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IBD ETF Holdings

All holdings

(total: 245)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry

Trimble Inc

1.49%-5 M

Alexandria Real Estate Equities Inc.

1.49%-5 M

Camden Property Trust

1.48%-5 M

Valero Energy Corp.

1.47%-5 M

Amphenol Corp.

1.47%-5 M

Arch Capital Group Ltd

1.46%-5 M

Autozone Inc.

1.46%-5 M

Dollar General Corp.

1.46%-5 M

Cboe Global Markets Inc.

1.46%-5 M

Republic Services, Inc.

1.45%-5 M

Parker-Hannifin Corp.

1.41%-5 M

Atmos Energy Corp.

1.37%-5 M

Caterpillar Inc.

1.37%-5 M

Evergy Inc

1.37%-5 M

Conagra Brands Inc

1.35%-5 M

Sun Communities, Inc.

1.35%-5 M

Nucor Corp.

1.34%-5 M

Carlisle Companies Inc.

1.34%-5 M

Diamondback Energy Inc

1.34%-5 M

Netapp Inc

1.33%-5 M

BXP Inc.

1.32%-5 M

Extra Space Storage Inc.

1.29%-5 M

Air Lease Corp

1.29%-5 M

Fortinet Inc

1.29%-5 M

Omega Healthcare Investors, Inc.

1.28%-5 M

VanEck ETF Trust

0.38%-1 M

Devon Energy Corp.

0.36%-1 M

Kinder Morgan Inc

0.36%-1 M

PulteGroup Inc

0.34%-1 M

Verisk Analytics Inc

0.33%-1 M

Kinder Morgan Inc

0.33%-1 M

Nordson Corp.

0.33%-1 M

Reinsurance Group Of America, Inc.

0.33%-1 M

Trimble Inc

0.33%-1 M

Atmos Energy Corp.

0.33%-1 M

Sysco Corp.

0.33%-1 M

Genuine Parts Co.

0.33%-1 M

Targa Resources Corp

0.33%-1 M

DTE Energy Co.

0.32%-1 M

Eversource Energy

0.32%-1 M

SPDR Series Trust

0.32%-1 M

Mohawk Industries, Inc.

0.32%-1 M

Targa Resources Corp

0.32%-1 M

Owens Corning

0.32%-1 M

Qualcomm, Inc.

0.32%-1 M

Globe Life Inc

0.32%-1 M

Williams Cos Inc

0.32%-1 M

Trane Technologies plc

0.32%-1 M

NNN REIT Inc

0.32%-1 M

NiSource Inc

0.32%-1 M

Exelon Corp.

0.32%-1 M

Crown Castle Inc

0.32%-1 M

Cheniere Energy Partners LP

0.32%-1 M

First Citizens Bancshares, Inc (NC)

0.32%-1 M

Coca-Cola Consolidated Inc

0.32%-1 M

Otis Worldwide Corp

0.32%-1 M

AGCO Corp.

0.32%-1 M

Sysco Corp.

0.32%-1 M

Campbells Co (The)

0.32%-1 M

Amphenol Corp.

0.32%-1 M

Ryder System, Inc.

0.32%-1 M

Amcor Limited

0.31%-1 M

Oneok Inc.

0.31%-1 M

KLA Corp.

0.31%-1 M

Kinder Morgan Inc

0.31%-1 M

Keystone Automotive Industries, Inc.

0.31%-1 M

Kinder Morgan Inc

0.31%-1 M

Kinder Morgan Inc

0.31%-1 M

Parker-Hannifin Corp.

0.31%-1 M

Cabot Corp.

0.31%-1 M

EOG Resources, Inc.

0.31%-1 M

CSX Corp.

0.31%-1 M

Loews Corp.

0.31%-1 M

Parker-Hannifin Corp.

0.31%-1 M

Equifax, Inc.

0.31%-1 M

Verisk Analytics Inc

0.31%-1 M

Ventas Inc

0.31%-1 M

Dollar General Corp.

0.31%-1 M

Cintas Corporation

0.31%-1 M

Digital Realty Trust Inc

0.31%-1 M

Mid-America Apartment Communities, Inc.

0.31%-1 M

Devon Energy Corp.

0.31%-1 M

Progressive Corp.

0.31%-1 M

Essential Utilities Inc

0.31%-1 M

Alexandria Real Estate Equities Inc.

0.31%-1 M

Waste Management, Inc.

0.31%-1 M

Microchip Technology, Inc.

0.31%-1 M

Targa Resources Corp

0.31%-1 M

CSX Corp.

0.31%-1 M

Schlumberger Ltd.

0.31%-1 M

Omega Healthcare Investors, Inc.

0.31%-1 M

Ventas Inc

0.31%-1 M

Albemarle Corp.

0.31%-1 M

McCormick & Co., Inc.

0.31%-1 M

KLA Corp.

0.31%-1 M

J.B. Hunt Transport Services, Inc.

0.31%-1 M

Ovintiv Inc

0.31%-1 M

Exelon Corp.

0.31%-1 M

Conagra Brands Inc

0.31%-1 M

EOG Resources, Inc.

0.31%-1 M

Holding types

Countries

No data

Sectors

No data