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02
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Performance as of Sept. 30, 2026

03
PeriodPrice returnTotal return
1M▼ -3.11%▼ -2.71%
3M··
6M··
YTD··
1Y··
3Y··
5Y··
Maxsince Aug. 18, 2026▼ -2.73%▼ -2.33%
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)

04
Last month (May 2026) +$4.3M
Quarter ending May 2026 +$4.3M
Trailing 12 months +$13.1M Jun 2025 – May 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 1,777 holdings

05
IssuerTickerWeight %Market valueSharesCUSIPUnits/shareTypeCurrency
BLK CSH FND TREASURY SL AGENCY 2.65 ≈$1.5M 1,549,591 066922477 2.214 CASH USD
SHIRE ACQUISITIONS INVESTMENTS IRE 0.62 ≈$365K 360,000 82481LAD1 0.5143 BOND USD
FORD MOTOR CREDIT COMPANY LLC 0.40 ≈$234K 220,000 345397D67 0.3143 BOND USD
AERCAP IRELAND CAPITAL DAC 0.40 ≈$231K 220,000 00774MBE4 0.3143 BOND USD
FORD MOTOR CREDIT COMPANY LLC (FXD 0.35 ≈$207K 200,000 345397G72 0.2857 BOND USD
SANTANDER UK GROUP HOLDINGS PLC 0.35 ≈$206K 200,000 80281LAT2 0.2857 BOND USD
NOMURA HOLDINGS INC 0.35 ≈$204K 200,000 65535HBH1 0.2857 BOND USD
TAKEDA PHARMACEUTICAL CO LTD 0.35 ≈$203K 200,000 874060AW6 0.2857 BOND USD
BARCLAYS PLC 0.35 ≈$202K 200,000 06738EAW5 0.2857 BOND USD
TAKEDA PHARMACEUTICAL CO LTD 0.34 ≈$199K 220,000 874060AX4 0.3143 BOND USD
NOMURA HOLDINGS INC 0.31 ≈$181K 205,000 65535HAX7 0.2929 BOND USD
CHARTER COMMUNICATIONS OPERATING L 144A 0.30 ≈$174K 179,000 161175CU6 0.2557 BOND USD
DEUTSCHE BANK AG (NEW YORK BRANCH) 0.29 ≈$172K 170,000 251526CV9 0.2429 BOND USD
VERIZON COMMUNICATIONS INC 0.28 ≈$163K 181,000 92343VGJ7 0.2586 BOND USD
DEUTSCHE BANK AG (NEW YORK BRANCH) 0.26 ≈$154K 150,000 251526CS6 0.2143 BOND USD
AERCAP IRELAND CAPITAL DAC / AERCA 0.26 ≈$153K 150,000 00774MAR6 0.2143 BOND USD
FORD MOTOR COMPANY 0.26 ≈$150K 140,000 345370CA6 0.2 BOND USD
AERCAP IRELAND CAPITAL LTD / AERCA 0.26 ≈$150K 150,000 00774MAB1 0.2143 BOND USD
DEUTSCHE BANK AG (NEW YORK BRANCH) 0.25 ≈$146K 155,000 251526CD9 0.2214 BOND USD
AMERICAN TOWER CORPORATION 0.25 ≈$145K 150,000 03027XAW0 0.2143 BOND USD
SPACE EXPLORATION TECHNOLOGIES COR 144A 0.25 ≈$144K 150,000 84615QAC7 0.2143 BOND USD
SPACE EXPLORATION TECHNOLOGIES COR 144A 0.24 ≈$141K 150,000 84615QAE3 0.2143 BOND USD
T-MOBILE USA INC 0.24 ≈$141K 145,000 87264ABF1 0.2071 BOND USD
AT&T INC 0.23 ≈$135K 150,000 00206RJY9 0.2143 BOND USD
AMGEN INC 0.23 ≈$133K 135,000 031162DR8 0.1929 BOND USD
AERCAP IRELAND CAPITAL DAC 0.22 ≈$131K 150,000 00774MAY1 0.2143 BOND USD
TELEFONICA EMISIONES SAU 0.22 ≈$131K 150,000 87938WAV5 0.2143 BOND USD
T-MOBILE USA INC 0.22 ≈$129K 145,000 87264ACB9 0.2071 BOND USD
NEXTERA ENERGY CAPITAL HOLDINGS IN 0.22 ≈$127K 140,000 65339KBR0 0.2 BOND USD
CVS HEALTH CORP 0.21 ≈$124K 145,000 126650CZ1 0.2071 BOND USD
AMGEN INC 0.21 ≈$124K 135,000 031162DT4 0.1929 BOND USD
ORACLE CORPORATION 0.21 ≈$124K 140,000 68389XCE3 0.2 BOND USD
HCA INC 0.20 ≈$117K 125,000 404119CA5 0.1786 BOND USD
CVS HEALTH CORP 0.20 ≈$115K 125,000 126650CY4 0.1786 BOND USD
CITIGROUP INC 0.19 ≈$114K 115,000 172967KU4 0.1643 BOND USD
ORACLE CORPORATION 0.19 ≈$113K 120,000 68389XDK8 0.1714 BOND USD
ORACLE CORPORATION 0.19 ≈$113K 115,000 68389XDW2 0.1643 BOND USD
GOLDMAN SACHS GROUP INC/THE 0.19 ≈$112K 105,000 38141GFD1 0.15 BOND USD
AMGEN INC 0.19 ≈$110K 120,000 031162CU2 0.1714 BOND USD
BOEING CO 0.19 ≈$109K 115,000 097023CW3 0.1643 BOND USD
HSBC HOLDINGS PLC 0.18 ≈$106K 100,000 404280AH2 0.1429 BOND USD
BOEING CO 0.18 ≈$106K 105,000 097023CY9 0.15 BOND USD
GENERAL MOTORS FINANCIAL COMPANY I 0.18 ≈$106K 120,000 37045XDE3 0.1714 BOND USD
CVS HEALTH CORP 0.18 ≈$105K 105,000 126650DT4 0.15 BOND USD
AT&T INC 0.18 ≈$104K 170,000 00206RLJ9 0.2429 BOND USD
VERIZON COMMUNICATIONS INC 0.18 ≈$104K 120,000 92343VGN8 0.1714 BOND USD
SOUTHERN COMPANY (THE) 0.18 ≈$104K 100,000 842587DS3 0.1429 BOND USD
SANTANDER HOLDINGS USA INC 0.18 ≈$103K 100,000 80282KBQ8 0.1429 BOND USD
GE HEALTHCARE TECHNOLOGIES INC 0.18 ≈$103K 100,000 36267VAF0 0.1429 BOND USD
AT&T INC 0.17 ≈$102K 165,000 00206RKJ0 0.2357 BOND USD

Market value is estimated from each holding's weight and the fund's net assets. Weight and shares are as reported by the fund.

Sector breakdown

06
Other/Unmapped 100.0%

Daily changes (30d)

07
DateTypeTickerChange
Sept. 10, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 2.206 → 2.214 (0.3%)
Sept. 10, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.00419 → 0.001114 (-73.4%)
Sept. 9, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.002157 → 0.00419 (-294.2%)
Sept. 8, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 2.123 → 2.206 (3.9%)
Sept. 8, 2026 Exited 6174467Y9 Position exited — was 0.06429 units/share
Sept. 8, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: -0.001379 → -0.002157 (56.5%)
Sept. 4, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 2.484 → 2.123 (-14.5%)
Sept. 4, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.3633 → -0.001379 (-99.6%)
Sept. 3, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 2.459 → 2.484 (1.0%)
Sept. 3, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: -0.3413 → -0.3633 (6.5%)
Sept. 2, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.727 → 2.459 (-34.0%)
Sept. 2, 2026 Increased — USD CASH X2f5743ed867 Units/share: -1.645 → -0.3413 (-79.3%)
Sept. 1, 2026 Trimmed — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.769 → 3.727 (-1.1%)
Sept. 1, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: -1.414 → -1.645 (16.4%)
Aug. 31, 2026 Trimmed — AT&T INC 00206RCP5 Units/share: 0.1571 → 0.1429 (-9.1%)
Aug. 31, 2026 Trimmed — AT&T INC 00206RJY9 Units/share: 0.2286 → 0.2143 (-6.2%)
Aug. 31, 2026 Trimmed — AT&T INC 00206RMM1 Units/share: 0.1857 → 0.1571 (-15.4%)
Aug. 31, 2026 Trimmed — AT&T INC 00206RNP3 Units/share: 0.1071 → 0.09286 (-13.3%)
Aug. 31, 2026 New — AGILENT TECHNOLOGIES INC 00846UAL5 New position — 0.01429 units/share
Aug. 31, 2026 New — AGILENT TECHNOLOGIES INC 00846UAM3 New position — 0.01429 units/share
Aug. 31, 2026 New — AMERICAN ELECTRIC POWER COMPANY IN 025537AM3 New position — 0.01429 units/share
Aug. 31, 2026 New — AMERICAN ELECTRIC POWER COMPANY IN 025537AY7 New position — 0.02857 units/share
Aug. 31, 2026 Trimmed — AMERICAN HONDA FINANCE CORPORATION MTN 02665WGT2 Units/share: 0.05714 → 0.04286 (-25.0%)
Aug. 31, 2026 Increased — CENCORA INC 03073EBC8 Units/share: 0.01429 → 0.02857 (100.0%)
Aug. 31, 2026 New — CENCORA INC 03073EBD6 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — AMGEN INC 031162CR9 Units/share: 0.05 → 0.03571 (-28.6%)
Aug. 31, 2026 Trimmed — AMGEN INC 031162DA5 Units/share: 0.07143 → 0.05714 (-20.0%)
Aug. 31, 2026 New — AMGEN INC 031162DK3 New position — 0.03571 units/share
Aug. 31, 2026 Trimmed — ELEVANCE HEALTH INC 036752AD5 Units/share: 0.09286 → 0.07857 (-15.4%)
Aug. 31, 2026 New — ARIZONA PUBLIC SERVICE COMPANY 040555DG6 New position — 0.01429 units/share
Aug. 31, 2026 New — ATHENE HOLDING LTD 04686JAN1 New position — 0.01429 units/share
Aug. 31, 2026 New — AUTONATION INC 05329WAU6 New position — 0.01429 units/share
Aug. 31, 2026 New — AUTOZONE INC 053332AV4 New position — 0.01429 units/share
Aug. 31, 2026 New — AVANGRID INC 05351WAB9 New position — 0.01429 units/share
Aug. 31, 2026 New — AVNET INC 053807BA0 New position — 0.01429 units/share
Aug. 31, 2026 New — BAT CAPITAL CORP 05526DBN4 New position — 0.01429 units/share
Aug. 31, 2026 New — BAT INTERNATIONAL FINANCE PLC 05530QAQ3 New position — 0.01429 units/share
Aug. 31, 2026 Increased — BECTON DICKINSON AND COMPANY 075887BW8 Units/share: 0.03571 → 0.05 (40.0%)
Aug. 31, 2026 Increased — BLACKSTONE PRIVATE CREDIT FUND 09261HBN6 Units/share: 0.01429 → 0.04286 (200.0%)
Aug. 31, 2026 New — BLUE OWL CREDIT INCOME CORP 09581CAB7 New position — 0.02857 units/share
Aug. 31, 2026 Trimmed — BOEING CO 097023DT9 Units/share: 0.09286 → 0.07857 (-15.4%)
Aug. 31, 2026 New — BOOZ ALLEN HAMILTON INC 09951LAC7 New position — 0.01429 units/share
Aug. 31, 2026 Increased — CBRE SERVICES INC 12505BAH3 Units/share: 0.01429 → 0.04286 (200.0%)
Aug. 31, 2026 New — CGI INC 12532HAC8 New position — 0.03571 units/share
Aug. 31, 2026 Trimmed — CIGNA GROUP 125523CL2 Units/share: 0.1071 → 0.07857 (-26.7%)
Aug. 31, 2026 New — CNH INDUSTRIAL CAPITAL LLC 12592BAR5 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — CNA FINANCIAL CORP 126117AZ3 Units/share: 0.05 → 0.03571 (-28.6%)
Aug. 31, 2026 Trimmed — CVS HEALTH CORP 126650CM0 Units/share: 0.06429 → 0.05 (-22.2%)
Aug. 31, 2026 Trimmed — CANADIAN NATURAL RESOURCES LIMITED 136385AL5 Units/share: 0.05 → 0.03571 (-28.6%)
Aug. 31, 2026 New — CANADIAN PACIFIC RAILWAY COMPANY 13645RBF0 New position — 0.01429 units/share
Aug. 31, 2026 New — CANADIAN PACIFIC RAILWAY COMPANY 13645RBP8 New position — 0.01429 units/share
Aug. 31, 2026 New — CARDINAL HEALTH INC 14149YBR8 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — CARRIER GLOBAL CORP 14448CAS3 Units/share: 0.06857 → 0.05429 (-20.8%)
Aug. 31, 2026 New — CHARTER COMMUNICATIONS OPERATING L 161175DB7 New position — 0.03571 units/share
Aug. 31, 2026 Increased — CHENIERE ENERGY INC 16411RAK5 Units/share: 0.02143 → 0.03571 (66.7%)
Aug. 31, 2026 Trimmed — CITIGROUP INC 172967KR1 Units/share: 0.07857 → 0.06429 (-18.2%)
Aug. 31, 2026 New — CONAGRA BRANDS INC 205887CJ9 New position — 0.03571 units/share
Aug. 31, 2026 Increased — COREBRIDGE FINANCIAL INC 21871XAK5 Units/share: 0.01429 → 0.02857 (100.0%)
Aug. 31, 2026 Trimmed — CROWN CASTLE INC 22822VAU5 Units/share: 0.06429 → 0.05 (-22.2%)
Aug. 31, 2026 New — DTE ENERGY COMPANY 233331BM8 New position — 0.02857 units/share
Aug. 31, 2026 Trimmed — DELL INTERNATIONAL LLC 24703TAN6 Units/share: 0.1143 → 0.08571 (-25.0%)
Aug. 31, 2026 Exited 25179MBL6 Position exited — was 0.02857 units/share
Aug. 31, 2026 Trimmed — DIAMONDBACK ENERGY INC 25278XAZ2 Units/share: 0.1 → 0.08571 (-14.3%)
Aug. 31, 2026 Trimmed — DOMINION ENERGY INC 25746UDK2 Units/share: 0.03571 → 0.02143 (-40.0%)
Aug. 31, 2026 Trimmed — DOW CHEMICAL CO 260543BJ1 Units/share: 0.02857 → 0.01429 (-50.0%)
Aug. 31, 2026 Trimmed — DUKE ENERGY CORP 26441CBH7 Units/share: 0.1571 → 0.1429 (-9.1%)
Aug. 31, 2026 Trimmed — DUKE ENERGY CORP 26441CBZ7 Units/share: 0.1 → 0.07143 (-28.6%)
Aug. 31, 2026 New — EDISON INTERNATIONAL 281020AN7 New position — 0.02857 units/share
Aug. 31, 2026 New — EDISON INTERNATIONAL 281020BA4 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — ENABLE MIDSTREAM PARTNERS LP 292480AJ9 Units/share: 0.07429 → 0.04571 (-38.5%)
Aug. 31, 2026 New — ENBRIDGE INC 29250NAL9 New position — 0.01429 units/share
Aug. 31, 2026 New — ENBRIDGE INC 29250NCB9 New position — 0.02857 units/share
Aug. 31, 2026 New — EQUINIX INC 29444UBD7 New position — 0.01429 units/share
Aug. 31, 2026 New — EQUINIX INC 29444UBV7 New position — 0.04286 units/share
Aug. 31, 2026 New — EXELON CORPORATION 30161NBM2 New position — 0.01429 units/share
Aug. 31, 2026 New — FACTSET RESEARCH SYSTEMS INC 303075AA3 New position — 0.01429 units/share
Aug. 31, 2026 New — FERGUSON ENTERPRISES INC 31488VAD9 New position — 0.01429 units/share
Aug. 31, 2026 New — FORTIS INC 349553AM9 New position — 0.02857 units/share
Aug. 31, 2026 Increased — FOX CORP 35137LAH8 Units/share: 0.05714 → 0.07143 (25.0%)
Aug. 31, 2026 New — GE HEALTHCARE TECHNOLOGIES INC 36266GAA5 New position — 0.1 units/share
Aug. 31, 2026 Trimmed — GENERAL MOTORS FINANCIAL COMPANY I 37045XDE3 Units/share: 0.2286 → 0.1714 (-25.0%)
Aug. 31, 2026 Trimmed — GENERAL MOTORS FINANCIAL COMPANY I 37045XEP7 Units/share: 0.08571 → 0.07143 (-16.7%)
Aug. 31, 2026 Trimmed — GLOBAL PAYMENTS INC 37940XAX0 Units/share: 0.05714 → 0.04286 (-25.0%)
Aug. 31, 2026 Trimmed — HCA INC 404119CB3 Units/share: 0.08571 → 0.07143 (-16.7%)
Aug. 31, 2026 Trimmed — HCA INC 404119CU1 Units/share: 0.1143 → 0.1 (-12.5%)
Aug. 31, 2026 New — HALEON US CAPITAL LLC 40555XAA0 New position — 0.03571 units/share
Aug. 31, 2026 New — HALEON US CAPITAL LLC 40555XAC6 New position — 0.05714 units/share
Aug. 31, 2026 Trimmed — HUNTINGTON BANCSHARES INC 446150BD5 Units/share: 0.07143 → 0.05714 (-20.0%)
Aug. 31, 2026 Trimmed — INTEL CORPORATION 458140BU3 Units/share: 0.1857 → 0.1571 (-15.4%)
Aug. 31, 2026 Trimmed — INTEL CORPORATION 458140BW9 Units/share: 0.09286 → 0.07857 (-15.4%)
Aug. 31, 2026 Trimmed — INTEL CORPORATION 458140CL2 Units/share: 0.1571 → 0.1286 (-18.2%)
Aug. 31, 2026 Increased — IQVIA INC 46266TAF5 Units/share: 0.02857 → 0.05714 (100.0%)
Aug. 31, 2026 Trimmed — JBS USA LUX SA 46590XAP1 Units/share: 0.1143 → 0.07143 (-37.5%)
Aug. 31, 2026 New — JOHNSON CONTROLS INTERNATIONAL PLC 477921AA8 New position — 0.01429 units/share
Aug. 31, 2026 New — KEYSIGHT TECHNOLOGIES INC 49338LAE3 New position — 0.02857 units/share
Aug. 31, 2026 New — KINDER MORGAN INC 494553AD2 New position — 0.01429 units/share
Aug. 31, 2026 New — KINDER MORGAN INC 49456BAG6 New position — 0.07143 units/share
Aug. 31, 2026 New — KINDER MORGAN INC 49456BAZ4 New position — 0.05714 units/share
Aug. 31, 2026 Trimmed — KROGER CO 501044DN8 Units/share: 0.07857 → 0.06429 (-18.2%)
Aug. 31, 2026 New — MPLX LP 55336VBU3 New position — 0.01429 units/share
Aug. 31, 2026 Increased — MPLX LP 55336VBX7 Units/share: 0.02857 → 0.04286 (50.0%)
Aug. 31, 2026 New — MARRIOTT INTERNATIONAL INC 571903BL6 New position — 0.1 units/share
Aug. 31, 2026 New — MARRIOTT INTERNATIONAL INC 571903BT9 New position — 0.01429 units/share
Aug. 31, 2026 New — MARRIOTT INTERNATIONAL INC 571903BW2 New position — 0.01429 units/share
Aug. 31, 2026 New — MARTIN MARIETTA MATERIALS INC 573284BD7 New position — 0.01429 units/share
Aug. 31, 2026 New — MARTIN MARIETTA MATERIALS INC 573284BF2 New position — 0.04286 units/share
Aug. 31, 2026 New — MARTIN MARIETTA MATERIALS INC 573284BG0 New position — 0.04286 units/share
Aug. 31, 2026 Increased — MASTEC INC. 576323AT6 Units/share: 0.01429 → 0.1 (600.0%)
Aug. 31, 2026 Trimmed — MCDONALDS CORPORATION MTN 58013MGB4 Units/share: 0.1214 → 0.07857 (-35.3%)
Aug. 31, 2026 New — MONDELEZ INTERNATIONAL INC 609207BA2 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — MOODYS CORPORATION 615369AY1 Units/share: 0.04286 → 0.02857 (-33.3%)
Aug. 31, 2026 New — MOTOROLA SOLUTIONS INC 620076BN8 New position — 0.01429 units/share
Aug. 31, 2026 New — MOTOROLA SOLUTIONS INC 620076BZ1 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — NASDAQ INC 63111XAK7 Units/share: 0.04286 → 0.02857 (-33.3%)
Aug. 31, 2026 New — NISOURCE INC 65473PAS4 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — NORFOLK SOUTHERN CORPORATION 655844CF3 Units/share: 0.08571 → 0.07143 (-16.7%)
Aug. 31, 2026 Trimmed — NORTHROP GRUMMAN CORP 666807BP6 Units/share: 0.1071 → 0.07857 (-26.7%)
Aug. 31, 2026 New — OREILLY AUTOMOTIVE INC 67103HAQ0 New position — 0.04286 units/share
Aug. 31, 2026 Trimmed — ONEOK INC 682680DA8 Units/share: 0.03571 → 0.02143 (-40.0%)
Aug. 31, 2026 New — PACIFIC GAS AND ELECTRIC COMPANY 694308KJ5 New position — 0.01429 units/share
Aug. 31, 2026 New — PACIFIC GAS AND ELECTRIC COMPANY 694308KL0 New position — 0.04286 units/share
Aug. 31, 2026 New — PACIFIC GAS AND ELECTRIC COMPANY 694308KQ9 New position — 0.01429 units/share
Aug. 31, 2026 New — PACIFIC GAS AND ELECTRIC COMPANY 694308KU0 New position — 0.02857 units/share
Aug. 31, 2026 New — PACIFIC GAS AND ELECTRIC COMPANY 694308KX4 New position — 0.02857 units/share
Aug. 31, 2026 New — PACIFIC GAS AND ELECTRIC COMPANY 694308LA3 New position — 0.02857 units/share
Aug. 31, 2026 New — PACIFIC GAS AND ELECTRIC COMPANY 694308LC9 New position — 0.02857 units/share
Aug. 31, 2026 New — PACIFIC GAS AND ELECTRIC COMPANY 694308LG0 New position — 0.02857 units/share
Aug. 31, 2026 New — PACIFICORP 695114DA3 New position — 0.02857 units/share
Aug. 31, 2026 New — PACIFICORP 695114DB1 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — PHILLIPS 66 718546AL8 Units/share: 0.1 → 0.08571 (-14.3%)
Aug. 31, 2026 New — PINNACLE WEST CAPITAL CORPORATION 723484AP6 New position — 0.01429 units/share
Aug. 31, 2026 Increased — PUBLIC SERVICE COMPANY OF OKLAHOMA 744533BR0 Units/share: 0.01429 → 0.02857 (100.0%)
Aug. 31, 2026 New — QUANTA SERVICES INC. 74762EAL6 New position — 0.01429 units/share
Aug. 31, 2026 New — QUANTA SERVICES INC. 74762EAR3 New position — 0.01429 units/share
Aug. 31, 2026 New — QUEST DIAGNOSTICS INCORPORATED 74834LBB5 New position — 0.01429 units/share
Aug. 31, 2026 New — REYNOLDS AMERICAN INC 761713AZ9 New position — 0.01429 units/share
Aug. 31, 2026 New — SKYWORKS SOLUTIONS INC 83088MAQ5 New position — 0.04286 units/share
Aug. 31, 2026 Trimmed — J M SMUCKER CO 832696AP3 Units/share: 0.05 → 0.03571 (-28.6%)
Aug. 31, 2026 Increased — SOUTHWEST AIRLINES CO 844741BK3 Units/share: 0.02143 → 0.07857 (266.7%)
Aug. 31, 2026 New — SOUTHWEST AIRLINES CO 844741BL1 New position — 0.02857 units/share
Aug. 31, 2026 New — SOUTHWESTERN ELECTRIC POWER COMPAN 845437BR2 New position — 0.01429 units/share
Aug. 31, 2026 New — SOUTHWESTERN ELECTRIC POWER COMPAN 845437BU5 New position — 0.01429 units/share
Aug. 31, 2026 Increased — SPACE EXPLORATION TECHNOLOGIES COR 144A 84615QAA1 Units/share: 0.1071 → 0.1357 (26.7%)
Aug. 31, 2026 New — STANLEY BLACK & DECKER INC 854502AL5 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — T-MOBILE USA INC 87264ADM4 Units/share: 0.15 → 0.07857 (-47.6%)
Aug. 31, 2026 New — TEVA PHARMACEUTICAL FINANCE NETHER 88167AAF8 New position — 0.07143 units/share
Aug. 31, 2026 Increased — TYSON FOODS INC 902494BM4 Units/share: 0.01429 → 0.02857 (100.0%)
Aug. 31, 2026 New — TYSON FOODS INC 902494BP7 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — RAYTHEON TECHNOLOGIES CORPORATION 913017CJ6 Units/share: 0.06429 → 0.05 (-22.2%)
Aug. 31, 2026 New — UNIVERSAL HEALTH SERVICES INC 913903BB5 New position — 0.01429 units/share
Aug. 31, 2026 New — UNIVERSAL HEALTH SERVICES INC 913903BC3 New position — 0.01429 units/share
Aug. 31, 2026 Trimmed — VENTAS REALTY LP 92277GAV9 Units/share: 0.08429 → 0.04143 (-50.8%)
Aug. 31, 2026 Trimmed — VERIZON COMMUNICATIONS INC 92343VCZ5 Units/share: 0.1214 → 0.1071 (-11.8%)
Aug. 31, 2026 Trimmed — VERIZON COMMUNICATIONS INC 92343VGJ7 Units/share: 0.2729 → 0.2586 (-5.2%)
Aug. 31, 2026 Trimmed — VERTIV HOLDINGS CO 92537NAD0 Units/share: 0.03571 → 0.02143 (-40.0%)
Aug. 31, 2026 Increased — VICI PROPERTIES LP 925650AD5 Units/share: 0.03571 → 0.05 (40.0%)
Aug. 31, 2026 Increased — VICI PROPERTIES LP 925650AK9 Units/share: 0.01429 → 0.04286 (200.0%)
Aug. 31, 2026 Trimmed — VODAFONE GROUP PLC 92857WBU3 Units/share: 0.05 → 0.03571 (-28.6%)
Aug. 31, 2026 New — VYLOR INC 144A 92892RAC2 New position — 0.04286 units/share
Aug. 31, 2026 Trimmed — WELLS FARGO & COMPANY MTN 94974BGU8 Units/share: 0.09286 → 0.06429 (-30.8%)
Aug. 31, 2026 Trimmed — WILLIAMS COMPANIES INC 969457CP3 Units/share: 0.1143 → 0.07143 (-37.5%)
Aug. 31, 2026 Trimmed — XCEL ENERGY INC 98389BAX8 Units/share: 0.04286 → 0.02857 (-33.3%)
Aug. 31, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: -0.009329 → -1.414 (15054.1%)
Aug. 28, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.747 → 3.769 (0.6%)
Aug. 28, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.009171 → -0.009329 (-201.7%)
Aug. 27, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.743 → 3.747 (0.1%)
Aug. 27, 2026 Increased — USD CASH X2f5743ed867 Units/share: 0.007539 → 0.009171 (21.7%)
Aug. 26, 2026 Trimmed — TYSON FOODS INC 902494BK8 Units/share: 0.03571 → 0.02143 (-40.0%)
Aug. 26, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.006081 → 0.007539 (-224.0%)
Aug. 25, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.703 → 3.743 (1.1%)
Aug. 25, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.0314 → -0.006081 (-119.4%)
Aug. 24, 2026 Exited 38173MAB8 Position exited — was 0.03571 units/share
Aug. 24, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.007307 → 0.0314 (-529.8%)
Aug. 21, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.642 → 3.703 (1.7%)
Aug. 21, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.02846 → -0.007307 (-125.7%)
Aug. 20, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.558 → 3.642 (2.4%)
Aug. 20, 2026 Trimmed — BAXTER INTERNATIONAL INC 071813CS6 Units/share: 0.05 → 0.03571 (-28.6%)
Aug. 20, 2026 Exited 071813CV9 Position exited — was 0.02857 units/share
Aug. 20, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.07775 → 0.02846 (-63.4%)
Aug. 19, 2026 Exited 031162CJ7 Position exited — was 0.03571 units/share
Aug. 19, 2026 Increased — USD CASH X2f5743ed867 Units/share: 0.03691 → 0.07775 (110.7%)
Aug. 18, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.402 → 3.558 (4.6%)
Aug. 18, 2026 Exited 099724AQ9 Position exited — was 0.04286 units/share
Aug. 18, 2026 Exited 61945CAG8 Position exited — was 0.04286 units/share
Aug. 18, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.1057 → 0.03691 (-65.1%)
Aug. 17, 2026 Increased — USD CASH X2f5743ed867 Units/share: -0.004871 → 0.1057 (-2270.0%)
Aug. 14, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.357 → 3.402 (1.4%)
Aug. 14, 2026 Trimmed — USD CASH X2f5743ed867 Units/share: 0.02666 → -0.004871 (-118.3%)
Aug. 13, 2026 Increased — USD CASH X2f5743ed867 Units/share: 0.02516 → 0.02666 (6.0%)
Aug. 12, 2026 Increased — BLK CSH FND TREASURY SL AGENCY 066922477 Units/share: 3.346 → 3.357 (0.3%)
Aug. 12, 2026 Exited 161175BL7 Position exited — was 0.08571 units/share
Aug. 12, 2026 Exited 161175BT0 Position exited — was 0.02143 units/share
Aug. 12, 2026 Exited 161175BU7 Position exited — was 0.09286 units/share
Aug. 12, 2026 Exited 161175BV5 Position exited — was 0.07857 units/share
Aug. 12, 2026 Exited 161175BX1 Position exited — was 0.01429 units/share
Aug. 12, 2026 Exited 161175BZ6 Position exited — was 0.02857 units/share
Aug. 12, 2026 Exited 161175CA0 Position exited — was 0.09286 units/share
Aug. 12, 2026 Exited 161175CD4 Position exited — was 0.07857 units/share
Aug. 12, 2026 Exited 161175CE2 Position exited — was 0.02857 units/share
Aug. 12, 2026 New — CHARTER COMMUNICATIONS OPERATING L 144A 161175CU6 New position — 0.2557 units/share

Showing latest 200 of 204 changes

Dividends 63 payments

08
4.55%TTM yield
$3.74TTM payout / share
Monthly (est.)
Ex-dateAmount / share
Sept. 1, 2026$0.3550
Aug. 3, 2026$0.3540
July 1, 2026$0.3350
June 1, 2026$0.3400
May 1, 2026$0.3530
April 1, 2026$0.3220
March 2, 2026$0.3330
Feb. 2, 2026$0.3450
Dec. 19, 2025$0.3450
Dec. 1, 2025$0.3430
Nov. 3, 2025$0.3150
Oct. 1, 2025$0.3400
Sept. 2, 2025$0.3400
Aug. 1, 2025$0.3400
July 1, 2025$0.3320
June 2, 2025$0.3220
May 1, 2025$0.3190
April 1, 2025$0.3530
March 3, 2025$0.3490
Feb. 3, 2025$0.3520
Dec. 18, 2024$0.2970
Dec. 2, 2024$0.3030
Nov. 1, 2024$0.3290
Oct. 1, 2024$0.3140
Sept. 3, 2024$0.3260
Aug. 1, 2024$0.3250
July 1, 2024$0.3240
June 3, 2024$0.3160
May 1, 2024$0.3220
April 1, 2024$0.3200
March 1, 2024$0.3050
Feb. 1, 2024$0.3080
Dec. 14, 2023$0.3120
Dec. 1, 2023$0.2960
Nov. 1, 2023$0.2880
Oct. 2, 2023$0.2820
Sept. 1, 2023$0.2800
Aug. 1, 2023$0.2880
July 3, 2023$0.2880
June 1, 2023$0.2820
May 1, 2023$0.3070
April 3, 2023$0.3020
March 1, 2023$0.2340
Feb. 1, 2023$0.2190
Dec. 15, 2022$0.2100
Dec. 1, 2022$0.2050
Nov. 1, 2022$0.3610
Oct. 3, 2022$0.2910
Sept. 1, 2022$0.2110
Aug. 1, 2022$0.2100

Institutional owners (13F) 15 filers

09

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
BlackRock, Inc. $20,751,336 54.95% 240,000 Shares June 30, 2026
SUSQUEHANNA INTERNATIONAL GROUP, LLP $3,488,300 9.24% 40,344 Shares June 30, 2026
Insight Wealth Partners, LLC $2,614,668 6.92% 30,240 Shares June 30, 2026
Bank of New York Mellon Corp $2,146,458 5.68% 24,825 Shares June 30, 2026
WEALTH ENHANCEMENT ADVISORY SERVICES, LLC $1,900,804 5.03% 22,247 Shares June 30, 2026
GOLDMAN SACHS GROUP INC $1,567,158 4.15% 18,125 Shares June 30, 2026
JANE STREET GROUP, LLC $1,124,377 2.98% 13,004 Shares June 30, 2026
BANK OF AMERICA CORP /DE/ $1,116,324 2.96% 12,911 Shares June 30, 2026
JPMORGAN CHASE & CO $996,002 2.64% 11,476 Shares June 30, 2026
Integrated Wealth Concepts LLC $694,304 1.84% 8,030 Shares June 30, 2026
MORGAN STANLEY $498,897 1.32% 5,770 Shares June 30, 2026
ROYAL BANK OF CANADA $473,000 1.25% 5,469 Shares June 30, 2026
Belpointe Asset Management LLC $297,782 0.79% 3,444 Shares June 30, 2026
HARBOUR INVESTMENTS, INC. $85,080 0.23% 984 Shares June 30, 2026
OSAIC HOLDINGS, INC. $9,856 0.03% 114 Shares June 30, 2026

Peer funds

10

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