RANK Holdings — Defiance KSM TipRanks Analyst ETF

All 51 reported holdings of Defiance KSM TipRanks Analyst ETF (RANK) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Micron Technology Inc6.65%$27.70K
Applied Materials Inc6.24%$26.03K
Walmart Inc5.60%$23.33K
General Electric Co5.20%$21.68K
Amazon.com Inc5.15%$21.45K
Eli Lilly & Co4.60%$19.19K
Lam Research Corp4.57%$19.07K
NVIDIA Corp4.51%$18.81K
Sandisk Corp4.36%$18.19K
GE Vernova Inc3.95%$16.45K
Broadcom Inc3.26%$13.60K
Palo Alto Networks Inc2.78%$11.59K
Marvell Technology Inc2.29%$9.53K
Arista Networks Inc2.28%$9.51K
Alphabet Inc2.23%$9.29K
Alphabet Inc2.20%$9.19K
Amphenol Corp2.20%$9.17K
Western Digital Corp2.15%$8.94K
CVS Health Corp2.08%$8.69K
Welltower Inc1.96%$8.17K
Analog Devices Inc1.91%$7.94K
Eaton Corp PLC1.84%$7.67K
TJX Cos Inc/The1.74%$7.27K
Newmont Corp1.25%$5.23K
Williams Cos Inc/The1.25%$5.20K
SLB Ltd1.14%$4.74K
Equinix Inc1.00%$4.17K
Delta Air Lines Inc0.99%$4.12K
MasTec Inc0.80%$3.33K
United Airlines Holdings Inc0.78%$3.26K
Ralph Lauren Corp0.77%$3.21K
Datadog Inc0.75%$3.12K
nVent Electric PLC0.73%$3.05K
Cadence Design Systems Inc0.72%$3.00K
Revolution Medicines Inc0.72%$3.00K
Teradyne Inc0.70%$2.90K
Monolithic Power Systems Inc0.66%$2.76K
SharkNinja Inc0.66%$2.74K
Natera Inc0.65%$2.71K
Viper Energy Inc0.65%$2.71K
Guardant Health Inc0.65%$2.70K
Targa Resources Corp0.64%$2.68K
Citizens Financial Group Inc0.64%$2.66K
Baker Hughes Co0.59%$2.44K
Cardinal Health Inc0.57%$2.38K
Tapestry Inc0.56%$2.34K
Roku Inc0.53%$2.21K
Credo Technology Group Holding0.52%$2.18K
Corpay Inc0.48%$2.00K
TKO Group Holdings Inc0.39%$1.61K
Okta Inc0.33%$1.36K

RANK overview: performance, fees, allocation and SEC filings