MOTE Holdings — VanEck Morningstar ESG Moat ETF

All 54 reported holdings of VanEck Morningstar ESG Moat ETF (MOTE) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Estee Lauder Cos Inc/The2.84%$432.52K
Walt Disney Co/The2.83%$430.56K
Allegion plc2.72%$413.91K
NIKE Inc2.71%$412.46K
NXP Semiconductors NV2.63%$400.93K
Tyler Technologies Inc2.59%$394.83K
Pfizer Inc2.57%$391.33K
GE HealthCare Technologies Inc2.54%$386.72K
Alphabet Inc2.49%$379.42K
TransUnion2.46%$375.32K
PepsiCo Inc2.44%$372.35K
Zimmer Biomet Holdings Inc2.41%$367.39K
Danaher Corp2.39%$364.07K
Masco Corp2.38%$363.05K
Merck & Co Inc2.35%$357.64K
International Flavors & Fragrances Inc2.32%$353.92K
Teradyne Inc2.32%$353.03K
Bio-Rad Laboratories Inc2.29%$349.43K
Thermo Fisher Scientific Inc2.28%$347.48K
Clorox Co/The2.19%$334.27K
West Pharmaceutical Services Inc2.18%$332.58K
Etsy Inc2.17%$330.05K
Adobe Inc2.14%$326.53K
Constellation Brands Inc2.14%$325.52K
The Campbell's Company2.12%$322.50K
KLA Corp1.88%$286.64K
Veeva Systems Inc1.74%$264.65K
Gilead Sciences Inc1.67%$254.89K
Monolithic Power Systems Inc1.60%$243.55K
Microsoft Corp1.54%$235.27K
Microchip Technology Inc1.54%$234.05K
Yum! Brands Inc1.52%$231.01K
Analog Devices Inc1.50%$228.50K
Mondelez International Inc1.48%$226.13K
Applied Materials Inc1.47%$224.26K
Otis Worldwide Corp1.41%$215.17K
Equifax Inc1.38%$210.61K
MarketAxess Holdings Inc1.33%$202.12K
Blackrock Inc1.32%$201.46K
Palo Alto Networks Inc1.30%$197.48K
CoStar Group Inc1.27%$193.04K
United Parcel Service Inc1.26%$192.59K
A O Smith Corp1.26%$191.60K
Agilent Technologies Inc1.26%$191.53K
US Bancorp1.25%$191.05K
Air Products and Chemicals Inc1.25%$190.95K
Sysco Corp1.25%$190.71K
Salesforce Inc1.25%$189.79K
Jack Henry & Associates Inc1.25%$189.72K
Hershey Co/The1.24%$188.35K
Amgen Inc1.20%$182.32K
Workday Inc1.18%$179.76K
Bristol-Myers Squibb Co1.17%$179.00K
Brown-Forman Corp0.85%$129.76K

MOTE overview: performance, fees, allocation and SEC filings