IGNIX Mutual Fund

NAV$24.76
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Sector Concentration Analysis

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concentration risk
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Sector Allocation

Sector Breakdown

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Industry Breakdown

Top 15 industries by allocation

IGNIX Mutual Fund Sector Allocation

IGNIX sector allocation breaks down across Materials (44.9%), Energy (31.8%), Unknown (17.8%), Financials (4.2%), Consumer Staples (1.2%). Across 46 holdings, this breakdown reveals the mutual fund's investment focus and diversification.

IGNIX sector exposure is important for understanding concentration risk. With Materials at 44.9%, the fund has significant sector concentration.

IGNIX geographic allocation shows country exposure. IGNIX overlap calculator reveals how sector exposure compares with other funds.