Columbia Research Enhanced Small Cap ETF (RESM)

Management Company · ARCX · Series S000095313 · View on SEC EDGAR ↗

$24.55
As of Aug. 27, 2026
▲ +0.06 (+0.26%)
1-day change
$24.34 $24.65
52-week range
Net assets
$3.7M
Holdings
1,040
As of
June 30, 2026
Top 10 holdings weight
5.04%
Effective number of positions
551.1
Positions above 1%
0
On this page

RESM Stock Price Chart Daily OHLCV with technical indicators — pan, zoom, and customize your view

Performance as of Aug. 27, 2026

Period Price return Total return
1M
3M
6M
YTD
1Y
3Y
5Y
Max since Aug. 18, 2026 ▼ -0.20% ▼ -0.20%
Volatility 1Y
Volatility 3Y
Max drawdown 3Y
Beta 3Y
Sharpe 1Y*

Total return assumes dividends are reinvested. Returns are not benchmarked against an index. * Sharpe ratio is computed with a 0% risk-free rate.

Fund flows (SEC-reported)

Last month (Jun 2026)
+$0
Quarter ending Jun 2026
+$0
Trailing 7 months
+$3.0M

Dec 2025 – Jun 2026

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.

Full composition 1,040 holdings

NameCUSIP Value % Balance Category Country
Portland General Electric Co 736508847 $10K 0.28 196 EC US
Archrock Inc 03957W106 $10K 0.28 249 EC US
Outfront Media Inc 69007J304 $10K 0.27 307 EC US
Praxis Precision Medicines Inc 74006W207 $10K 0.27 30 EC US
Clear Secure Inc 18467V109 $10K 0.27 180 EC US
Alkermes PLC $10K 0.27 190 EC IE
Axos Financial Inc 05465C100 $10K 0.27 100 EC US
ACI Worldwide Inc 004498101 $10K 0.26 192 EC US
Black Hills Corp 092113109 $10K 0.26 129 EC US
New Jersey Resources Corp 646025106 $10K 0.26 171 EC US
Vaxcyte Inc 92243G108 $10K 0.26 164 EC US
Diodes Inc 254543101 $10K 0.26 87 EC US
Kymera Therapeutics Inc 501575104 $10K 0.26 83 EC US
Phillips Edison & Co Inc 71844V201 $9K 0.26 227 EC US
Matson Inc 57686G105 $9K 0.26 49 EC US
Taylor Morrison Home Corp 87724P106 $9K 0.26 131 EC US
Garrett Motion Inc 366505105 $9K 0.26 259 EC US
AAR Corp 000361105 $9K 0.25 65 EC US
Construction Partners Inc 21044C107 $9K 0.25 78 EC US
Qualys Inc 74758T303 $9K 0.25 67 EC US
Piper Sandler Cos 724078209 $9K 0.25 126 EC US
TG Therapeutics Inc 88322Q108 $9K 0.25 165 EC US
SM Energy Co 78454L100 $9K 0.25 347 EC US
Radian Group Inc 750236101 $9K 0.25 240 EC US
Materion Corp 576690101 $9K 0.24 30 EC US
Power Integrations Inc 739276103 $9K 0.24 106 EC US
Belden Inc 077454106 $9K 0.24 74 EC US
Varonis Systems Inc 922280102 $9K 0.24 210 EC US
Apogee Therapeutics Inc 03770N101 $9K 0.24 66 EC US
Sabra Health Care REIT Inc 78573L106 $9K 0.24 448 EC US
Eastern Bankshares Inc 27627N105 $9K 0.24 392 EC US
Veeco Instruments Inc 922417100 $9K 0.24 115 EC US
Protagonist Therapeutics Inc 74366E102 $9K 0.24 71 EC US
SSR Mining Inc 784730103 $9K 0.23 303 EC CA
Rhythm Pharmaceuticals Inc 76243J105 $9K 0.23 77 EC US
CNO Financial Group Inc 12621E103 $8K 0.23 166 EC US
Victoria's Secret & Co 926400102 $8K 0.23 101 EC US
Zeta Global Holdings Corp 98956A105 $8K 0.23 427 EC US
Fulton Financial Corp 360271100 $8K 0.23 347 EC US
UFP Industries Inc 90278Q108 $8K 0.23 92 EC US
Victory Capital Holdings Inc 92645B103 $8K 0.23 99 EC US
Badger Meter Inc 056525108 $8K 0.23 56 EC US
Life360 Inc 532206109 $8K 0.23 150 EC US
ONE Gas Inc 68235P108 $8K 0.22 106 EC US
COLUMBIA SHORT TERM CASH FUND 19766H239 $8K 0.22 8,142 STIV US
Texas Capital Bancshares Inc 88224Q107 $8K 0.22 78 EC US
Tanger Inc 875465106 $8K 0.22 203 EC US
Associated Banc-Corp 045487105 $8K 0.22 260 EC US
Spyre Therapeutics Inc 00773J202 $8K 0.22 90 EC US
Meritage Homes Corp 59001A102 $8K 0.22 95 EC US
Page 2 of 21

Sector breakdown

Healthcare
17.9%
Industrials
17.1%
Financials
11.2%
Technology
9.6%
Real Estate
6.1%
Financial Services
5.1%
Energy
4.2%
Materials
3.5%
Consumer Discretionary
3.4%
Utilities
2.7%
Consumer products
2.6%
Retail
2.4%
Communication Services
1.5%
Communications
1.4%
Diversified Consumer Services
1.1%
Consumer Staples
0.8%
Telecommunication
0.8%
Packaging
0.2%
Logistics & Transportation
0.1%
Paper & Forest
0.1%
Other/Unmapped
8.4%

Dividends 1 payment

0.08%
TTM yield
$0.02
TTM payout / share
Ex-date Amount / share
Dec. 18, 2025 $0.0190

Institutional owners (13F) 4 filers

Institutions that report holding this ETF in their quarterly SEC Form 13F. Long positions only; a single filer may appear twice for separate option legs. Large offsetting put/call legs typically reflect market-making or hedged inventory, not directional conviction.

Institution Value % of tracked 13F Shares Type As of
AMERIPRISE FINANCIAL INC $2,990,503 83.44% 122,354 Shares June 30, 2026
ROYAL BANK OF CANADA $420,000 11.72% 17,179 Shares June 30, 2026
WELLS FARGO & COMPANY/MN $141,760 3.96% 5,800 Shares June 30, 2026
CREATIVE FINANCIAL DESIGNS INC /ADV $31,774 0.89% 1,300 Shares June 30, 2026

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