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All 322 MODL (VICTORYSHARES WESTEND U.S. SECTOR ETF) Holdings

There are 322 MODL holdings. Top 10 companies weight: 33.80%.

Screener with all companies

Total Market Cap: $48T
Rank
Average(322 stocks)+29.77%27.1620.330.39+23.76%+22.49%1.23
1
NVDANvidia Corp6.35%$203.28$5.16TSemiconductorsTechnology+110.48%38.1823.150.30N/AN/A77+48.72%$302+60.07%1.99
2
AAPLApple Inc5.93%$326.59$4.80TConsumer ElectronicsTechnology+12.93%39.3834.971.37N/AN/A65-2.55%$318+18.17%1.10
3
MSFTMicrosoft Corp3.61%$402.29$2.94TSoftware - InfrastructureTechnology+17.83%23.4820.280.79N/AN/A79+38.76%$558+8.30%0.88
4
GOOGLAlphabet Inc Class A3.36%$351.99$4.49TInternet Content & InformationCommunication Services+28.33%28.0124.570.61N/AN/A77+23.16%$434+22.73%1.11
5
GOOGAlphabet Inc Class C2.92%$351.37$4.49TInternet Content & InformationCommunication Services+28.33%27.9624.510.61N/AN/A77+21.74%$428+21.73%1.11
6
ABBVAbbvie Inc2.60%$253.44$432BDrug Manufacturers - GeneralHealthcare-19.65%139.0818.020.40N/AN/A74+5.18%$267+21.10%0.28
7
AVGOBroadcom Inc2.37%$378.16$1.88TSemiconductorsTechnology+38.86%63.7819.840.51N/AN/A76+38.70%$525+54.04%2.01
8
METAMeta Platforms Inc Class A2.30%$645.85$1.73TInternet Content & InformationCommunication Services+36.87%26.7120.751.20N/AN/A75+27.38%$823+13.48%1.39
9
JPMJpmorgan Chase & Co2.25%$338.92$943BBanks - DiversifiedFinancial Services+15.42%15.8815.111.62N/AN/A66+8.45%$368+20.24%0.92
10
LLYEli Lilly And Co2.11%$1,146.37$1.03TDrug Manufacturers - GeneralHealthcare+29.14%48.4433.670.19N/AN/A71+10.82%$1.27K+38.32%0.65
11
AMZNAmazon.com Inc2.02%$249.99$2.74TInternet RetailConsumer Cyclical+25.93%30.0929.150.84N/AN/A79+25.70%$314+6.88%1.36
12
BRK-BBerkshire Hathaway Inc Class B1.69%$491.37$1.05TInsurance - DiversifiedFinancial Services-5.35%14.5623.2610.06N/AN/A75+5.89%$520+11.91%0.41
13
VVisa Inc Class A1.46%$360.57$686BCredit ServicesFinancial Services+18.81%31.0023.982.05N/AN/A78+11.34%$401+8.97%0.65
14
MUMicron Technology Inc1.43%$865.46$1.02TSemiconductorsTechnology+64.69%20.215.480.03N/AN/A76+72.39%$1.49K+62.98%2.41
15
JNJJohnson & Johnson1.30%$248.94$595BDrug Manufacturers - GeneralHealthcare+11.59%22.0921.744.95N/AN/A70+8.44%$270+11.07%N/A
16
AMDAdvanced Micro Devices Inc1.14%$503.57$862BSemiconductorsTechnology+5.22%171.9968.971.39N/AN/A73+7.27%$540+41.30%2.24
17
AMGNAmgen Inc1.14%$364.17$193BDrug Manufacturers - GeneralHealthcare+3.49%24.7516.470.79N/AN/A60-2.07%$357+11.73%0.46
18
MAMastercard Inc Class A1.08%$547.44$477BCredit ServicesFinancial Services+18.06%32.6827.701.65N/AN/A78+17.61%$644+8.21%0.66
19
BACBank Of America Corp1.06%$60.44$439BBanks - DiversifiedFinancial Services+11.43%14.1213.530.68N/AN/A78+12.00%$68+12.34%0.91
20
LINLinde Plc1.05%$512.05$239BSpecialty ChemicalsBasic MaterialsN/A33.3828.652.11N/AN/A74+7.14%$549+13.24%0.49
21
CBChubb Ltd0.33%$352.56$131BInsurance - Property & CasualtyFinancial Services+18.31%11.7513.000.32N/AN/A56+1.78%$359+17.51%0.14
22
SPGIS&p Global Inc0.32%$448.35$132BFinancial Data & Stock ExchangesFinancial Services+15.16%28.3923.980.89N/AN/A79+15.44%$518+3.37%0.66
23
COFCapital One Financial Corp0.31%$206.79$129BCredit ServicesFinancial Services-20.01%39.5910.480.22N/AN/A75+24.57%$258+6.78%1.43
24
FDXFedex Corp0.30%$306.28$74BIntegrated Freight & LogisticsIndustrials+4.97%19.8115.041.14N/AN/A67+15.07%$352+11.70%0.96
25
CEGConstellation Energy Corp0.30%$253.50$93BUtilities - Independent Power ProducersUtilitiesN/A22.5521.411.12N/AN/A78+41.15%$3580.00%1.60
26
ECLEcolab Inc0.30%$268.67$76BSpecialty ChemicalsBasic MaterialsN/A36.2632.8973.71N/AN/A72+18.89%$319+5.77%0.57
27
PFEPfizer Inc0.30%$24.75$141BDrug Manufacturers - GeneralHealthcare-6.35%11.658.580.09N/AN/A58+16.32%$29-4.84%0.38
28
APDAir Products And Chemicals Inc0.29%$296.71$66BSpecialty ChemicalsBasic Materials-26.67%176.1020.792.22N/AN/A68+12.21%$333+3.25%0.57
29
HDThe Home Depot Inc0.29%$333.09$340BHome Improvement RetailConsumer Cyclical+0.45%24.2622.781.90N/AN/A67+11.18%$370+2.95%0.65
30
CVSCvs Health Corp0.29%$107.60$135BHealthcare PlansHealthcare-16.42%45.9814.580.30N/AN/A76+4.01%$112+8.85%0.30
31
VZVerizon Communications Inc0.28%$43.50$180BTelecom ServicesCommunication Services+1.58%9.098.780.61N/AN/A63+17.82%$51+1.32%N/A
32
ISRGIntuitive Surgical Inc0.28%$353.17$138BMedical Instruments & SuppliesHealthcare+20.35%46.4333.222.24N/AN/A68+42.75%$504+2.32%1.13
33
ORCLOracle Corp0.28%$121.38$382BSoftware - InfrastructureTechnology+4.66%22.2515.650.66N/AN/A75+107.49%$252+7.68%1.52
34
UALUnited Airlines Holdings Inc0.28%$117.52$39BAirlinesIndustrialsN/A10.6911.996.86N/AN/A75+35.06%$159+19.56%2.03
35
ODFLN/A0.26%$231.76$47BTruckingIndustrials+8.78%46.7843.103.44N/AN/A56-0.82%$230+13.31%1.11
36
CRWDCrowdstrike Holdings Inc Class A0.26%$198.49$210BSoftware - InfrastructureTechnologyN/AN/A163.936.85N/AN/A73-5.10%$188+25.65%1.51
37
IBMInternational Business Machines Corp0.26%$213.01$207BInformation Technology ServicesTechnology-8.62%33.1817.391.24N/AN/A67+28.52%$274+13.94%0.73
38
DISThe Walt Disney Co0.26%$96.43$172BEntertainmentCommunication Services+4.29%13.2113.070.09N/AN/A76+32.37%$128-10.88%0.91
39
BNYBank Of New York Mellon Corp0.26%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
40
PNCPnc Financial Services Group Inc0.25%$250.17$103BBanks - RegionalFinancial Services+7.53%15.0513.811.04N/AN/A72+10.52%$276+10.43%0.86
41
AEPAmerican Electric Power Co Inc0.25%$131.05$72BUtilities - Regulated ElectricUtilities+11.39%17.7820.700.89N/AN/A65+11.37%$146+13.12%N/A
42
BMYBristol-myers Squibb Co0.25%$60.18$120BDrug Manufacturers - GeneralHealthcare+5.08%13.829.591.54N/AN/AN/AN/AN/A+1.92%N/A
43
CTVACorteva Inc0.25%$86.78$57BAgricultural InputsBasic Materials+30.83%24.2124.940.14N/AN/A70+3.94%$90+16.77%0.55
44
MRVLMarvell Technology Inc0.25%$194.94$182BSemiconductorsTechnologyN/A76.6146.511.23N/AN/A74+30.14%$254+27.77%2.56
45
ADIAnalog Devices Inc0.25%$372.46$190BSemiconductorsTechnology+9.90%57.6725.640.69N/AN/A75+22.81%$457+19.72%1.62
46
APHAmphenol Corp Class A0.25%$150.54$193BElectronic ComponentsTechnology+27.74%47.8430.400.60N/AN/A76+25.81%$189+35.11%1.45
47
WDCWestern Digital Corp0.24%$487.42$177BComputer HardwareTechnology+75.52%27.0825.060.09N/AN/A73+30.04%$634+58.65%2.02
48
SYKStryker Corp0.24%$319.14$121BMedical DevicesHealthcare+9.70%38.5021.321.58N/AN/A75+21.11%$387+5.37%0.58
49
ANETArista Networks Inc0.24%$169.34$216BComputer HardwareTechnology+39.68%58.1246.512.54N/AN/A80+13.23%$192+49.14%1.80
50
USBU.s. Bancorp0.24%$63.14$98BBanks - RegionalFinancial Services+1.81%13.1312.470.62N/AN/A62+10.10%$70+6.52%0.96

MODL (VICTORYSHARES WESTEND U.S. SECTOR ETF) Sector Allocation

INFORMATION TECHNOLOGY
31.30%
HEALTHCARE
17.70%
FINANCIALS
17.70%
COMMUNICATION SERVICES
10.80%
CONSUMER DISCRETIONARY
5.30%
INDUSTRIALS
5.10%
UTILITIES
4.90%
MATERIALS
4.60%
CONSUMER STAPLES
0.00%
ENERGY
0.00%
REAL ESTATE
0.00%