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US Advantage Index

USD | Since 2026-01-08 | Taurus Asset Management SA

At a glance
ISIN DE000A4PU4M5
Index Allocator Taurus Asset Management SA
Index Currency USD
Index Administrator LIXX
Index Allocator Description

Taurus Asset Management SA

The manager employs a proprietary quantitative rule based and systematic algorithm in order to determine the allocations.

 

Index description

From the Index Universe, the algorithm chooses such components which fulfill the Index Component Selection Criteria. The strategy’s objective is to produce buy and sell signals of different market indices and equities. Based on these identified signals, the strategy allocates the component to the Index.
The allocation model derives the allocations to each Index Component based on price activity, liquid-ity, applicable technical data inputs, news flow, technical indicators, market access costs and other relevant factors.
In addition, cash holdings within the Index can be represented through highly liquid money market funds or foreign exchange spot positions. When the selection model detects a new signal, the Index Components will be reweighted. The regular screening for signals is done on a continuous basis.

Performance & Risk

Performance
Performance Figures
1-Day-Return 2.70%
MTD Return -3.48%
Volatility p.a. 0.0214
Risk Figures
Max. Drawdown 9.15%
Information Ratio -0.08

Composition

High Level Composition Data

Corporate Actions

DATE TYPE INSTRUMENT ISIN/IDENTIFIER WEIGHT % AMOUNT CURRENCY
2026-07-27 DIVIDEND GENERAL ELECTRIC US3696043013 0.0001 0.0006 USD
2026-07-24 DIVIDEND LENNAR CORP-A US5260571048 0.0070 0.0690 USD
2026-07-21 DIVIDEND MICRON TECHNOLOGY INC US5951121038 0.0004 0.0039 USD
2026-07-20 DIVIDEND MCCORMICK & CO-NON VTG SHRS US5797802064 0.0039 0.0394 USD
2026-07-17 DIVIDEND MEDTRONIC PLC IE00BTN1Y115 0.0084 0.0843 USD
2026-07-13 ADDITION XS3266524159 0.2389 2.4338 USD
2026-07-02 DIVIDEND ROYAL CARIBBEAN CRUISES LTD LR0008862868 0.0172 0.1761 USD
2026-07-01 DIVIDEND NIKE INC -CL B US6541061031 0.0109 0.1123 USD
2026-06-30 DIVIDEND PEPSICO INC US7134481081 0.0078 0.0811 USD
2026-06-30 DIVIDEND BOOKING HOLDINGS INC US09857L1089 0.0032 0.0331 USD
2026-06-26 DIVIDEND VANGUARD INFO TECH ETF US92204A7028 0.0019 0.0191 USD
2026-06-26 DIVIDEND NVIDIA CORP US67066G1040 0.0030 0.0308 USD
2026-06-26 DIVIDEND BANK OF AMERICA CORP US0605051046 0.0027 0.0276 USD
2026-06-25 DIVIDEND META PLATFORMS INC-CLASS A US30303M1027 0.0014 0.0144 USD
2026-06-18 DIVIDEND ISHARES SEMICONDUCTOR ETF US4642875235 0.0004 0.0045 USD
2026-06-18 DIVIDEND ISHARES US CONSUMER DISCRETI US4642875805 0.0009 0.0096 USD
2026-06-18 DIVIDEND HOME DEPOT INC US4370761029 0.0114 0.1181 USD
2026-06-17 DEDUCTION XS3266524159 -0.2365 -2.4160 USD
2026-06-16 DIVIDEND MC DONALD'S-CORP US5801351017 0.0088 0.0915 USD
2026-06-15 DIVIDEND ALPHABET INC-CL A US02079K3059 0.0015 0.0159 USD
2026-06-11 DIVIDEND MICROSOFT CORP US5949181045 0.0025 0.0261 USD
2026-06-09 DIVIDEND METLIFE INC US59156R1086 0.0004 0.0040 USD
2026-06-05 DIVIDEND HONEYWELL INTERNATIONAL INC US4385161066 0.0080 0.0813 USD
2026-06-01 DIVIDEND VISA INC-CLASS A SHARES US92826C8394 0.0011 0.0119 USD
2026-05-29 DIVIDEND STARBUCKS CORP US8552441094 0.0001 0.0008 USD
2026-05-29 DEDUCTION XS3266524159 -0.1528 -1.6104 USD
2026-05-21 DEDUCTION XS3266524159 -0.2310 -2.3767 USD
2026-05-15 DIVIDEND PROCTER & GAMBLE CO/THE US7427181091 0.0051 0.0519 USD
2026-05-14 DIVIDEND APPLE INC US0378331005 0.0008 0.0081 USD
2026-05-06 DIVIDEND LENNAR CORP-A US5260571048 0.0022 0.0225 USD
2026-04-30 DIVIDEND SS SPDR S&P 500 ETF TRUST-US US78462F1030 0.0622 0.6287 USD
2026-04-30 DIVIDEND JPMORGAN CHASE & CO US46625H1005 0.0088 0.0888 USD
2026-04-27 DIVIDEND GENERAL ELECTRIC US3696043013 0.0018 0.0186 USD
2026-04-24 DIVIDEND HUMANA INC US4448591028 0.0058 0.0590 USD
2026-04-15 DIVIDEND MICRON TECHNOLOGY INC US5951121038 0.0002 0.0020 USD
2026-04-07 DIVIDEND MERCK & CO INC US58933Y1055 0.0057 0.0544 USD
2026-04-07 ADDITION XS3266524159 3.9256 37.2454 USD
2026-04-06 ADDITION XS3266524159 0.9170 8.6960 USD
2026-04-03 DIVIDEND ROYAL CARIBBEAN CRUISES LTD LR0008862868 0.0075 0.0705 USD
2026-04-01 DIVIDEND NVIDIA CORP US67066G1040 0.0001 0.0006 USD
2026-03-31 DEDUCTION XS3266524159 -0.7680 -7.1740 USD
2026-03-31 DIVIDEND BOOKING HOLDINGS INC US09857L1089 0.0047 0.0435 USD
2026-03-31 DIVIDEND PEPSICO INC US7134481081 0.0093 0.0864 USD
2026-03-27 DIVIDEND BANK OF AMERICA CORP US0605051046 0.0066 0.0604 USD
2026-03-26 DIVIDEND KINROSS GOLD CORP CA4969024047 0.0012 0.0114 USD
2026-03-26 DIVIDEND META PLATFORMS INC-CLASS A US30303M1027 0.0005 0.0045 USD
2026-03-20 DIVIDEND ISHARES RUSSELL 2000 ETF US4642876555 0.0022 0.0210 USD
2026-03-20 DIVIDEND ISHARES U.S. FINANCIALS ETF US4642877884 0.0060 0.0556 USD
2026-03-20 DIVIDEND ISHARES US REAL ESTATE ETF US4642877397 0.0023 0.0215 USD
2026-03-16 DIVIDEND ALPHABET INC-CL A US02079K3059 0.0017 0.0165 USD
2026-03-16 DIVIDEND ESTEE LAUDER COMPANIES-CL A US5184391044 0.0037 0.0357 USD
2026-03-12 DIVIDEND T-MOBILE US INC US8725901040 0.0050 0.0477 USD
2026-03-12 DIVIDEND MICROSOFT CORP US5949181045 0.0064 0.0607 USD
2026-03-12 DIVIDEND APPLIED MATERIALS INC US0382221051 0.0015 0.0144 USD
2026-03-10 DEDUCTION XS3266524159 -0.3886 -3.7509 USD
2026-03-10 DIVIDEND METLIFE INC US59156R1086 0.0067 0.0644 USD

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