Columbia Research Enhanced Real Estate ETF (CRED)
Bestandsdaten sind für diesen Fonds noch nicht verfügbar.
Fondsflüsse (SEC-gemeldet)
Based on the fund's own SEC Form N-PORT monthly flow disclosures (Item C.9 "Flow Information") — sales minus redemptions, reinvested distributions excluded. This is a different, independent metric from the "Net flows" estimate above (which is derived from daily shares-outstanding changes). SEC N-PORT filing lag is up to ~60 days; the most recent month/quarter may not yet be fully reflected.
Vollständige Zusammensetzung 65 Beteiligungen
| Name | CUSIP | Wert | % | Bilanz | Kategorie | Land |
|---|---|---|---|---|---|---|
| Prologis Inc | 74340W103 | $398K | 11,72 | 2.936 | EC | US |
| Equinix Inc | 29444U700 | $324K | 9,55 | 311 | EC | US |
| Simon Property Group Inc | 828806109 | $304K | 8,95 | 1.358 | EC | US |
| American Tower Corp | 03027X100 | $243K | 7,15 | 1.484 | EC | US |
| Digital Realty Trust Inc | 253868103 | $196K | 5,78 | 1.093 | EC | US |
| VICI Properties Inc | 925652109 | $150K | 4,42 | 5.651 | EC | US |
| Ventas Inc | 92276F100 | $132K | 3,90 | 1.492 | EC | US |
| Iron Mountain Inc | 46284V101 | $118K | 3,48 | 935 | EC | US |
| Invitation Homes Inc | 46187W107 | $77K | 2,28 | 2.560 | EC | US |
| Healthpeak Properties Inc | 42250P103 | $76K | 2,24 | 3.560 | EC | US |
| Host Hotels & Resorts Inc | 44107P104 | $68K | 2,02 | 2.885 | EC | US |
| Lamar Advertising Co | 512816109 | $67K | 1,99 | 432 | EC | US |
| Gaming and Leisure Properties Inc | 36467J108 | $67K | 1,98 | 1.506 | EC | US |
| WP Carey Inc | 92936U109 | $67K | 1,96 | 931 | EC | US |
| Omega Healthcare Investors Inc | 681936100 | $61K | 1,80 | 1.279 | EC | US |
| SBA Communications Corp | 78410G104 | $60K | 1,76 | 339 | EC | US |
| American Homes 4 Rent | 02665T306 | $52K | 1,53 | 1.550 | EC | US |
| Alexandria Real Estate Equities Inc | 015271109 | $47K | 1,39 | 890 | EC | US |
| Sun Communities Inc | 866674104 | $47K | 1,38 | 392 | EC | US |
| BXP Inc | 101121101 | $44K | 1,28 | 657 | EC | US |
| Brixmor Property Group Inc | 11120U105 | $41K | 1,21 | 1.299 | EC | US |
| CubeSmart | 229663109 | $38K | 1,12 | 957 | EC | US |
| NNN REIT Inc | 637417106 | $38K | 1,11 | 808 | EC | US |
| Ryman Hospitality Properties Inc | 78377T107 | $33K | 0,98 | 259 | EC | US |
| STAG Industrial Inc | 85254J102 | $30K | 0,90 | 801 | EC | US |
| American Healthcare REIT Inc | 398182303 | $30K | 0,90 | 584 | EC | US |
| Healthcare Realty Trust Inc | 42226K105 | $30K | 0,89 | 1.494 | EC | US |
| Sabra Health Care REIT Inc | 78573L106 | $26K | 0,77 | 1.332 | EC | US |
| First Industrial Realty Trust Inc | 32054K103 | $26K | 0,76 | 418 | EC | US |
| Millrose Properties Inc | 601137102 | $25K | 0,75 | 848 | EC | US |
| Kite Realty Group Trust | 49803T300 | $25K | 0,73 | 873 | EC | US |
| Outfront Media Inc | 69007J304 | $24K | 0,71 | 731 | EC | US |
| Vornado Realty Trust | 929042109 | $24K | 0,70 | 607 | EC | US |
| EPR Properties | 26884U109 | $23K | 0,69 | 404 | EC | US |
| Kilroy Realty Corp | 49427F108 | $23K | 0,67 | 610 | EC | US |
| COLUMBIA SHORT TERM CASH FUND | 19766H239 | $23K | 0,67 | 22.708 | STIV | US |
| Cousins Properties Inc | 222795502 | $21K | 0,62 | 701 | EC | US |
| Apple Hospitality REIT Inc | 03784Y200 | $21K | 0,61 | 1.239 | EC | US |
| Broadstone Net Lease Inc | 11135E203 | $21K | 0,61 | 997 | EC | US |
| Essential Properties Realty Trust Inc | 29670E107 | $20K | 0,59 | 666 | EC | US |
| COPT Defense Properties | 22002T108 | $17K | 0,51 | 479 | EC | US |
| Highwoods Properties Inc | 431284108 | $17K | 0,51 | 576 | EC | US |
| Phillips Edison & Co Inc | 71844V201 | $17K | 0,50 | 404 | EC | US |
| LXP Industrial Trust | 529043408 | $16K | 0,48 | 302 | EC | US |
| Park Hotels & Resorts Inc | 700517105 | $15K | 0,43 | 1.034 | EC | US |
| Medical Properties Trust Inc | 58463J304 | $15K | 0,43 | 3.152 | EC | US |
| Rayonier Inc | 754907103 | $14K | 0,43 | 681 | EC | US |
| Tanger Inc | 875465106 | $14K | 0,42 | 363 | EC | US |
| Urban Edge Properties | 91704F104 | $12K | 0,35 | 526 | EC | US |
| Douglas Emmett Inc | 25960P109 | $10K | 0,31 | 888 | EC | US |
Dividenden 1 Zahlung
| Ex-Datum | Betrag / Aktie |
|---|---|
| 24. Juli 2026 | $3,6833 |
Institutionelle Eigentümer (13F) 4 Einreicher
Institutionen, die diese ETF in ihrer vierteljährlichen SEC-Formular 13F melden. Nur Long-Positionen; ein einzelner Einreicher kann zweimal für separate Optionskontrakte erscheinen. Große gegenläufige Put/Call-Positionen spiegeln typischerweise Market-Making oder abgesicherte Bestände wider, nicht die gerichtete Überzeugung.
| Institution | Wert | % der verfolgten 13F | Aktien | Typ | Stand |
|---|---|---|---|---|---|
| Y.D. More Investments Ltd | $2.556.331 | 53,61% | 1.546 | Aktien | 30. Juni 2026 |
| AMERIPRISE FINANCIAL INC | $2.187.623 | 45,88% | 96.571 | Aktien | 30. Juni 2026 |
| OSAIC HOLDINGS, INC. | $24.397 | 0,51% | 1.077 | Aktien | 30. Juni 2026 |
| UBS Group AG | $249 | 0,01% | 11 | Aktien | 30. Juni 2026 |