KLMT logo

KLMT ETF Holdings

All holdings

(total: 499)
AssetWeightMarket capShares countShare priceTotal valueSectorIndustryCountry
NVDA logo

NVIDIA

NVDA
4.68%$3348 B560 K$136.70$76.50 MTechnologySemiconductorsUnited States
AAPL logo

Apple

AAPL
4.35%$3858 B329 K$255.23$83.85 MTechnologyConsumer ElectronicsUnited States
3.88%$3197 B159 K$429.94$68.22 MTechnologySoftware InfrastructureUnited States
AMZN logo

Amazon

AMZN
2.50%$2346 B210 K$223.08$46.76 MConsumer CyclicalInternet RetailUnited States
1.62%$1504 B50 K$595.62$29.65 MCommunication ServicesInternet Content & InformationUnited States
1.52%$2358 B149 K$192.60$28.76 MCommunication ServicesInternet Content & InformationUnited States
TSLA logo

Tesla

TSLA
1.24%$1395 B66 K$434.71$28.60 MConsumer CyclicalAuto ManufacturersUnited States

Taiwan Semiconductor Manufacturing Co Ltd

1.08%-574 K
1.01%$2376 B99 K$194.10$19.21 MCommunication ServicesInternet Content & InformationUnited States
0.99%$1131 B102 K$241.30$24.55 MTechnologySemiconductorsUnited States
0.96%$678 B66 K$240.80$15.98 MFinancial ServicesBanks - DiversifiedUnited States
0.81%$743 B18 K$782.53$14.39 MHealthcareDrug Manufacturers - GeneralUnited States
0.74%$468 B21 K$508.62$10.74 MHealthcareHealthcare PlansUnited States
0.74%$468 B105 K$106.53$11.22 MEnergyOil & Gas IntegratedUnited States
0.70%$617 B39 K$318.81$12.34 MFinancial ServicesCredit ServicesUnited States
0.63%$489 B20 K$532.69$10.90 MFinancial ServicesCredit ServicesUnited States
0.57%$399 B57 K$169.49$9.63 MConsumer DefensiveHousehold & Personal ProductsUnited States
0.56%$391 B23 K$393.13$9.23 MConsumer CyclicalHome Improvement RetailUnited States
0.55%$417 B10 K$938.69$9.62 MConsumer DefensiveDiscount StoresUnited States
0.54%$349 B59 K$145.04$8.58 MHealthcareDrug Manufacturers - GeneralUnited States
0.52%$735 B105 K$91.49$9.61 MConsumer DefensiveDiscount StoresUnited States

Tencent Holdings Ltd

0.51%-169 K
0.50%$388 B10 K$906.90$9.36 MCommunication ServicesEntertainmentUnited States
0.48%$339 B174 K$44.24$7.69 MFinancial ServicesBanks - DiversifiedUnited States
0.47%$323 B25 K$337.96$8.29 MTechnologySoftware ApplicationUnited States

Novo Nordisk A/S

0.46%-78 K
ABBV logo

AbbVie

ABBV
0.42%$314 B44 K$177.75$7.77 MHealthcareDrug Manufacturers - GeneralUnited States
ORCL logo

Oracle

ORCL
0.42%$471 B39 K$168.53$6.62 MTechnologySoftware InfrastructureUnited States
0.41%$256 B43 K$143.79$6.25 MEnergyOil & Gas IntegratedUnited States
0.39%$269 B108 K$62.45$6.71 MConsumer DefensiveNon-Alcoholic BeveragesUnited States
0.39%$281 B9792$714.22$6.99 MTechnologySemiconductor Equipment & MaterialsNetherlands
0.38%$292 B28 K$250.14$7.12 MTechnologySoftware ApplicationGermany
0.37%$236 B85 K$70.99$6.05 MFinancial ServicesBanks - DiversifiedUnited States
0.36%$237 B107 K$59.43$6.33 MTechnologyCommunication EquipmentUnited States
0.36%$251 B64 K$99.35$6.32 MHealthcareDrug Manufacturers - GeneralUnited States

Nestle SA

0.36%-70 K
0.35%$222 B5917$1074.46$6.36 MTechnologySoftware ApplicationUnited States
0.35%$223 B17 K$355.77$5.96 MTechnologyInformation Technology ServicesIreland
0.34%$210 B36 K$152.76$5.57 MConsumer DefensiveNon-Alcoholic BeveragesUnited States
0.34%$210 B20 K$293.55$5.74 MConsumer CyclicalRestaurantsUnited States
0.33%$202 B12 K$423.21$5.25 MBasic MaterialsSpecialty ChemicalsUnited Kingdom
ADBE logo

Adobe

ADBE
0.33%$196 B11 K$445.18$5.01 MTechnologySoftware InfrastructureUnited States
0.32%$199 B47 K$114.84$5.42 MHealthcareMedical DevicesUnited States

Novartis AG

0.32%-53 K
INTU logo

Intuit

INTU
0.32%$178 B8037$637.00$5.12 MTechnologySoftware ApplicationUnited States
0.32%$204 B40 K$125.48$4.97 MTechnologySemiconductorsUnited States

Roche Holding AG

0.31%-18 K

Shell PLC

0.31%-164 K
0.31%$202 B45 K$111.54$5.06 MCommunication ServicesEntertainmentUnited States
0.30%$181 B8724$575.09$5.02 MFinancial ServicesCapital MarketsUnited States
0.30%$201 B10 K$525.23$5.28 MHealthcareDiagnostics & ResearchUnited States
0.30%$184 B28 K$169.79$4.83 MIndustrialsAerospace & DefenseUnited States

Commonwealth Bank of Australia

0.30%-51 K
0.29%$156 B9886$501.41$4.96 MFinancial ServicesFinancial Data & Stock ExchangesUnited States
0.29%$190 B9240$534.10$4.94 MHealthcareMedical Instruments & SuppliesUnited States

Samsung Electronics Co Ltd

0.29%-131 K
0.29%$171 B41 K$120.82$4.94 MFinancial ServicesBanks - DiversifiedCanada

AstraZeneca PLC

0.29%-39 K
0.28%$174 B23 K$191.25$4.45 MTechnologySemiconductorsUnited States
0.28%$206 B23 K$222.65$5.18 MTechnologyInformation Technology ServicesUnited States
0.28%$176 B13 K$364.19$4.59 MIndustrialsFarm & Heavy Construction MachineryUnited States
0.27%$175 B29 K$157.37$4.49 MTechnologySemiconductorsUnited States
0.27%$204 B34 K$126.44$4.30 MFinancial ServicesCapital MarketsUnited States

Alibaba Group Holding Ltd

0.27%-413 K
CMCSA logo

Comcast

CMCSA
0.26%$145 B105 K$37.79$3.95 MCommunication ServicesTelecom ServicesUnited States

Schneider Electric SE

0.26%-17 K
0.26%$166 B893$5017.91$4.48 MConsumer CyclicalTravel ServicesUnited States
0.26%$168 B108 K$39.82$4.30 MCommunication ServicesTelecom ServicesUnited States
0.26%$212 B15 K$301.04$4.62 MFinancial ServicesCredit ServicesUnited States

LVMH Moet Hennessy Louis Vuitton SE

0.26%-7096

Siemens AG

0.25%-21 K

HSBC Holdings PLC

0.25%-477 K
0.25%$164 B190 K$22.83$4.35 MCommunication ServicesTelecom ServicesUnited States
0.25%$132 B12 K$333.53$3.97 MIndustrialsSpecialty Industrial MachineryIreland
0.25%$162 B4086$1046.05$4.27 MFinancial ServicesAsset ManagementUnited States
0.25%$134 B48 K$90.63$4.36 MHealthcareMedical DevicesUnited States
0.24%$167 B18 K$231.06$4.08 MHealthcareDiagnostics & ResearchUnited States

Hitachi Ltd

0.24%-163 K
0.24%$136 B24 K$166.66$4.01 MTechnologySemiconductor Equipment & MaterialsUnited States

Unilever PLC

0.24%-72 K
0.24%$140 B37 K$108.22$3.98 MTechnologySoftware ApplicationCanada
0.24%$258 B18 K$222.25$3.91 MCommunication ServicesTelecom ServicesUnited States
AMGN logo

Amgen

AMGN
0.23%$141 B14 K$262.49$3.60 MHealthcareDrug Manufacturers - GeneralUnited States
0.23%$151 B155 K$26.61$4.12 MHealthcareDrug Manufacturers - GeneralUnited States
0.23%$111 B35 K$96.62$3.39 MEnergyOil & Gas Equipment & ServicesUnited States
0.23%$140 B14 K$248.28$3.60 MConsumer CyclicalHome Improvement RetailUnited States
0.23%$132 B21 K$173.75$3.68 MFinancial ServicesAsset ManagementUnited States

Mitsubishi UFJ Financial Group Inc

0.22%-311 K
0.22%$134 B54 K$70.92$3.82 MFinancial ServicesBanks - DiversifiedUnited States
0.22%$140 B31 K$124.26$3.81 MConsumer CyclicalApparel RetailUnited States

Meituan

0.22%-170 K
0.22%$141 B14 K$240.47$3.47 MFinancial ServicesInsurance - Property & CasualtyUnited States
0.22%$148 B50 K$71.94$3.56 MUtilitiesElectricUnited States

ABB Ltd

0.21%-65 K

Sony Group Corp

0.21%-191 K
0.21%$128 B49 K$60.91$2.97 MTechnologySoftware ApplicationUnited States
0.21%$140 B9071$366.82$3.33 MHealthcareMedical DevicesUnited States
0.21%$122 B9134$185.80$1.70 MTechnologySoftware InfrastructureUnited States
0.21%$118 B17 K$207.44$3.56 MTechnologyInformation Technology ServicesUnited States
0.20%$104 B35 K$92.13$3.20 MConsumer CyclicalRestaurantsUnited States

Holding types

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