20,0% 10.000 1,2731
ALL Allstate Insurance 20,0% 10.000 1,2530
EXPE Expedia Group Hotels & Entertainment Services 20,0% 10.000 1,2470
ZION ZION Industrials 20,0% 10.000 1,2461
Summe 100,0% 50.000