TUNIX Mutual Fund

TUNIX Mutual Fund

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See the full sector breakdown of TUNIX
Sector concentration, industry allocation and the exact weight of every sector.
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Sector Concentration AnalysisPRO

Top 3 Sectors
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of total portfolio
Concentration Level
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concentration risk
Largest Sector
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Sector AllocationPRO

Sector BreakdownPRO

SectorHoldingsWeight
Sector names, holding counts and weights come with FundXLS Pro. See plans

Industry BreakdownPRO

Top 15 industries by allocation

TUNIX Mutual Fund Sector Allocation

TUNIX sector allocation breaks down across Financials (30.0%), Industrials (3.7%), Energy (3.6%), Consumer Discretionary (3.2%), Utilities (3.0%). Across 1032 holdings, this breakdown reveals the mutual fund's investment focus and diversification.

TUNIX sector exposure is important for understanding concentration risk. The fund shows reasonable diversification across sectors.

TUNIX by country shows geographic exposure. TUNIX overlap reveals how sector exposure compares with other funds.