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All 125 VPX (VARIANT PERCEPTION CYCLE AWARE US EQUITY ETF) Holdings

There are 125 VPX holdings. Top 10 companies weight: 40.59%.

Screener with all companies

Total Market Cap: $37T
Rank
Average(125 stocks)+32.88%29.5020.210.37+21.54%+28.27%1.33
101
METMetlife Inc0.22%$93.37$60BInsurance - LifeFinancial Services+29.35%16.7110.330.49N/AN/A69+2.82%$96+13.46%1.00
102
XYZBlock Inc Class A0.21%$80.38$49BSoftware - InfrastructureTechnologyN/A57.4120.9228.72N/AN/A76+14.36%$92-20.96%1.72
103
APPApplovin Corp Ordinary Shares Class A0.21%$428.69$152BAdvertising AgenciesCommunication ServicesN/A38.6026.950.36N/AN/A78+52.70%$655+46.89%2.26
104
EQTEqt Corp0.21%$49.86$31BOil & Gas E&pEnergy+32.02%10.6410.642.26N/AN/A72+35.02%$67+21.12%0.65
105
ONOn Semiconductor Corp0.19%$91.06$36BSemiconductorsTechnology+11.62%65.3428.170.30N/AN/A60+24.67%$114+20.48%2.14
106
CRMSalesforce Inc0.18%$170.11$145BSoftware - ApplicationTechnology+47.79%20.3612.550.53N/AN/A70+43.22%$244-6.96%0.89
107
CIThe Cigna Group0.18%$290.49$79BHealthcare PlansHealthcare+12.77%12.129.250.13N/AN/A76+17.36%$341+6.52%0.15
108
CRWDCrowdstrike Holdings Inc Class A0.18%$191.15$210BSoftware - InfrastructureTechnologyN/AN/A163.936.85N/AN/A73-1.03%$189+23.79%1.50
109
HALHalliburton Co0.17%$33.19$30BOil & Gas Equipment & ServicesEnergy+0.29%25.9513.640.92N/AN/A70+32.69%$44+11.96%0.94
110
DELLN/A0.15%$404.05$268BComputer HardwareTechnology+19.26%32.2021.600.07N/AN/A72+24.00%$501+55.63%1.88
111
REGNRegeneron Pharmaceuticals Inc0.15%$675.19$69BBiotechnologyHealthcare+20.31%15.8615.0888.04N/AN/A72+21.33%$819+3.01%0.60
112
SNDKSandisk Corp Ordinary Shares0.15%$1,589.40$239BComputer HardwareTechnologyN/A93.4521.10N/AN/AN/A72+34.90%$2.14K0.00%2.72
113
FSLRFirst Solar Inc0.14%$206.05$24BSolarTechnology+26.05%14.4212.990.46N/AN/A69+23.39%$254+19.75%1.14
114
APAApa Corp0.14%$35.77$12BOil & Gas E&pEnergyN/A7.695.370.24N/AN/A57+17.75%$42+17.75%0.93
115
EXEExpand Energy Corp Ordinary Shares New0.14%$88.58$21BOil & Gas E&pEnergyN/A8.659.432.73N/AN/A72+41.30%$125+15.64%0.47
116
ADBEAdobe Inc0.13%$227.16$90BSoftware - ApplicationTechnology+8.65%12.729.731.03N/AN/A56+20.30%$273-18.29%0.79
117
STXSeagate Technology Holdings Plc0.12%$891.83$186BComputer HardwareTechnology+18.40%81.0132.150.35N/AN/A73+13.09%$1.01K+65.60%1.64
118
OKEOneok Inc0.11%$91.83$57BOil & Gas MidstreamEnergy+16.93%16.2416.391.72N/AN/A64+4.28%$96+17.96%0.58
119
TERTeradyne Inc0.11%$374.04$54BSemiconductor Equipment & MaterialsTechnology+26.31%62.7945.871.19N/AN/A66+13.99%$426+24.66%2.22
120
WDCWestern Digital Corp0.11%$548.39$177BComputer HardwareTechnology+75.52%27.0825.060.09N/AN/A73+15.58%$634+63.15%2.03
121
KMIKinder Morgan Inc Class P0.10%$32.36$72BOil & Gas MidstreamEnergy+12.98%21.6123.420.77N/AN/A64+9.18%$35+20.00%0.44
122
MCHPMicrochip Technology Inc0.10%$83.38$47BSemiconductorsTechnology-8.60%203.1726.11N/AN/AN/A71+35.98%$113+6.02%2.11
123
QQnity Electronics Inc0.09%$138.78$29BSemiconductor Equipment & MaterialsTechnologyN/A40.3234.132.37N/AN/A75+25.92%$1750.00%2.79
124
n/aOther Assets And Liabilities0.03%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A
125
MBGLMobility Global Inc0.02%-N/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/AN/A

VPX (VARIANT PERCEPTION CYCLE AWARE US EQUITY ETF) Sector Allocation

INFORMATION TECHNOLOGY
27.80%
FINANCIALS
21.30%
HEALTHCARE
15.20%
ENERGY
13.60%
INDUSTRIALS
6.20%
MATERIALS
2.80%
CONSUMER DISCRETIONARY
0.50%
COMMUNICATION SERVICES
0.00%
CONSUMER STAPLES
0.00%
UTILITIES
0.00%
REAL ESTATE
0.00%