SSGA Active Trust (MYCI)

Perusahaan Manajemen · ARCX · Seri S000087950 · Lihat di SEC EDGAR ↗

$24,70
Per 19 Agu 2026
▲ +0,02 (+0,08%)
Perubahan 1 hari
$24,66 $25,21
Rentang 52 minggu
Aset bersih
$34.7M
Kepemilikan
196
Per tanggal
31 Mei 2026
Bobot 10 kepemilikan teratas
17,17%
Jumlah posisi efektif
113,8
Posisi di atas 1%
19
Di halaman ini

MYCI Grafik Harga Saham OHLCV harian dengan indikator teknis — geser, perbesar, dan sesuaikan tampilan Anda

Performa per 10 Maret 2026

Periode Imbal hasil harga Imbal hasil total
1M ▼ -0,38%
3M ▼ -0,14%
6M ▼ -0,46%
YTD ▼ -0,20%
1Y ▲ +1,43%
3Y
5Y
Maks sejak 24 Sep. 2024 ▼ -0,24%
Volatilitas 1T
3,24%
Volatilitas 3Y
Penurunan Maksimum 3Y
Beta 3Y
Sharpe 1Y*
0,46

Pengembalian total ditampilkan setelah riwayat dividen untuk dana ini dikumpulkan — pengembalian harga saja akan menduplikasinya secara menyesatkan. Pengembalian tidak dibandingkan dengan indeks. * Rasio Sharpe dihitung dengan suku bunga bebas risiko 0%.

Aliran dana (dilaporkan SEC)

Bulan lalu (Mei 2026)
+$0
Kuartal berakhir Mei 2026
+$3.7M
12 bulan terakhir
+$14.9M

Jun 2025 – Mei 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.

Komposisi Penuh 196 saham

NamaCUSIP Nilai % Saldo Kategori Negara
T-MOBILE USA INC 87264ADE2 $239K 0,69 237.000 DBT US
LOWE'S COS INC 548661DR5 $230K 0,66 235.000 DBT US
REPUBLIC SERVICES INC 760759BJ8 $229K 0,66 225.000 DBT US
THERMO FISHER SCIENTIFIC 883556DA7 $229K 0,66 225.000 DBT US
AMGEN INC 031162DH0 $227K 0,65 230.000 DBT US
JBS NV/USA FOODS/FOOD CO 46590XAN6 $225K 0,65 235.000 DBT NL
GENERAL MOTORS FINL CO 37045XEU6 $225K 0,65 220.000 DBT US
FORD MOTOR CREDIT CO LLC 345397ZR7 $224K 0,65 225.000 DBT US
BOSTON SCIENTIFIC CORP 101137AX5 $223K 0,64 225.000 DBT US
ARES CAPITAL CORP 04010LBG7 $223K 0,64 220.000 DBT US
CADENCE DESIGN SYS INC 127387AN8 $219K 0,63 220.000 DBT US
DTE ENERGY CO 233331BK2 $217K 0,62 214.000 DBT US
EASTMAN CHEMICAL CO 277432AZ3 $217K 0,62 215.000 DBT US
GE HEALTHCARE TECH INC 36266GAA5 $216K 0,62 215.000 DBT US
PEPSICO INC 713448EL8 $209K 0,60 220.000 DBT US
GLENCORE FUNDING LLC 378272BN7 $206K 0,59 200.000 DBT US
LOWE'S COS INC 548661AK3 $205K 0,59 195.000 DBT US
US BANCORP 91159HHW3 $205K 0,59 215.000 DBT US
SUMITOMO MITSUI FINL GRP 86562MDG2 $205K 0,59 200.000 DBT JP
MARVELL TECHNOLOGY INC 573874AP9 $205K 0,59 199.000 DBT US
LAS VEGAS SANDS CORP 517834AK3 $205K 0,59 199.000 DBT US
EXELON CORP 30161NBM2 $203K 0,58 200.000 DBT US
STELLANTIS FINANCIAL SER 85855FAD5 $200K 0,58 200.000 DBT US
M&T BANK CORPORATION 55261FAQ7 $200K 0,58 200.000 DBT US
INTEL CORP 458140BZ2 $199K 0,57 202.000 DBT US
LAS VEGAS SANDS CORP 517834AF4 $197K 0,57 204.000 DBT US
PACIFICORP 695114DB1 $197K 0,57 195.000 DBT US
SUMITOMO MITSUI FINL GRP 86562MBP4 $195K 0,56 205.000 DBT JP
GILEAD SCIENCES INC 375558CB7 $194K 0,56 192.000 DBT US
JOHN DEERE CAPITAL CORP 24422EXT1 $194K 0,56 191.000 DBT US
TOYOTA MOTOR CREDIT CORP 89236TKD6 $192K 0,55 192.000 DBT US
CANADIAN PACIFIC RAILWAY 13648TAC1 $190K 0,55 200.000 DBT CA
CENTERPOINT ENERGY INC 15189TBG1 $189K 0,54 185.000 DBT US
PHILIP MORRIS INTL INC 718172CJ6 $189K 0,54 195.000 DBT US
HCA INC 404119CJ6 $184K 0,53 190.000 DBT US
GLENCORE FUNDING LLC 378272BS6 $183K 0,53 180.000 DBT US
HOST HOTELS & RESORTS LP 44107TAY2 $176K 0,51 185.000 DBT US
PRINCIPAL FINANCIAL GRP 74251VAR3 $176K 0,51 180.000 DBT US
INGERSOLL RAND INC 45687VAD8 $175K 0,50 172.000 DBT US
ARCELORMITTAL 03938LBC7 $174K 0,50 175.000 DBT LU
ALEXANDRIA REAL ESTATE E 015271AG4 $173K 0,50 175.000 DBT US
UNITED PARCEL SERVICE 911312BR6 $171K 0,49 175.000 DBT US
SOUTHERN CO 842587DS3 $169K 0,49 165.000 DBT US
ALLEGION PLC 01748TAB7 $163K 0,47 170.000 DBT IE
VERIZON COMMUNICATIONS 92343VEU4 $161K 0,46 163.000 DBT US
DEUTSCHE BANK NY 251526CU1 $157K 0,45 150.000 DBT DE
BP CAP MARKETS AMERICA 10373QCB4 $157K 0,45 155.000 DBT US
REGENCY CENTERS LP 75884RAZ6 $156K 0,45 164.000 DBT US
MAIN STREET CAPITAL CORP 56035LAH7 $155K 0,44 150.000 DBT US
TARGA RESOURCES CORP 87612GAE1 $150K 0,43 144.000 DBT US
Halaman 2 dari 4

Rincian sektor

Lainnya/Tidak terpetakan
100,0%

Pemilik institusional (13F) 16 pengaju

Institusi yang melaporkan kepemilikan ETF ini dalam Formulir SEC 13F triwulanan mereka. Hanya posisi long; satu pengaju dapat muncul dua kali untuk leg opsi terpisah. Kaki put/call offset yang besar biasanya mencerminkan pembuatan pasar atau inventaris yang dilindungi, bukan keyakinan arah.

Institusi Nilai % dari 13F yang dilacak Saham Tipe Per tanggal
Heartwood Wealth Advisors LLC $9.914.137 31,24% 400.188 Saham 30 Juni 2026
Lido Advisors, LLC $6.171.426 19,45% 249.112 Saham 30 Juni 2026
Exchange Capital Management, Inc. $5.328.666 16,79% 213.531 Saham 30 Juni 2025
Equitable Holdings, Inc. $3.479.638 10,96% 140.457 Saham 30 Juni 2026
L2 Asset Management, LLC $1.732.428 5,46% 69.930 Saham 30 Juni 2026
LPL Financial LLC $1.530.221 4,82% 61.768 Saham 30 Juni 2026
Masso Torrence Wealth Management Inc. $791.733 2,49% 31.562 Saham 30 Sep. 2025
Global Financial Private Client, LLC $698.742 2,20% 28.205 Saham 30 Juni 2026
Private Advisor Group, LLC $546.998 1,72% 22.080 Saham 30 Juni 2026
JANE STREET GROUP, LLC $420.979 1,33% 16.993 Saham 30 Juni 2026
Farther Finance Advisors, LLC $356.939 1,12% 14.408 Saham 30 Juni 2026
BEACON FINANCIAL GROUP $274.914 0,87% 11.097 Saham 30 Juni 2026
Sanctuary Advisors, LLC $247.277 0,78% 9.981 Saham 30 Juni 2026
Integrity Wealth Solutions LLC $206.418 0,65% 8.332 Saham 30 Juni 2026
AE Wealth Management LLC $22.321 0,07% 901 Saham 30 Juni 2026
CWM, LLC $13.683 0,04% 550 Saham 31 Maret 2026

Dana sejawat

Lainnya dari penerbit ini

Dana AUM
ALLW SSGA Active Trust $1.3B
PRIV SSGA Active Trust $829.7M
MYCH SSGA Active Trust $555.9M
PRSD SSGA Active Trust $104.0M
HECO SSGA Active Trust $81.7M
MYCF SSGA Active Trust $46.4M
MYCJ SSGA Active Trust $39.6M
MYCG SSGA Active Trust $30.0M
MYCK SSGA Active Trust $18.6M
DECO SSGA Active Trust $15.8M

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