FIKDX
ETF
FIKDX
·
UNKNOWN
·
37 holdings
About FIKDX
No description available for this ETF.
Fund Details
- Expense Ratio
- —
- Inception Date
- —
- Exchange
- UNKNOWN
- Currency
- USD
- Holdings As Of
- Apr 10, 2026
- Tracked Holdings
- 94.6%
- HHI Score
- 214.02
- Top Sector
- Financial Services (18.697054%)
Performance
High (67.2%)
↗ Recovering
1W
▲ 0.10%
1M
▼ -23.00%
3M
▼ -20.98%
6M
▼ -8.10%
YTD
▼ -16.03%
1Y
▼ -21.82%
3Y
▼ -2.23%
Positive 1W (+0.1%) after negative 1M (-23.0%) — trend may be reversing
Price History
Concentration Risk
33.56%
Balanced
Diversified
Concentrated
The top 10 holdings represent 33.56% of the fund. A moderate concentration level — the fund balances top holdings with broader diversification.
Top Holdings Today
MU
▲ 0.17%
TSM
▼ -0.53%
DIS
▲ 0.15%
BAC
▲ 1.66%
GSK
▲ 1.95%
BMY
▲ 0.57%
C
▲ 0.87%
LNC
▼ -0.69%
MRK
▼ -0.10%
ST
▲ 3.48%
Weighted avg. of top holdings
▲ 0.70%
Sector Allocation
Financial Services
18.70%
Healthcare
17.18%
Technology
15.24%
Energy
9.36%
Basic Materials
6.10%
Communication Services
4.38%
Consumer Defensive
2.64%
Industrials
2.08%
Utilities
1.80%
Real Estate
1.52%
Top 10 Holdings
MU
Micron Technology Inc.
TSM
Taiwan Semiconductor Manufacturing Co., Ltd.
DIS
Walt Disney Company
BAC
Bank of America Corp.
GSK
GSK plc
BMY
Bristol-Myers Squibb Company
C
Citigroup Inc.
LNC
Lincoln National Corp.
MRK
Merck & Co., Inc
ST
Sensata Technologies Holding PLC
Other positions
All Holdings (37)
Top 10: 33.56% of fund| # | Ticker | Name | Weight | Shares | Market Value |
|---|---|---|---|---|---|
| 1 | MU | Micron Technology Inc. | 4.29% | 43,800 | 4.10 M |
| 2 | TSM | Taiwan Semiconductor Manufacturing Co., Ltd. | 3.98% | 21,100 | 3.81 M |
| 3 | DIS | Walt Disney Company | 3.41% | 28,700 | 3.27 M |
| 4 | BAC | Bank of America Corp. | 3.35% | 69,420 | 3.20 M |
| 5 | GSK | GSK plc | 3.34% | 85,030 | 3.20 M |
| 6 | BMY | Bristol-Myers Squibb Company | 3.13% | 50,300 | 3.00 M |
| 7 | C | Citigroup Inc. | 3.11% | 37,260 | 2.98 M |
| 8 | LNC | Lincoln National Corp. | 3.05% | 74,850 | 2.92 M |
| 9 | MRK | Merck & Co., Inc | 2.96% | 30,700 | 2.83 M |
| 10 | ST | Sensata Technologies Holding PLC | 2.93% | 97,120 | 2.80 M |
Showing top 10 of 37 holdings
·
Listed: 81.87%
·
18.13% in other positions
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