Sector exposure

Packaging industry

16 funds with Packaging industry exposure · showing top 1 · average allocation in displayed funds 0.7%

Funds
1
Avg weight
0.7%
Sector Signals · Packaging industry Rule-based · derived from FMP & FE data
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Top Packaging industry-exposed funds

Sorted by sector weight · 1 funds total
Fund
Manager
Sector weight
1Y return
AL
Arcano Low Volatility European Income Fund - ESG Selection
LU1720110474
UBS PLF
0.7%
+6.6%
Top Packaging industry Holdings Across Funds
IRON MOUNTAIN 4.75% UNSECURED NOTE 2034
Unknown
2.2%
in 1 funds
BUND 2.0% UNSECURED NOTE DUE 2027
Unknown
2.1%
in 1 funds
BUND 2.2% UNSECURED NOTE DUE 2030
Unknown
1.7%
in 1 funds
SAUR 3.875% SR UNSECURED NOTE DUE 2031
Unknown
1.4%
in 1 funds
INTERNATIONAL DESIGN E+3.875% SECURED FRN DUE 2029
Unknown
1.3%
in 1 funds
TEAMSYSTEM E+3.25% SECURED FRN DUE 2032
Unknown
1.2%
in 1 funds
GRIFOLS 7.5% SECURED NOTE DUE 2030
Unknown
1.1%
in 1 funds
DOC PHARMA 5.625% SECURED NOTE DUE 2032
Unknown
1.1%
in 1 funds
Conviction Score vs MSCI Benchmark
Fund weight vs MSCI World benchmark (0%)
Arcano Low Volatilit..
+0.7%
Performance Chart
Top 1-fund composite (rebased to 100, equal-weighted) Real fund NAV data 2025-06-09 → 2026-05-29
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