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Performance as of Aug. 28, 2026

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PeriodPrice returnTotal return
1M··
3M··
6M··
YTD··
1Y··
3Y··
5Y··
Maxsince Aug. 18, 2026▼ -2.78%▼ -2.78%
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)

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Last month (Jun 2026) +$1.4M
Quarter ending Jun 2026 +$4.6M
Trailing 11 months +$17.5M Aug 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 25 holdings

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NameCUSIPValue%Balance Category Country
Eli Lilly & Co 532457108 $1.6M 7.26 1,303 EC US
Vertiv Holdings Co 92537N108 $1.5M 6.87 4,416 EC US
Welltower Inc 95040Q104 $1.5M 6.82 6,466 EC US
Howmet Aerospace Inc 443201108 $1.4M 6.64 5,316 EC US
Comfort Systems USA Inc 199908104 $1.4M 6.48 703 EC US
Astera Labs Inc 04626A103 $1.2M 5.64 2,512 EC US
Southern Copper Corp 84265V105 $1.1M 5.04 6,221 EC US
Alphabet Inc 02079K305 $1.1M 5.00 3,011 EC US
Ross Stores Inc 778296103 $1.1M 5.00 5,053 EC US
Alphabet Inc 02079K107 $1.1M 4.97 3,025 EC US
Datadog Inc 23804L103 $997K 4.64 3,831 EC US
Morgan Stanley 617446448 $942K 4.38 4,508 EC US
Corning Inc 219350105 $884K 4.11 3,461 EC US
Micron Technology Inc 595112103 $787K 3.66 682 EC US
Lam Research Corp 512807306 $777K 3.61 1,792 EC US
Dell Technologies Inc 24703L202 $644K 2.99 1,493 EC US
Analog Devices Inc 032654105 $634K 2.95 1,597 EC US
AppLovin Corp 03831W108 $518K 2.41 1,005 EC US
Advanced Micro Devices Inc 007903107 $469K 2.18 807 EC US
Western Digital Corp 958102105 $457K 2.13 716 EC US
Monolithic Power Systems Inc 609839105 $427K 1.99 309 EC US
Coherent Corp 19247G107 $381K 1.77 965 EC US
NVIDIA Corp 67066G104 $379K 1.76 1,896 EC US
Broadcom Inc 11135F101 $258K 1.20 683 EC US
First American Government Obli 31846V336 $117K 0.54 116,802 STIV US

Sector breakdown

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Technology 35.1%
Industrials 25.9%
Communication Services 10.0%
Healthcare 7.3%
Real Estate 6.8%
Retail 5.0%
Materials 5.0%
Financial Services 4.4%
Other/Unmapped 0.5%

Dividends 1 payment

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0.16%TTM yield
$0.04TTM payout / share
Ex-dateAmount / share
Dec. 23, 2025$0.0410

Institutional owners (13F) 5 filers

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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
SMART Wealth LLC $8,796,030 52.59% 306,434 Shares June 30, 2026
Authentikos Wealth Advisory, LLC $3,900,961 23.33% 135,901 Shares June 30, 2026
Brookstone Capital Management $3,589,756 21.46% 125,059 Shares June 30, 2026
AE Wealth Management LLC $343,812 2.06% 11,978 Shares June 30, 2026
MORGAN STANLEY $93,806 0.56% 3,268 Shares June 30, 2026

Peer funds

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