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BOEU ETF Analysis

Esta página fue traducida automáticamente del original en inglés mediante IA; la versión en inglés es la autorizada. Leer la versión en inglés

Solo con fines informativos. No es asesoramiento financiero.

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BOEU ETF has a last stored price of $25.29, as of the Oct 5, 2026 trading session. Holdings and weights below are as of Mar 15, 2026.

In the stored portfolio snapshot, the largest listed holding is Boeing Co (BA) at 16.92%.

BOEU ETF — Price, Holdings & Analysis

Descripción general del ETF

The BOEU ETF offers a highly specific investment strategy, concentrating its entire portfolio into a single holding: Boeing Co (BA), which constitutes 16.92% of the fund. This fund is designed for investors seeking direct exposure to the performance of Boeing, rather than a broader aerospace or industrial sector. Unlike diversified ETFs that spread risk across multiple companies, BOEU provides a focused bet on a single company's success. This strategy differentiates it significantly from broader market ETFs or sector-specific funds with numerous holdings. Investors should be aware that the fund's performance will directly mirror that of Boeing's stock. Past performance does not guarantee future results.

Métricas de riesgo

BOEU carries a significantly elevated concentration risk due to its single holding in Boeing Co (BA). The fund's performance is entirely dependent on the success or failure of this one company, making it far more volatile than diversified ETFs. With a Beta (3Y) of 0.00, BOEU's volatility is currently showing no correlation to the market, but this could change as market conditions evolve. The expense ratio, will also detract from overall returns, creating an expense drag. Investors should carefully consider their risk tolerance before investing in such a concentrated fund. Past performance does not guarantee future results.
  • Beta: 0.00

¿Qué contiene BOEU?

ParticipaciónPeso
Boeing Co (BA)16.92%

Estos datos del fondo tienen más de 45 días; verifique las participaciones actuales con el emisor.

Rentabilidad por dividendo

0.00%

Preguntas y respuestas

What is BOEU and what does it track?

BOEU is a unique ETF designed to provide investors with concentrated exposure to a single company: Boeing Co (BA). Unlike traditional ETFs that hold a basket of stocks, BOEU invests solely in Boeing, aiming to mirror the company's stock performance.

This makes it a highly targeted investment vehicle for those who are particularly bullish on Boeing's prospects.

What are the top holdings in BOEU?

BOEU has a highly concentrated portfolio, with its top holding being Boeing Co (BA), which constitutes 16.92% of the fund's total assets. Since BOEU is a single-stock ETF, Boeing represents the entirety of its holdings.

This concentrated approach means that the fund's performance is almost entirely dependent on the performance of Boeing's stock.

Is BOEU a good long-term investment?

Whether BOEU is a suitable long-term investment depends heavily on an investor's risk tolerance and outlook on Boeing. The ETF's concentrated nature makes it significantly riskier than diversified ETFs.

While Boeing is a major player in the aerospace industry, its stock performance can be volatile and subject to company-specific challenges.

How does BOEU compare to similar ETFs?

BOEU stands apart from most ETFs due to its single-stock focus on Boeing. While other aerospace or industrial ETFs offer diversified exposure to multiple companies, BOEU provides a highly targeted investment vehicle.

BOEU's strategy is inherently different, appealing to investors with strong conviction in Boeing's performance rather than those seeking broad sector exposure. Past performance does not guarantee future results.

Does BOEU pay dividends?

According to the provided data, BOEU has a dividend yield of 0.00%. This indicates that the fund currently does not distribute dividends to its shareholders.

Investors seeking income-generating investments may want to consider other ETFs with a history of dividend payments. The lack of dividends may be a factor for investors focused on generating regular income from their investments.

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