Tidal Trust III (SMDX)
管理公司 · XNYS · 系列 S000090661 · 在 SEC EDGAR 上查看 ↗
- 净资产
- $125.6M
- 持仓
- 558
- 截至
- 2026年4月30日 陈旧
- 前十大持仓权重
- 10.37%
- 有效持仓数量
- 253.3
- 持仓高于 1%
- 5
本页内容
基金流向(SEC报告)
- 上个月(四月 2026)
- -$13K
- 截至四月 2026的季度
- +$14K
- 过去12个月
- +$41.0M
五月 2025 – 四月 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.
完整构成 558 持仓
| 名称 | CUSIP | 价值 | % | 余额 | 类别 | 国家 |
|---|---|---|---|---|---|---|
| Mercury Systems Inc | 589378108 | $207K | 0.16 | 2621 | EC | US |
| Novanta Inc | 67000B104 | $204K | 0.16 | 1576 | EC | US |
| United Fire Group Inc | 910340108 | $202K | 0.16 | 5011 | EC | US |
| Oshkosh Corp | 688239201 | $201K | 0.16 | 1283 | EC | US |
| Dynatrace Inc | 268150109 | $200K | 0.16 | 5531 | EC | US |
| VF Corp | 918204108 | $197K | 0.16 | 10413 | EC | US |
| InterDigital Inc | 45867G101 | $195K | 0.16 | 659 | EC | US |
| TG Therapeutics Inc | 88322Q108 | $194K | 0.15 | 5751 | EC | US |
| CNO Financial Group Inc | 12621E103 | $191K | 0.15 | 4299 | EC | US |
| Sunstone Hotel Investors Inc | 867892101 | $190K | 0.15 | 19379 | EC | US |
| Installed Building Products In | 45780R101 | $189K | 0.15 | 656 | EC | US |
| Core & Main Inc | 21874C102 | $189K | 0.15 | 3757 | EC | US |
| Toro Co/The | 891092108 | $189K | 0.15 | 1983 | EC | US |
| Proto Labs Inc | 743713109 | $188K | 0.15 | 2898 | EC | US |
| Lantheus Holdings Inc | 516544103 | $187K | 0.15 | 2214 | EC | US |
| Clearway Energy Inc | 18539C204 | $186K | 0.15 | 4613 | EC | US |
| Everus Construction Group Inc | 300426103 | $186K | 0.15 | 1261 | EC | US |
| Texas Roadhouse Inc | 882681109 | $185K | 0.15 | 1148 | EC | US |
| Archrock Inc | 03957W106 | $185K | 0.15 | 4765 | EC | US |
| Cushman & Wakefield Ltd | — | $184K | 0.15 | 13116 | EC | US |
| Crescent Energy Co | 44952J104 | $184K | 0.15 | 13678 | EC | US |
| Cytokinetics Inc | 23282W605 | $183K | 0.15 | 2868 | EC | US |
| Repligen Corp | 759916109 | $183K | 0.15 | 1550 | EC | US |
| RB Global Inc | 74935Q107 | $183K | 0.15 | 1753 | EC | US |
| Extreme Networks Inc | 30226D106 | $182K | 0.15 | 8255 | EC | US |
| Glaukos Corp | 377322102 | $182K | 0.15 | 1269 | EC | US |
| WESCO International Inc | 95082P105 | $182K | 0.15 | 522 | EC | US |
| Liquidity Services Inc | 53635B107 | $181K | 0.14 | 5075 | EC | US |
| SLM Corp | 78442P106 | $180K | 0.14 | 7819 | EC | US |
| Piper Sandler Cos | 724078209 | $180K | 0.14 | 2069 | EC | US |
| Allegiant Travel Co | 01748X102 | $180K | 0.14 | 2379 | EC | US |
| Roivant Sciences Ltd | — | $180K | 0.14 | 6297 | EC | US |
| Radian Group Inc | 750236101 | $179K | 0.14 | 4998 | EC | US |
| Lincoln Electric Holdings Inc | 533900106 | $178K | 0.14 | 670 | EC | US |
| Primerica Inc | 74164M108 | $177K | 0.14 | 631 | EC | US |
| Okta Inc | 679295105 | $177K | 0.14 | 2402 | EC | US |
| Advanced Drainage Systems Inc | 00790R104 | $177K | 0.14 | 1183 | EC | US |
| Acadian Asset Management Inc | 10948W103 | $175K | 0.14 | 2594 | EC | US |
| La-Z-Boy Inc | 505336107 | $175K | 0.14 | 5025 | EC | US |
| Fidelity National Financial In | 31620R303 | $174K | 0.14 | 3331 | EC | US |
| FNB Corp/PA | 302520101 | $172K | 0.14 | 9624 | EC | US |
| Harmony Biosciences Holdings I | 413197104 | $171K | 0.14 | 5484 | EC | US |
| Murphy Oil Corp | 626717102 | $171K | 0.14 | 4096 | EC | US |
| Sunrun Inc | 86771W105 | $171K | 0.14 | 13430 | EC | US |
| Darling Ingredients Inc | 237266101 | $171K | 0.14 | 2660 | EC | US |
| Indivior Pharmaceuticals Inc | 45579U109 | $171K | 0.14 | 4640 | EC | US |
| Trinity Industries Inc | 896522109 | $170K | 0.14 | 5215 | EC | US |
| Rush Enterprises Inc | 781846209 | $170K | 0.14 | 2294 | EC | US |
| Matthews International Corp | 577128101 | $170K | 0.14 | 5942 | EC | US |
| RenaissanceRe Holdings Ltd | — | $169K | 0.13 | 549 | EC | BM |
行业细分
Industrials
25.3%
Healthcare
10.7%
Financials
9.3%
Retail
7.1%
Technology
6.9%
Real Estate
6.4%
Financial Services
5.6%
Consumer Discretionary
5.2%
Energy
4.9%
Materials
3.5%
Utilities
2.1%
Consumer products
1.7%
Consumer Staples
1.7%
Diversified Consumer Services
1.3%
Communications
1.2%
Communication Services
1.0%
Telecommunication
0.7%
Packaging
0.5%
Logistics & Transportation
0.1%
Paper & Forest
0.0%
其他/未映射
4.8%
机构持有人 (13F) 2 家申报者
在其季度SEC表格13F中报告持有该ETF的机构。仅限多头头寸;单个申报者可能因单独的期权腿而出现两次。 大的抵消性看跌/看涨腿通常反映做市或对冲库存,而非方向性判断。
| 机构 | 价值 | % 已追踪的13F | 股份 | 类型 | 截至 |
|---|---|---|---|---|---|
| INTECH INVESTMENT MANAGEMENT LLC | $132511128 | 99.98% | 4875156 | 股份 | 2026年6月30日 |
| UBS Group AG | $23865 | 0.02% | 878 | 股份 | 2026年6月30日 |
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