C000214744 Holdings — AXS Multi-Strategy Alternatives Fund

All 76 reported holdings of AXS Multi-Strategy Alternatives Fund (C000214744) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Fidelity Government Portfolio9.35%$1.98M
Vanguard Dividend Appreciation3.21%$507.66K
Invesco QQQ Trust Series 13.19%$503.95K
ProShares Short S&P5003.18%$502.45K
NVIDIA Corp2.00%$316.25K
Incyte Corp1.97%$311.63K
Microsoft Corp1.96%$309.23K
Western Digital Corp1.88%$297.87K
Tesla Inc1.87%$295.33K
Curtiss-Wright Corp1.78%$281.53K
BorgWarner Inc1.75%$276.88K
Perdoceo Education Corp1.63%$257.96K
StoneX Group Inc1.62%$256.10K
Global X Uranium ETF1.56%$246.78K
Adtalem Global Education Inc1.52%$240.81K
Simplify Health Care ETF1.51%$239.01K
iShares MSCI Japan ETF1.51%$238.74K
iShares MSCI India ETF1.50%$237.83K
SPDR Gold MiniShares Trust1.48%$234.13K
Sprott Physical Gold Trust1.48%$233.55K
CorVel Corp1.46%$230.09K
iShares MSCI India Small-Cap E1.44%$227.67K
Installed Building Products In1.42%$223.80K
Tri Pointe Homes Inc1.41%$222.68K
iShares MSCI Japan Small-Cap E1.39%$220.07K
Masterbrand Inc1.38%$218.23K
DNOW Inc1.38%$218.04K
Energy Select Sector SPDR Fund1.37%$216.67K
Dorman Products Inc1.36%$215.43K
Cummins Inc1.36%$215.09K
Gilead Sciences Inc1.34%$212.06K
Watts Water Technologies Inc1.34%$211.49K
Collegium Pharmaceutical Inc1.34%$211.37K
Minerals Technologies Inc1.34%$211.16K
SPDR S&P Health Care Equipment1.32%$208.86K
SunCoke Energy Inc1.32%$208.83K
Light & Wonder Inc1.32%$208.77K
Electronic Arts Inc1.32%$208.29K
Comfort Systems USA Inc1.32%$208.10K
Virtus Investment Partners Inc1.29%$204.58K
Apple Inc1.29%$204.06K
Benchmark Electronics Inc1.24%$195.37K
Meta Platforms Inc1.23%$194.23K
ASML Holding NV1.23%$194.09K
WSFS Financial Corp1.22%$193.42K
Garmin Ltd1.21%$191.30K
Expedia Group Inc1.17%$185.27K
TransDigm Group Inc1.05%$166.27K
Polaris Inc1.05%$165.70K
OFG Bancorp0.94%$147.98K
Everest Group Ltd0.89%$141.11K
Hartford Financial Services Gr0.86%$136.54K
Ulta Beauty Inc0.83%$130.72K
RenaissanceRe Holdings Ltd0.79%$124.57K
MGIC Investment Corp0.73%$115.60K
Arch Capital Group Ltd0.73%$115.55K
Murphy USA Inc0.72%$113.18K
Intuitive Surgical Inc0.68%$107.75K
Lam Research Corp0.68%$106.87K
Markel Group Inc0.67%$106.50K
Essent Group Ltd0.66%$103.84K
Howmet Aerospace Inc0.64%$101.62K
Airbnb Inc0.63%$99.80K
Altria Group Inc0.62%$98.36K
Automatic Data Processing Inc0.61%$96.15K
Intuit Inc0.60%$94.25K
Netflix Inc0.60%$94.14K
Advanced Micro Devices Inc0.57%$89.34K
AutoNation Inc0.53%$84.45K
Lockheed Martin Corp0.50%$79.60K
Science Applications Internati0.48%$75.63K
Radian Group Inc0.47%$74.14K
Cincinnati Financial Corp0.44%$69.54K
Lithia Motors Inc0.38%$60.17K
Copart Inc0.34%$53.00K
Asbury Automotive Group Inc0.25%$40.08K

C000214744 overview: performance, fees, allocation and SEC filings