C000245562 Holdings — Amplify AI Powered Equity ETF

All 161 reported holdings of Amplify AI Powered Equity ETF (C000245562) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.44%$9.23M
Apple Inc5.56%$6.08M
Microsoft Corp4.61%$5.04M
TE Connectivity PLC3.69%$4.04M
Amazon.com Inc2.92%$3.20M
Alphabet Inc2.77%$3.03M
Alphabet Inc2.77%$3.02M
Broadcom Inc2.64%$2.89M
Meta Platforms Inc2.46%$2.69M
IQVIA Holdings Inc2.17%$2.38M
JPMorgan Chase & Co2.01%$2.20M
Tesla Inc1.66%$1.81M
Boeing Co/The1.33%$1.45M
Trane Technologies PLC1.30%$1.42M
Eli Lilly & Co1.22%$1.34M
Netflix Inc1.18%$1.29M
Berkshire Hathaway Inc1.17%$1.28M
Johnson & Johnson1.12%$1.23M
Boston Scientific Corp1.11%$1.22M
Visa Inc1.10%$1.21M
Match Group Inc1.06%$1.16M
Philip Morris International In1.05%$1.15M
AT&T Inc1.02%$1.12M
PG&E Corp0.95%$1.04M
Humana Inc0.93%$1.02M
Kraft Heinz Co/The0.88%$957.08K
Devon Energy Corp0.84%$923.12K
Hasbro Inc0.84%$917.84K
Western Digital Corp0.80%$879.90K
Block Inc0.76%$827.23K
Palo Alto Networks Inc0.75%$815.23K
Dow Inc0.72%$788.31K
Linde PLC0.72%$783.80K
IBM0.71%$779.77K
Goldman Sachs Group Inc/The0.70%$769.00K
General Electric Co0.69%$757.67K
Chubb Ltd0.69%$754.20K
Arch Capital Group Ltd0.67%$728.76K
TJX Cos Inc/The0.66%$722.16K
Lam Research Corp0.63%$693.33K
Old Dominion Freight Line Inc0.61%$671.59K
Walmart Inc0.61%$661.67K
McKesson Corp0.60%$659.40K
Quanta Services Inc0.60%$654.98K
Booking Holdings Inc0.59%$644.18K
HCA Healthcare Inc0.59%$640.29K
PepsiCo Inc0.58%$638.40K
FedEx Corp0.58%$631.15K
Bank of America Corp0.58%$631.17K
Paycom Software Inc0.56%$613.17K
Arthur J Gallagher & Co0.56%$611.84K
Starbucks Corp0.54%$594.79K
Builders FirstSource Inc0.54%$590.22K
Lockheed Martin Corp0.54%$585.05K
O'Reilly Automotive Inc0.53%$583.03K
General Mills Inc0.53%$578.44K
Monster Beverage Corp0.51%$560.12K
Progressive Corp/The0.50%$549.12K
Uber Technologies Inc0.50%$546.81K
Applied Materials Inc0.49%$538.32K
Williams Cos Inc/The0.49%$532.31K
Mastercard Inc0.48%$526.64K
Advanced Micro Devices Inc0.47%$511.02K
Texas Instruments Inc0.47%$509.81K
Air Products and Chemicals Inc0.45%$491.80K
Super Micro Computer Inc0.43%$473.73K
EOG Resources Inc0.43%$471.30K
Micron Technology Inc0.43%$466.89K
Apollo Global Management Inc0.42%$454.48K
Merck & Co Inc0.41%$449.16K
Blackstone Inc0.41%$447.20K
WW Grainger Inc0.40%$434.14K
PNC Financial Services Group I0.39%$425.75K
Oracle Corp0.38%$417.06K
Newmont Corp0.38%$414.06K
Coca-Cola Co/The0.38%$413.71K
Targa Resources Corp0.35%$379.35K
American Water Works Co Inc0.34%$370.71K
EQT Corp0.33%$364.66K
NetApp Inc0.33%$362.56K
Xylem Inc/NY0.33%$362.08K
Kinder Morgan Inc0.32%$348.21K
Dollar Tree Inc0.32%$345.83K
KLA Corp0.31%$343.07K
Tractor Supply Co0.30%$331.64K
Equinix Inc0.30%$330.34K
Cboe Global Markets Inc0.30%$330.26K
Hilton Worldwide Holdings Inc0.30%$323.54K
Valero Energy Corp0.28%$311.07K
Halliburton Co0.28%$302.68K
Cardinal Health Inc0.27%$298.79K
Invitation Homes Inc0.27%$294.87K
Dexcom Inc0.27%$293.46K
Eaton Corp PLC0.27%$291.14K
Albemarle Corp0.26%$284.38K
Comcast Corp0.26%$280.64K
Verizon Communications Inc0.24%$267.42K
Trade Desk Inc/The0.24%$266.47K
Yum! Brands Inc0.24%$264.47K
Invesco Government & Agency Po0.24%$261.16K
Corning Inc0.24%$260.38K
Synopsys Inc0.24%$259.69K
US Bancorp0.23%$253.96K
Ares Management Corp0.22%$241.00K
Otis Worldwide Corp0.22%$235.94K
Truist Financial Corp0.21%$228.75K
PulteGroup Inc0.21%$227.81K
Fiserv Inc0.21%$226.21K
EMCOR Group Inc0.20%$223.71K
Loews Corp0.20%$223.62K
McDonald's Corp0.19%$211.96K
Keurig Dr Pepper Inc0.19%$204.27K
Aflac Inc0.18%$201.65K
Altria Group Inc0.18%$201.53K
United Airlines Holdings Inc0.18%$193.25K
Automatic Data Processing Inc0.17%$185.71K
Martin Marietta Materials Inc0.17%$181.90K
Marsh & McLennan Cos Inc0.17%$180.91K
McCormick & Co Inc/MD0.16%$176.94K
RTX Corp0.16%$176.31K
L3Harris Technologies Inc0.15%$164.29K
T-Mobile US Inc0.15%$163.19K
Sandisk Corp/DE0.15%$158.84K
GE Vernova Inc0.14%$157.99K
Gilead Sciences Inc0.14%$157.63K
ConocoPhillips0.14%$153.65K
UnitedHealth Group Inc0.14%$148.28K
Align Technology Inc0.13%$147.26K
Welltower Inc0.12%$132.07K
Motorola Solutions Inc0.12%$130.19K
VICI Properties Inc0.12%$126.63K
Cencora Inc0.11%$125.66K
Wells Fargo & Co0.11%$118.46K
Caterpillar Inc0.11%$116.90K
Republic Services Inc0.10%$114.77K
Charter Communications Inc0.10%$114.42K
American International Group I0.10%$114.00K
Axon Enterprise Inc0.10%$113.82K
Akamai Technologies Inc0.10%$113.13K
Diamondback Energy Inc0.10%$110.76K
CME Group Inc0.10%$110.46K
Warner Bros Discovery Inc0.10%$107.29K
Vertex Pharmaceuticals Inc0.09%$102.26K
Carvana Co0.08%$88.34K
Abbott Laboratories0.08%$86.96K
Insulet Corp0.08%$83.52K
Las Vegas Sands Corp0.08%$83.57K
ServiceNow Inc0.07%$78.83K
Marathon Petroleum Corp0.07%$73.74K
AMETEK Inc0.06%$69.24K
MSCI Inc0.06%$68.99K
Coterra Energy Inc0.06%$65.78K
Microchip Technology Inc0.06%$61.90K
Jabil Inc0.06%$60.83K
Procter & Gamble Co/The0.06%$60.66K
W R Berkley Corp0.05%$58.66K
Fifth Third Bancorp0.05%$58.40K
Interactive Brokers Group Inc0.05%$54.86K
Deere & Co0.05%$52.95K
Fair Isaac Corp0.05%$51.24K
Amphenol Corp0.05%$50.29K

C000245562 overview: performance, fees, allocation and SEC filings