REMC Holdings — Columbia Research Enhanced Mid Cap ETF

All 281 reported holdings of Columbia Research Enhanced Mid Cap ETF (REMC) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Phillips 661.72%$58.15K
Comfort Systems USA Inc1.70%$57.48K
Simon Property Group Inc1.64%$55.24K
Snowflake Inc1.56%$52.68K
Datadog Inc1.53%$51.81K
Delta Air Lines Inc1.49%$50.39K
Teradyne Inc1.37%$46.45K
Allstate Corp/The1.37%$46.16K
Rockwell Automation Inc1.33%$45.05K
Electronic Arts Inc1.31%$44.29K
Cardinal Health Inc1.27%$43.00K
Astera Labs Inc1.23%$41.54K
Occidental Petroleum Corp1.22%$41.38K
Ford Motor Co1.13%$38.13K
Anglogold Ashanti Plc1.12%$37.86K
Ferguson Enterprises Inc1.12%$37.74K
Kroger Co/The1.09%$36.87K
Keysight Technologies Inc1.09%$36.76K
State Street Corp1.04%$35.28K
Entergy Corp1.02%$34.34K
Becton Dickinson & Co0.95%$32.23K
Exelon Corp0.92%$31.19K
Kraft Heinz Co/The0.89%$30.14K
MSCI Inc0.88%$29.68K
DR Horton Inc0.85%$28.83K
Prudential Financial Inc0.84%$28.28K
Dollar General Corp0.80%$27.17K
Consolidated Edison Inc0.79%$26.66K
Autodesk Inc0.75%$25.27K
PPG Industries Inc0.74%$25.11K
IQVIA Holdings Inc0.73%$24.73K
Halliburton Co0.72%$24.27K
PG&E Corp0.71%$24.10K
Centene Corp0.71%$24.07K
Northern Trust Corp0.70%$23.82K
Otis Worldwide Corp0.67%$22.55K
TechnipFMC PLC0.67%$22.48K
VICI Properties Inc0.64%$21.72K
Tapestry Inc0.61%$20.64K
Illumina Inc0.61%$20.57K
Expedia Group Inc0.61%$20.47K
Southwest Airlines Co0.61%$20.47K
Ameren Corp0.60%$20.35K
Raymond James Financial Inc0.59%$20.07K
Dexcom Inc0.59%$19.80K
Regions Financial Corp0.58%$19.45K
Synchrony Financial0.57%$19.24K
Twilio Inc0.57%$19.19K
Cboe Global Markets Inc0.57%$19.17K
Packaging Corp of America0.56%$19.06K
KeyCorp0.56%$18.83K
Edison International0.55%$18.69K
NetApp Inc0.55%$18.57K
PulteGroup Inc0.54%$18.25K
T Rowe Price Group Inc0.54%$18.08K
FirstEnergy Corp0.53%$17.97K
Veralto Corp0.53%$17.91K
Eversource Energy0.53%$17.78K
JB Hunt Transport Services Inc0.52%$17.66K
Reliance Inc0.52%$17.56K
Expeditors International of Washington Inc0.52%$17.44K
Roku Inc0.51%$17.27K
Snap-on Inc0.50%$16.90K
MongoDB Inc0.48%$16.12K
MACOM Technology Solutions Holdings Inc0.47%$15.98K
CF Industries Holdings Inc0.46%$15.37K
Ball Corp0.45%$15.35K
Everpure Inc0.45%$15.29K
Fortive Corp0.45%$15.27K
F5 Inc0.43%$14.56K
SBA Communications Corp0.42%$14.29K
VeriSign Inc0.42%$14.09K
Zoom Communications Inc0.42%$14.07K
Viatris Inc0.42%$14.05K
Invitation Homes Inc0.41%$13.69K
NVR Inc0.40%$13.63K
Masco Corp0.40%$13.43K
Broadridge Financial Solutions Inc0.39%$13.01K
Nordson Corp0.38%$12.97K
Regal Rexnord Corp0.38%$12.86K
Lattice Semiconductor Corp0.38%$12.85K
Annaly Capital Management Inc0.37%$12.37K
HP Inc0.37%$12.35K
Tenet Healthcare Corp0.37%$12.35K
TD SYNNEX Corp0.36%$12.30K
Host Hotels & Resorts Inc0.36%$12.28K
WP Carey Inc0.36%$12.15K
Watsco Inc0.36%$12.09K
Carlisle Cos Inc0.35%$11.97K
Stanley Black & Decker Inc0.35%$11.95K
Coca-Cola Consolidated Inc0.34%$11.65K
Crown Holdings Inc0.34%$11.52K
Avery Dennison Corp0.34%$11.36K
Onto Innovation Inc0.34%$11.35K
Sun Communities Inc0.33%$11.27K
Jazz Pharmaceuticals PLC0.33%$11.08K
CDW Corp/DE0.32%$10.97K
Mueller Industries Inc0.32%$10.94K
DaVita Inc0.32%$10.90K
Omega Healthcare Investors Inc0.32%$10.87K
Jones Lang LaSalle Inc0.32%$10.85K
Toll Brothers Inc0.32%$10.71K
Columbia Short Term Cash Fund0.32%$10.68K
New York Times Co/The0.31%$10.64K
Leidos Holdings Inc0.31%$10.61K
Ally Financial Inc0.31%$10.57K
Best Buy Co Inc0.31%$10.47K
Ralph Lauren Corp0.31%$10.44K
Reinsurance Group of America Inc0.31%$10.42K
Aramark0.31%$10.41K
Owens Corning0.31%$10.33K
Toast Inc0.30%$10.21K
Graco Inc0.30%$10.21K
Applied Industrial Technologies Inc0.30%$10.14K
Pentair PLC0.30%$10.12K
HF Sinclair Corp0.30%$10.03K
CNA Financial Corp0.29%$9.92K
Fox Corp0.29%$9.91K
APA Corp0.29%$9.84K
RenaissanceRe Holdings Ltd0.29%$9.82K
Deckers Outdoor Corp0.29%$9.63K
Revvity Inc0.28%$9.57K
Medpace Holdings Inc0.28%$9.53K
Pinterest Inc0.28%$9.53K
BorgWarner Inc0.28%$9.50K
Acuity Inc0.28%$9.42K
AGNC Investment Corp0.28%$9.41K
Maplebear Inc0.28%$9.38K
Alnylam Pharmaceuticals Inc0.28%$9.33K
Gaming and Leisure Properties Inc0.27%$9.26K
Semtech Corp0.27%$9.23K
Align Technology Inc0.27%$9.11K
Advanced Drainage Systems Inc0.27%$9.10K
Aptiv PLC0.27%$9.02K
Huntington Ingalls Industries Inc0.27%$8.96K
Las Vegas Sands Corp0.26%$8.91K
Natera Inc0.26%$8.69K
Donaldson Co Inc0.25%$8.53K
Match Group Inc0.25%$8.45K
Revolution Medicines Inc0.25%$8.43K
Charles River Laboratories International Inc0.25%$8.39K
Nutanix Inc0.24%$8.26K
Ryder System Inc0.24%$8.18K
BXP Inc0.24%$8.09K
Brown-Forman Corp0.24%$8.05K
Wintrust Financial Corp0.24%$8.04K
Popular Inc0.23%$7.88K
Everest Group Ltd0.23%$7.86K
Oshkosh Corp0.23%$7.83K
Dynatrace Inc0.23%$7.82K
Flowserve Corp0.23%$7.71K
FormFactor Inc0.23%$7.68K
Zebra Technologies Corp0.23%$7.63K
Builders FirstSource Inc0.23%$7.61K
Toro Co/The0.22%$7.60K
Biogen Inc0.22%$7.56K
Timken Co/The0.22%$7.56K
Zions Bancorp NA0.22%$7.54K
Cognex Corp0.22%$7.39K
Core & Main Inc0.22%$7.38K
Brixmor Property Group Inc0.22%$7.35K
Southstate Bank Corp.0.22%$7.29K
Simpson Manufacturing Co Inc0.21%$7.12K
Eastman Chemical Co0.21%$7.03K
SEI Investments Co0.21%$6.93K
Alexandria Real Estate Equities Inc0.20%$6.92K
Conagra Brands Inc0.20%$6.92K
Franklin Resources Inc0.20%$6.92K
GoDaddy Inc0.20%$6.88K
Littelfuse Inc0.20%$6.83K
Five Below Inc0.20%$6.83K
AES Corp/The0.20%$6.80K
NNN REIT Inc0.20%$6.75K
Wayfair Inc0.20%$6.65K
Powell Industries Inc0.20%$6.59K
Murphy USA Inc0.19%$6.47K
Affiliated Managers Group Inc0.19%$6.43K
Middleby Corp/The0.19%$6.36K
Molson Coors Beverage Co0.19%$6.35K
Corcept Therapeutics Inc0.19%$6.35K
Lamb Weston Holdings Inc0.19%$6.35K
Western Alliance Bancorp0.19%$6.33K
MGM Resorts International0.19%$6.26K
Tetra Tech Inc0.18%$6.12K
Hexcel Corp0.18%$6.10K
Moderna Inc0.18%$6.02K
Fox Corp0.18%$6.00K
Kirby Corp0.18%$5.98K
Universal Health Services Inc0.17%$5.80K
Gates Industrial Corp PLC0.17%$5.73K
A O Smith Corp0.17%$5.71K
NOV Inc0.17%$5.68K
Sensata Technologies Holding PLC0.17%$5.63K
STAG Industrial Inc0.17%$5.59K
Hanover Insurance Group Inc/The0.16%$5.57K
HubSpot Inc0.16%$5.48K
Insmed Inc0.16%$5.44K
United Therapeutics Corp0.16%$5.42K
Incyte Corp0.16%$5.33K
MSA Safety Inc0.15%$5.24K
Docusign Inc0.15%$5.20K
Gartner Inc0.15%$5.18K
Chord Energy Corp0.15%$5.14K
Ralliant Corp0.15%$5.08K
Avantor Inc0.15%$5.08K
CarMax Inc0.15%$5.08K
First American Financial Corp0.15%$5.08K
FNB Corp/PA0.15%$5.06K
Lincoln National Corp0.15%$5.06K
Qorvo Inc0.15%$5.04K
Manhattan Associates Inc0.15%$5.01K
Etsy Inc0.15%$4.97K
Weatherford International PLC0.14%$4.89K
Albertsons Cos Inc0.14%$4.88K
Rayonier Inc0.14%$4.87K
Versant Media Group Inc0.14%$4.86K
Lear Corp0.14%$4.69K
Chemed Corp0.14%$4.66K
Celanese Corp0.14%$4.65K
Cirrus Logic Inc0.14%$4.60K
MGIC Investment Corp0.13%$4.43K
Roivant Sciences Ltd0.13%$4.35K
Lyft Inc0.13%$4.34K
Macy's Inc0.13%$4.33K
VF Corp0.13%$4.30K
WillScot Holdings Corp0.12%$4.18K
Silgan Holdings Inc0.12%$4.08K
Caesars Entertainment Inc0.12%$4.04K
Ascendis Pharma A/S0.12%$4.00K
Neurocrine Biosciences Inc0.11%$3.88K
Brunswick Corp/DE0.11%$3.79K
Science Applications International Corp0.11%$3.75K
SLM Corp0.11%$3.63K
Millrose Properties Inc0.10%$3.52K
Genpact Ltd0.10%$3.49K
H&R Block Inc0.10%$3.35K
EPR Properties0.10%$3.31K
ADT Inc0.10%$3.30K
Kilroy Realty Corp0.10%$3.30K
Envista Holdings Corp0.10%$3.24K
Bath & Body Works Inc0.10%$3.24K
Travel + Leisure Co0.10%$3.21K
Elastic NV0.09%$3.19K
Boyd Gaming Corp0.09%$3.18K
Exelixis Inc0.09%$3.16K
Gap Inc/The0.09%$3.12K
MarketAxess Holdings Inc0.09%$3.06K
Ionis Pharmaceuticals Inc0.09%$3.01K
Bridgebio Pharma Inc0.09%$2.98K
Graphic Packaging Holding Co0.08%$2.85K
Scotts Miracle-Gro Co/The0.08%$2.79K
Organon & Co0.08%$2.75K
Madrigal Pharmaceuticals Inc0.08%$2.68K
Clearway Energy Inc0.08%$2.67K
Gitlab Inc0.08%$2.66K
Dillard's Inc0.08%$2.64K
Thor Industries Inc0.08%$2.63K
Grand Canyon Education Inc0.08%$2.58K
BioMarin Pharmaceutical Inc0.08%$2.57K
Arrowhead Pharmaceuticals Inc0.07%$2.53K
Vontier Corp0.07%$2.49K
BOK Financial Corp0.07%$2.36K
Morningstar Inc0.07%$2.34K
Figma Inc0.07%$2.23K
Halozyme Therapeutics Inc0.06%$2.19K
Olin Corp0.06%$2.08K
Aura Minerals Inc0.06%$2.08K
Euronet Worldwide Inc0.06%$1.98K
RingCentral Inc0.05%$1.75K
Medical Properties Trust Inc0.05%$1.75K
Pegasystems Inc0.05%$1.68K
Reynolds Consumer Products Inc0.05%$1.58K
Brown-Forman Corp0.04%$1.31K
Pilgrim's Pride Corp0.04%$1.29K
Smithfield Foods Inc0.04%$1.19K
Viking Therapeutics Inc0.03%$1.05K
Klaviyo Inc0.03%$966
Solv Energy Inc0.02%$715
Caris Life Sciences Inc0.02%$517
Summit Therapeutics Inc0.01%$466
Contra Hologic Incorpo0.00%$1

REMC overview: performance, fees, allocation and SEC filings