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All 181 STXD (STRIVE 1000 DIVIDEND GROWTH ETF) Holdings

There are 181 STXD holdings. Top 10 companies weight: 39.45%.

Screener with all companies

Total Market Cap: $18T
Rank
Average(181 stocks)+17.92%28.4423.380.73+20.08%+20.11%1.02
101
TPLTexas Pacific Land Corp0.15%$378.91$26BOil & Gas E&pEnergy+22.97%51.3737.745.46N/AN/A50+20.42%$445+18.20%1.14
102
DRIDarden Restaurants Inc0.15%$211.49$23BRestaurantsConsumer Cyclical+12.07%21.0317.240.98N/AN/A66+7.00%$226+12.31%0.57
103
SBACSba Communications Corp Class A0.14%$204.79$22BReit - SpecialtyReal Estate+19.68%66.9122.941.70N/AN/A66+15.44%$235-7.03%0.08
104
EXPDN/A0.14%$166.72$22BIntegrated Freight & LogisticsIndustrials+4.14%26.3326.259.57N/AN/A39-12.05%$146+7.01%0.61
105
JBHTJb Hunt Transport Services Inc0.14%$289.36$27BIntegrated Freight & LogisticsIndustrials+3.20%48.6439.532.80N/AN/A65-13.93%$249+12.88%0.96
106
RSReliance Inc0.14%$413.43$20BSteelBasic Materials+11.31%25.4322.032.81N/AN/A50-12.39%$360+20.75%0.79
107
STESteris Plc0.14%$207.56$20BMedical DevicesHealthcare+11.34%26.1019.010.94N/AN/A78+23.96%$257+1.82%0.52
108
WWDWoodward Inc0.14%$386.85$22BAerospace & DefenseIndustrials+15.79%45.1636.231.52N/AN/A72+12.59%$437+26.58%1.18
109
RPRXRoyalty Pharma Plc Class A0.14%$54.87$24BBiotechnologyHealthcareN/A27.7845.871.28N/AN/A80+7.16%$59+6.72%0.27
110
SNASnap-on Inc0.13%$387.48$20BTools & AccessoriesIndustrials+8.94%19.6619.012.11N/AN/A59+2.21%$393+12.89%0.74
111
RGLDRoyal Gold Inc0.13%$207.57$17BGoldBasic Materials+15.23%23.5616.160.62N/AN/A70+59.69%$327+12.05%0.59
112
WRBWr Berkley Corp0.12%$68.27$25BInsurance - Property & CasualtyFinancial Services+21.09%13.6914.841.47N/AN/A43-0.62%$67+17.62%0.19
113
BRBroadridge Financial Solutions Inc0.12%$144.82$17BInformation Technology ServicesTechnology+16.10%15.5114.330.39N/AN/A72+42.57%$207-0.63%0.50
114
FCNCAFirst Citizens Bancshares Inc Class A0.12%$2,108.61$25BBanks - RegionalFinancial Services+34.75%12.5812.971.30N/AN/A62+4.53%$2.21K+20.23%1.08
115
FGXXXFirst American Government Obligs X0.12%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
116
HEI-AHeico Corp Class A0.12%$247.01$33BAerospace & DefenseIndustrials+20.50%28.4441.150.91N/AN/A50+27.45%$320+14.14%0.84
117
BROBrown & Brown Inc0.11%$59.97$20BInsurance BrokersFinancial Services+12.98%17.5312.841.51N/AN/A59+19.31%$72+3.53%0.26
118
ITTItt Inc0.11%$188.98$17BSpecialty Industrial MachineryIndustrials+24.50%34.6824.511.98N/AN/A67+32.33%$245+15.99%1.24
119
TSCOTractor Supply Co0.11%$31.25$16BSpecialty RetailConsumer Cyclical+7.01%15.0413.8514.45N/AN/A65+47.28%$46-1.51%0.57
120
LIILennox International Inc0.11%$511.83$18BBuilding Products & EquipmentIndustrials+15.52%23.0721.884.36N/AN/A59+10.29%$570+10.11%1.07
121
KIMKimco Realty Corp0.11%$25.89$17BReit - RetailReal Estate-15.37%27.8034.250.44N/AN/A63-0.39%$26+7.72%0.59
122
HEIHeico Corp0.10%$331.64$45BAerospace & DefenseIndustrials+20.50%38.4455.561.23N/AN/A69+13.81%$386+18.93%0.84
123
MASMasco Corp0.10%$74.02$14BBuilding Products & EquipmentIndustrials+5.96%17.4416.691.75N/AN/A58+9.40%$81+6.61%0.93
124
LECOLincoln Electric Holdings Inc0.10%$258.25$14BTools & AccessoriesIndustrials+16.29%25.8524.631.32N/AN/A57+14.11%$294+16.59%1.08
125
MLIMueller Industries Inc0.10%$138.12$15BMetal FabricationIndustrials+38.64%17.3318.180.45N/AN/A75+9.97%$149+44.01%1.10
126
ROLRollins Inc0.10%$47.19$23BPersonal ServicesConsumer Cyclical+11.25%43.6138.173.90N/AN/A72+33.77%$63+8.54%0.28
127
SSNCSs&c Technologies Holdings Inc0.10%$67.68$16BSoftware - ApplicationTechnology+4.13%20.4210.0232.45N/AN/A77+39.92%$95-0.40%0.77
128
MAAMid-america Apartment Communities Inc0.10%$138.94$16BReit - ResidentialReal Estate+7.52%41.9133.907.03N/AN/A57+1.83%$141-0.56%0.36
129
JJacobs Solutions Inc0.10%$126.99$15BEngineering & ConstructionIndustrials-6.63%37.8814.790.39N/AN/A72+25.29%$158+2.81%0.87
130
WSOWatsco Inc Ordinary Shares0.09%$380.46$14BIndustrial DistributionIndustrials+19.70%28.8429.331.72N/AN/A51+10.50%$425+9.11%0.88
131
CSLCarlisle Companies Inc0.09%$343.77$13BBuilding Products & EquipmentIndustrials+24.16%18.6516.611.11N/AN/A69+20.16%$410+13.71%1.00
132
RLRalph Lauren Corp Class A0.09%$403.98$23BApparel ManufacturingConsumer Cyclical+15.61%24.4220.752.51N/AN/A75+8.57%$427+28.88%1.38
133
LAMRLamar Advertising Co Class A0.09%$154.35$15BReit - SpecialtyReal Estate+7.55%28.5629.503.97N/AN/A58+2.13%$156+12.66%0.79
134
AITApplied Industrial Technologies Inc0.08%$320.06$12BIndustrial DistributionIndustrials+24.82%29.9427.623.64N/AN/A67+3.41%$330+28.80%1.19
135
GGGGraco Inc0.08%$74.57$12BSpecialty Industrial MachineryIndustrials+7.71%24.4924.4517.87N/AN/A63+24.09%$92+1.34%0.73
136
TXRHTexas Roadhouse Inc0.08%$167.86$11BRestaurantsConsumer Cyclical+41.33%25.5925.382.12N/AN/A64+18.04%$198+13.22%0.74
137
ELSEquity Lifestyle Properties Inc0.08%$64.83$13BReit - ResidentialReal Estate+10.23%31.1531.6518.55N/AN/A73+9.74%$70-0.74%0.11
138
MKCN/A0.08%$48.96$13BPackaged FoodsConsumer Defensive+21.14%8.4615.700.08N/AN/A68+24.54%$61-9.18%0.16
139
LFUSLittelfuse Inc0.08%$472.14$11BElectronic ComponentsTechnology+6.84%44.5132.262.62N/AN/A62+5.03%$486+13.29%1.54
140
NYTNew York Times Co Class A0.08%$73.38$12BPublishingCommunication Services+24.14%39.3827.471.08N/AN/A67+14.41%$85+13.51%0.47
141
AVYAvery Dennison Corp0.08%$159.24$12BPackaging & ContainersConsumer Cyclical+3.31%17.4915.368.86N/AN/A75+26.29%$200-4.61%0.61
142
ALLEAllegion Plc0.08%$134$11BSecurity & Protection ServicesIndustrials+9.82%17.5514.906.61N/AN/A59+22.58%$164+0.73%0.63
143
CGNXCognex Corp0.08%$63.61$9.77BScientific & Technical InstrumentsTechnology-7.89%68.8233.902.93N/AN/A75+22.77%$76-4.31%1.42
144
MOG-AMoog Inc Class A0.07%$395.06$12BAerospace & DefenseIndustrials+11.80%43.9515.341.74N/AN/A75-19.04%$328+36.51%1.28
145
WMSAdvanced Drainage Systems Inc0.07%$134.95$9.41BBuilding Products & EquipmentIndustrials+12.97%22.0521.101.24N/AN/A80+33.44%$180+5.64%1.20
146
BAHBooz Allen Hamilton Holding Corp Class A0.07%$77.42$9.30BConsulting ServicesIndustrials+9.52%11.0712.631.09N/AN/A46+21.43%$94-0.65%0.32
147
AMHAmerican Homes 4 Rent Class A0.07%$33.28$12BReit - ResidentialReal Estate+26.36%23.6625.770.96N/AN/A69+7.06%$35-0.92%0.41
148
ALSNAllison Transmission Holdings Inc0.07%$117.33$9.45BAuto PartsConsumer Cyclical+7.04%15.0512.550.68N/AN/A52+18.86%$137+24.34%1.05
149
SCIService Corp International0.07%$76.92$10BPersonal ServicesConsumer Cyclical-0.14%19.2616.954.40N/AN/A83+30.67%$96+7.74%0.26
150
AMKRAmkor Technology Inc0.06%$82.78$17BSemiconductor Equipment & MaterialsTechnology+1.66%39.4834.131.05N/AN/A67-0.85%$76+28.14%2.27

STXD (STRIVE 1000 DIVIDEND GROWTH ETF) Sector Allocation

INFORMATION TECHNOLOGY
29.80%
FINANCIALS
23.00%
INDUSTRIALS
15.30%
HEALTHCARE
11.90%
CONSUMER DISCRETIONARY
7.20%
CONSUMER STAPLES
3.70%
MATERIALS
2.90%
UTILITIES
2.10%
ENERGY
0.20%
COMMUNICATION SERVICES
0.10%
REAL ESTATE
0.00%