AltShares Trust (EVNT)

Yönetim Şirketi · ARCX · Seri S000072757 · SEC EDGAR'da Görüntüle ↗

Net varlıklar
$12.3M
Varlıklar
147
Tarih itibarıyla
31 Mayıs 2026
En iyi 10 pozisyon ağırlığı
53,49%
Etkin pozisyon sayısı
19,9
%1'in üzerindeki pozisyonlar
34
Bu sayfada

Fon akışları (SEC tarafından bildirilen)

Geçen ay (May 2026)
+$0
Çeyrek sonu May 2026
+$1.4M
Son 12 ay
+$5.7M

Haz 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.

Tam bileşim 147 pozisyon

AdCUSIP Değer % Bakiye Kategori Ülke
MORGAN STANLEY PRIME BROKER US $1.5M 12,48 1.529.354 OTHER US
Morgan Stanley & Co. LLC 61747C707 $651K 5,32 651.340 STIV US
State Street Global Advisors 857492706 $651K 5,32 651.340 STIV US
Electronic Arts Inc 285512109 $579K 4,73 2.870 EC US
Janus Henderson Group PLC $569K 4,64 11.000 EC JE
DigitalBridge Group Inc 25401T603 $547K 4,47 35.000 EC US
Warner Bros Discovery Inc 934423104 $534K 4,36 19.754 EC US
Chart Industries Inc 16115Q308 $529K 4,32 2.546 EC US
Norfolk Southern Corp 655844108 $507K 4,14 1.663 EC US
Caesars Entertainment Inc 12769G100 $456K 3,72 15.690 EC US
TXNM Energy Inc 69349H107 $438K 3,58 7.400 EC US
LiveRamp Holdings Inc 53815P108 $425K 3,47 11.306 EC US
Masimo Corp 574795100 $357K 2,91 2.000 EC US
Penumbra Inc 70975L107 $314K 2,57 988 EC US
Catalyst Pharmaceuticals Inc 14888U101 $308K 2,52 9.877 EC US
ProAssurance Corp 74267C106 $303K 2,48 12.650 EC US
Organon & Co 68622V106 $267K 2,18 20.000 EC US
Avanos Medical Inc 05350V106 $248K 2,02 10.000 EC US
KalVista Pharmaceuticals Inc 483497103 $246K 2,00 9.139 EC US
Schroders PLC $233K 1,91 29.684 EC GB
TopBuild Corp 89055F103 $233K 1,90 558 EC US
National Storage Affiliates Trust 637870106 $226K 1,84 5.296 EC US
CHART INDUSTRIES INC 16115QAF7 $226K 1,84 218.000 DBT US
Amneal Pharmaceuticals Inc 03168L105 $211K 1,72 16.000 EC US
ECHOSTAR CORP 278768AA4 $210K 1,72 206.000 DBT US
Sila Realty Trust Inc 146280508 $184K 1,50 6.075 EC US
KENNEDY-WILSON INC 489399AM7 $169K 1,38 168.000 DBT US
Boeing Co/The 097023105 $162K 1,32 700 EC US
SkyWest Inc 830879102 $146K 1,19 1.700 EC US
Bayer AG 072730302 $141K 1,15 13.411 EC DE
Alaska Air Group Inc 011659109 $138K 1,13 3.000 EC US
Dick's Sporting Goods Inc 253393102 $137K 1,11 600 EC US
Silicon Laboratories Inc 826919102 $126K 1,03 578 EC US
XOMA Royalty Corp 98419J206 $124K 1,01 2.970 EC US
Dominion Energy Inc 25746U109 $120K 0,98 1.793 EC US
Centessa Pharmaceuticals PLC 152309100 $119K 0,97 3.000 EC GB
Cineplex Inc 172454100 $116K 0,94 14.597 EC CA
Penn Entertainment Inc 707569109 $104K 0,85 5.500 EC US
United Airlines Holdings Inc 910047109 $103K 0,84 900 EC US
Whitestone REIT 966084204 $97K 0,79 5.104 EC US
Pacific Biosciences of California Inc 69404D108 $92K 0,75 62.040 EC US
EchoStar Corp 278768106 $90K 0,74 700 EC US
RAPID7 INC 753422AH7 $90K 0,73 108.530 DBT US
IHEARTCOMMUNICATIONS INC 45174HBM8 $89K 0,73 97.000 DBT US
VF Corp 918204108 $86K 0,70 5.000 EC US
Aura Biosciences Inc 05153U107 $78K 0,64 10.500 EC US
QXO Inc 82846H405 $69K 0,56 4.000 EC US
IHEARTCOMMUNICATIONS INC 45174HBJ5 $69K 0,56 71.000 DBT US
Viking Therapeutics Inc 92686J106 $65K 0,53 2.000 EC US
BAUSCH + LOMB CORP 071705AA5 $56K 0,46 54.000 DBT CA
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Sektör dağılımı

Healthcare
19,5%
Industrials
12,7%
Communication Services
9,8%
Consumer Discretionary
5,3%
Financial Services
4,4%
Utilities
3,5%
Technology
2,8%
Financials
2,5%
Real Estate
2,3%
Consumer products
1,9%
Retail
1,1%
Energy
0,4%
Diğer/Eşleştirilemeyen
33,8%

Kurumsal Sahipler (13F) 5 dosya

Bu ETF'yi üç aylık SEC Form 13F'lerinde tuttuklarını bildiren kurumlar. Yalnızca uzun pozisyonlar; tek bir bildirimde bulunan, ayrı opsiyon bacakları için iki kez görünebilir. Büyük dengeleyici alım/satım bacakları genellikle piyasa yapımını veya korunmuş envanteri yansıtır, yönlü bir inancı değil.

Kurum Değer % izlenen 13F'nin Hisse senetleri Tür Tarih itibarıyla
Sonoma Allocations LLC $4.882.120 85,73% 400.995 Hisse senetleri 30 Haziran 2026
ENVESTNET ASSET MANAGEMENT INC $584.974 10,27% 48.146 Hisse senetleri 30 Haziran 2026
GTS SECURITIES LLC $213.804 3,75% 17.597 Hisse senetleri 30 Haziran 2026
Integrated Wealth Concepts LLC $13.960 0,25% 1.149 Hisse senetleri 30 Haziran 2026
MORGAN STANLEY $15 0,00% 1 Hisse senetleri 30 Haziran 2026

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