Strategy Shares (MPLY)

Yönetim Şirketi · CBSX · Seri S000092393 · SEC EDGAR'da Görüntüle ↗

Net varlıklar
$13.2M
Varlıklar
98
Tarih itibarıyla
30 Nisan 2026 eski
En iyi 10 pozisyon ağırlığı
63,67%
Etkin pozisyon sayısı
19,9
%1'in üzerindeki pozisyonlar
19
Bu sayfada

Fon akışları (SEC tarafından bildirilen)

Geçen ay (Nis 2026)
+$0
Çeyrek sonu Nis 2026
+$0
Son 12 ay
+$10.8M

May 2025 – Nis 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 98 pozisyon

AdCUSIP Değer % Bakiye Kategori Ülke
ALPHABET INC. 02079K107 $1.3M 10,13 3.493 EC US
NVIDIA CORPORATION 67066G104 $1.3M 10,01 6.608 EC US
APPLE INC. 037833100 $1.2M 9,28 4.507 EC US
MICROSOFT CORPORATION 594918104 $979K 7,44 2.402 EC US
AMAZON.COM, INC. 023135106 $874K 6,64 3.298 EC US
Taiwan Semiconductor Manufacturing Company Limited 874039100 $650K 4,94 1.642 OTHER TW
BROADCOM INC. 11135F101 $644K 4,89 1.543 EC US
META PLATFORMS, INC. 30303M102 $529K 4,01 864 EC US
TESLA, INC. 88160R101 $477K 3,62 1.249 EC US
WALMART INC. 931142103 $358K 2,72 2.713 EC US
ELI LILLY AND COMPANY 532457108 $299K 2,27 320 EC US
VISA INC. 92826C839 $216K 1,64 655 EC US
ADVANCED MICRO DEVICES, INC. 007903107 $197K 1,50 556 EC US
ASML Holding N.V. N07059210 $190K 1,44 132 OTHER NL
ORACLE CORPORATION 68389X105 $157K 1,19 973 EC US
COSTCO WHOLESALE CORPORATION 22160K105 $153K 1,16 151 EC US
MASTERCARD INCORPORATED 57636Q104 $151K 1,15 301 EC US
CATERPILLAR INC. 149123101 $141K 1,07 158 EC US
NETFLIX, INC. 64110L106 $134K 1,02 1.434 EC US
ABBVIE INC. 00287Y109 $127K 0,96 601 EC US
CISCO SYSTEMS, INC. 17275R102 $123K 0,93 1.341 EC US
UNITEDHEALTH GROUP INCORPORATED 91324P102 $114K 0,87 309 EC US
PALANTIR TECHNOLOGIES INC. 69608A108 $113K 0,86 813 EC US
THE HOME DEPOT, INC. 437076102 $112K 0,85 341 EC US
LAM RESEARCH CORPORATION 512807306 $110K 0,84 427 EC US
APPLIED MATERIALS, INC. 038222105 $107K 0,81 270 EC US
UBER TECHNOLOGIES, INC. 90353T100 $91K 0,69 1.224 EC US
TEXAS INSTRUMENTS INCORPORATED 882508104 $89K 0,68 318 EC US
LINDE PUBLIC LIMITED COMPANY G54950103 $80K 0,60 159 EC IE
KLA CORPORATION 482480100 $79K 0,60 45 EC US
AMERICAN EXPRESS COMPANY 025816109 $75K 0,57 233 EC US
T-MOBILE US, INC. 872590104 $72K 0,55 370 EC US
QUALCOMM INCORPORATED 747525103 $64K 0,49 358 EC US
AMGEN INC. 031162100 $64K 0,49 185 EC US
BLACKROCK, INC. 09290D101 $60K 0,45 56 EC US
INTUITIVE SURGICAL, INC. 46120E602 $55K 0,42 121 EC US
BLACKSTONE INC. 09260D107 $54K 0,41 431 EC US
SALESFORCE, INC. 79466L302 $54K 0,41 306 EC US
ABBOTT LABORATORIES 002824100 $54K 0,41 594 EC US
DEERE & COMPANY 244199105 $54K 0,41 91 EC US
APPLOVIN CORPORATION 03831W108 $50K 0,38 113 EC US
LOWE'S COMPANIES, INC. 548661107 $45K 0,34 189 EC US
S&P GLOBAL INC. 78409V104 $43K 0,33 100 EC US
STRYKER CORPORATION 863667101 $42K 0,32 133 EC US
LOCKHEED MARTIN CORPORATION 539830109 $41K 0,31 80 EC US
PARKER-HANNIFIN CORPORATION 701094104 $39K 0,30 43 EC US
INTUIT INC. 461202103 $37K 0,28 96 EC US
EQUINIX, INC. 29444U700 $37K 0,28 34 EC US
VERTEX PHARMACEUTICALS INCORPORATED 92532F100 $36K 0,27 84 EC US
CME GROUP INC. 12572Q105 $35K 0,26 121 EC US
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Sektör dağılımı

Technology
47,9%
Communication Services
15,4%
Retail
11,8%
Health Care
7,4%
Financial Services
6,0%
Industrials
4,8%
Consumer Discretionary
3,7%
Communications
0,9%
Materials
0,8%
Telecommunication
0,6%
Real Estate
0,3%
Consumer products
0,2%
Financials
0,2%
Diğer/Eşleştirilemeyen
0,1%

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
Belpointe Asset Management LLC $6.873.063 74,60% 215.434 Hisse senetleri 30 Haziran 2026
WELLS FARGO & COMPANY/MN $1.408.718 15,29% 44.156 Hisse senetleri 30 Haziran 2026
GTS SECURITIES LLC $885.883 9,61% 27.768 Hisse senetleri 30 Haziran 2026
HARBOUR INVESTMENTS, INC. $30.308 0,33% 950 Hisse senetleri 30 Haziran 2026
INTERNATIONAL ASSETS INVESTMENT MANAGEMENT, LLC $15.860 0,17% 500 Hisse senetleri 30 Haziran 2026

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