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All 277 MIDE (XTRACKERS S&P MIDCAP 400 SCORED & SCREENED ETF) Holdings

There are 277 MIDE holdings. Top 10 companies weight: 11.09%.

Screener with all companies

Total Market Cap: $2.52T
Rank
Average(277 stocks)+13.85%19.6615.680.24+15.48%+11.39%1.02
251
OPCHOption Care Health Inc0.13%$21.67$3.47BMedical Care FacilitiesHealthcareN/A17.0412.219.18N/AN/A76+29.58%$28+0.41%0.33
252
AVNTAvient Corp0.13%$36.90$3.29BSpecialty ChemicalsBasic Materials-10.60%27.2211.921.22N/AN/AN/AN/AN/A-2.31%N/A
253
DLBDolby Laboratories Inc Class A0.13%$49.93$4.68BSpecialty Business ServicesIndustrials+0.84%16.4410.763.04N/AN/A75+56.88%$78-11.04%0.71
254
ASHAshland Inc0.12%$68.52$3.14BSpecialty ChemicalsBasic MaterialsN/AN/A14.95N/AN/AN/A70+2.16%$70-2.76%1.09
255
SMGThe Scotts Miracle Gro Co Class A0.12%$68.53$3.96BAgricultural InputsBasic Materials-27.83%35.7717.240.17N/AN/A68+8.23%$74-14.57%0.90
256
HGVHilton Grand Vacations Inc0.12%$49.19$4.08BResorts & CasinosConsumer CyclicalN/A25.7411.440.05N/AN/A62+18.72%$58+4.32%1.32
257
GPKGraphic Packaging Holding Co0.12%$10.90$3.11BPackaging & ContainersConsumer Cyclical+14.72%11.3313.973.33N/AN/AN/A+8.31%$12-7.07%0.64
258
IPGPIpg Photonics Corp0.11%$102.79$4.58BSemiconductor Equipment & MaterialsTechnology-28.16%157.4169.441.83N/AN/A66+28.35%$132-13.49%1.68
259
PKPark Hotels & Resorts Inc0.11%$15.06$2.93BReit - Hotel & MotelReal Estate-23.07%N/A41.840.64N/AN/A51-3.92%$14+3.72%1.22
260
VCVisteon Corp0.11%$104.03$2.82BAuto PartsConsumer CyclicalN/A78.8712.001.01N/AN/A75+28.73%$134-0.17%1.02
261
CARAvis Budget Group Inc0.11%$162.24$5.68BRental & Leasing ServicesIndustrialsN/AN/A3.390.17N/AN/AN/A-17.32%$134+17.03%1.38
262
MMSMaximus Inc0.11%$56.66$3.08BSpecialty Business ServicesIndustrials+8.97%8.5019.080.26N/AN/AN/A+85.32%$105-6.81%0.41
263
DOCSDoximity Inc Class A0.11%$21.10$4.07BHealth Information ServicesHealthcare+26.71%21.1615.060.59N/AN/A63+16.40%$25-18.84%1.02
264
PEGAPegasystems Inc0.11%$30.94$5.28BSoftware - ApplicationTechnologyN/A15.6311.010.21N/AN/A85+88.04%$58-14.37%1.20
265
HOGHarley-davidson Inc0.10%$28.46$2.86BRecreational VehiclesConsumer Cyclical+4.93%4.8983.3311.02N/AN/A54-8.00%$26-4.55%1.00
266
WHRWhirlpool Corp0.10%$36.44$2.51BFurnishings, Fixtures & AppliancesConsumer Cyclical-31.89%12.1744.440.01N/AN/AN/A+47.45%$54-26.29%0.97
267
EEFTEuronet Worldwide Inc0.10%$79.20$3.05BSoftware - InfrastructureTechnology+5.04%10.917.500.55N/AN/A65+11.53%$88-9.64%1.01
268
KDKyndryl Holdings Inc Ordinary Shares0.10%$12.19$2.67BInformation Technology ServicesTechnologyN/A13.585.430.79N/AN/A42+15.67%$140.00%1.23
269
MZTIThe Marzetti Co0.09%$108.22$2.89BPackaged FoodsConsumer Defensive+4.57%16.4836.104.15N/AN/A60+47.29%$159-9.06%0.29
270
WLKWestlake Corp0.09%$76.22$9.86BSpecialty ChemicalsBasic MaterialsN/AN/A18.761.70N/AN/A63+30.58%$100+0.06%0.97
271
CHHChoice Hotels International Inc0.09%$108.15$4.98BLodgingConsumer Cyclical+57.96%14.5815.311.18N/AN/A45+4.67%$113-0.71%0.70
272
CPRICapri Holdings Ltd0.09%$15.92$1.90BLuxury GoodsConsumer CyclicalN/A14.377.600.21N/AN/A68+58.42%$25-20.38%1.76
273
XRAYDentsply Sirona Inc0.08%$13.65$2.68BMedical Instruments & SuppliesHealthcare+23.57%N/A9.960.75N/AN/A54-1.98%$13-24.85%1.06
274
GTGoodyear Tire & Rubber Co0.07%$7.29$1.93BAuto PartsConsumer Cyclical+22.20%N/A7.860.43N/AN/A57+2.40%$7.46-14.03%1.10
275
GEFGreif Inc Class A0.07%$75.67$4.17BPackaging & ContainersConsumer Cyclical+56.19%3.829.300.01N/AN/A54+2.29%$77+8.91%0.78
276
SAMBoston Beer Co Inc Class A0.06%$170.98$1.78BBeverages - BrewersConsumer DefensiveN/AN/A17.990.78N/AN/A48+27.24%$218-29.00%0.29
277
PPCPilgrims Pride Corp0.05%$28.55$6.76BPackaged FoodsConsumer Defensive+24.15%6.167.870.49N/AN/A61+17.55%$34+9.79%N/A

MIDE (XTRACKERS S&P MIDCAP 400 SCORED & SCREENED ETF) Sector Allocation

INDUSTRIALS
22.50%
FINANCIALS
16.10%
INFORMATION TECHNOLOGY
14.70%
CONSUMER DISCRETIONARY
10.60%
HEALTHCARE
8.70%
MATERIALS
5.20%
ENERGY
4.60%
CONSUMER STAPLES
3.00%
UTILITIES
1.90%
COMMUNICATION SERVICES
1.00%
REAL ESTATE
0.00%