IT
ITHRX
ETF
ITHRX
·
UNKNOWN
·
139 holdings
About ITHRX
No description available for this ETF.
Fund Details
- Expense Ratio
- —
- Inception Date
- —
- Prev. Close
- 49,92 €
- Exchange
- UNKNOWN
- Currency
- USD
- Holdings As Of
- Apr 10, 2026
- Tracked Holdings
- 83.5%
- HHI Score
- 180,11
- Top Sector
- Technology (25.597654%)
Low (18,4%)
↗ Accelerating
1W return (+3.86%) exceeds 1M (+0.25%) — momentum is building
32,92%
Balanced
Diversified
Concentrated
The top 10 holdings represent 32,92% of the fund. A moderate concentration level — the fund balances top holdings with broader diversification.
Weighted by position size
Weighted avg. of top holdings
▲ 0,99%
HON
Honeywell International Inc
All Holdings (139)
Top 10: 32,92% of fund
| # |
Ticker |
Name |
Weight |
Shares |
Market Value |
| 1 |
AAPL
|
Apple Inc |
5,82% |
1,53 M |
324,70 M |
| 2 |
MSFT
|
Microsoft Corp |
5,67% |
801 137 |
316,66 M |
| 3 |
NVDA
|
NVIDIA Corp |
4,69% |
2,40 M |
261,82 M |
| 4 |
AMZN
|
Amazon.com Inc |
3,38% |
1,02 M |
188,63 M |
| 5 |
GOOGL
|
Alphabet Inc |
3,29% |
1,16 M |
183,82 M |
| 6 |
AVGO
|
Broadcom Inc |
3,03% |
877 918 |
168,97 M |
| 7 |
META
|
Meta Platforms Inc |
2,10% |
213 028 |
116,95 M |
| 8 |
HON
|
Honeywell International Inc |
1,69% |
446 805 |
94,05 M |
| 9 |
V
|
Visa Inc |
1,68% |
271 505 |
93,80 M |
| 10 |
LLY
|
Eli Lilly & Co |
1,57% |
97 743 |
87,87 M |
| 11 |
MRSH
|
Marsh & McLennan Cos Inc |
1,55% |
382 483 |
86,24 M |
| 12 |
UNH
|
UnitedHealth Group Inc |
1,40% |
189 311 |
77,89 M |
| 13 |
AXP
|
American Express Co |
1,35% |
283 239 |
75,46 M |
| 14 |
BRK-B
|
Berkshire Hathaway Inc |
1,32% |
137 915 |
73,54 M |
| 15 |
TJX
|
TJX Cos Inc/The |
1,30% |
561 988 |
72,32 M |
| 16 |
JPM
|
JPMorgan Chase & Co |
1,26% |
286 866 |
70,17 M |
| 17 |
INTU
|
Intuit Inc |
1,25% |
111 375 |
69,88 M |
| 18 |
MCD
|
McDonald's Corp |
1,14% |
198 829 |
63,56 M |
| 19 |
MA
|
Mastercard Inc |
1,13% |
114 599 |
62,81 M |
| 20 |
TXN
|
Texas Instruments Inc |
1,10% |
384 346 |
61,51 M |
| 21 |
Linde PLC
|
Linde PLC |
1,10% |
135 513 |
61,42 M |
| 22 |
KO
|
Coca-Cola Co/The |
1,07% |
819 810 |
59,48 M |
| 23 |
Accenture PLC
|
Accenture PLC |
1,06% |
198 549 |
59,40 M |
| 24 |
PM
|
Philip Morris International Inc |
1,04% |
337 348 |
57,81 M |
| 25 |
CTRA
|
Coterra Energy Inc |
1,01% |
2,31 M |
56,62 M |
| 26 |
SPGI
|
S&P Global Inc |
0,99% |
110 623 |
55,32 M |
| 27 |
DHR
|
Danaher Corp |
0,96% |
270 016 |
53,82 M |
| 28 |
PG
|
Procter & Gamble Co/The |
0,95% |
327 501 |
53,24 M |
| 29 |
WFC
|
Wells Fargo & Co |
0,94% |
737 376 |
52,36 M |
| 30 |
Vanguard Russell 100
|
Vanguard Russell 1000 Value |
0,92% |
644 685 |
51,51 M |
| 31 |
GILD
|
Gilead Sciences Inc |
0,89% |
465 585 |
49,60 M |
| 32 |
NFLX
|
Netflix Inc |
0,88% |
43 451 |
49,17 M |
| 33 |
SYK
|
Stryker Corp |
0,88% |
131 391 |
49,13 M |
| 34 |
SPG
|
Simon Property Group Inc |
0,85% |
300 767 |
47,33 M |
| 35 |
Chubb Ltd
|
Chubb Ltd |
0,85% |
165 428 |
47,33 M |
| 36 |
ATO
|
Atmos Energy Corp |
0,80% |
278 730 |
44,77 M |
| 37 |
UL
|
Unilever PLC |
0,80% |
700 974 |
44,55 M |
| 38 |
SRE
|
Sempra |
0,75% |
566 764 |
42,09 M |
| 39 |
MS
|
Morgan Stanley |
0,74% |
359 915 |
41,54 M |
| 40 |
WAB
|
Westinghouse Air Brake Technologies Corp |
0,74% |
224 640 |
41,50 M |
| 41 |
CTSH
|
Cognizant Technology Solutions Corp |
0,73% |
553 155 |
40,70 M |
| 42 |
GOOG
|
Alphabet Inc |
0,73% |
252 789 |
40,67 M |
| 43 |
WMB
|
Williams Cos Inc/The |
0,71% |
676 460 |
39,62 M |
| 44 |
NOC
|
Northrop Grumman Corp |
0,70% |
80 037 |
38,94 M |
| 45 |
MRK
|
Merck & Co Inc |
0,68% |
443 786 |
37,81 M |
| 46 |
PFE
|
Pfizer Inc |
0,68% |
1,54 M |
37,70 M |
| 47 |
BNS
|
Bank of Nova Scotia/The |
0,64% |
719 339 |
35,95 M |
| 48 |
LMT
|
Lockheed Martin Corp |
0,63% |
73 433 |
35,08 M |
| 49 |
NVS
|
Novartis AG |
0,62% |
306 789 |
34,82 M |
| 50 |
OMC
|
Omnicom Group Inc |
0,61% |
450 017 |
34,27 M |
| 51 |
EQT
|
EQT Corp |
0,60% |
676 030 |
33,42 M |
| 52 |
Amcor PLC
|
Amcor PLC |
0,59% |
3,61 M |
33,18 M |
| 53 |
DKS
|
Dick's Sporting Goods Inc |
0,56% |
166 752 |
31,31 M |
| 54 |
KMPR
|
Kemper Corp |
0,55% |
517 236 |
30,58 M |
| 55 |
USFD
|
US Foods Holding Corp |
0,55% |
463 829 |
30,46 M |
| 56 |
Flex Ltd
|
Flex Ltd |
0,53% |
861 713 |
29,59 M |
| 57 |
RS
|
Reliance Inc |
0,52% |
101 476 |
29,25 M |
| 58 |
CPT
|
Camden Property Trust |
0,52% |
254 256 |
28,93 M |
| 59 |
CPK
|
Chesapeake Utilities Corp |
0,51% |
216 978 |
28,57 M |
| 60 |
SF
|
Stifel Financial Corp |
0,51% |
329 037 |
28,20 M |
| 61 |
SSB
|
SouthState Corp |
0,49% |
313 254 |
27,18 M |
| 62 |
BRX
|
Brixmor Property Group Inc |
0,48% |
1,08 M |
26,84 M |
| 63 |
Viper Energy Inc
|
Viper Energy Inc |
0,47% |
654 401 |
26,39 M |
| 64 |
Cadence Bank
|
Cadence Bank |
0,47% |
894 349 |
26,17 M |
| 65 |
NXP Semiconductors N
|
NXP Semiconductors NV |
0,47% |
141 753 |
26,13 M |
| 66 |
QCOM
|
QUALCOMM Inc |
0,46% |
174 465 |
25,90 M |
| 67 |
Spotify Technology S
|
Spotify Technology SA |
0,44% |
40 076 |
24,61 M |
| 68 |
Everest Group Ltd
|
Everest Group Ltd |
0,44% |
67 683 |
24,29 M |
| 69 |
BHP
|
BHP Group Ltd |
0,39% |
459 445 |
21,85 M |
| 70 |
Perrigo Co PLC
|
Perrigo Co PLC |
0,39% |
838 641 |
21,57 M |
| 71 |
Synovus Financial Co
|
Synovus Financial Corp |
0,38% |
495 284 |
21,46 M |
| 72 |
VOYA
|
Voya Financial Inc |
0,38% |
361 130 |
21,38 M |
| 73 |
BCC
|
Boise Cascade Co |
0,38% |
228 822 |
21,34 M |
| 74 |
KKR
|
KKR & Co Inc |
0,38% |
186 730 |
21,34 M |
| 75 |
Liberty Media Corp-L
|
Liberty Media Corp-Liberty Formula One |
0,38% |
237 567 |
21,07 M |
| 76 |
FBIN
|
Fortune Brands Innovations Inc |
0,38% |
390 185 |
21,00 M |
| 77 |
TRU
|
TransUnion |
0,37% |
248 676 |
20,63 M |
| 78 |
BDC
|
Belden Inc |
0,37% |
199 228 |
20,54 M |
| 79 |
AHR
|
American Healthcare REIT Inc |
0,37% |
635 285 |
20,51 M |
| 80 |
LKQ
|
LKQ Corp |
0,37% |
535 774 |
20,47 M |
| 81 |
MTB
|
M&T Bank Corp |
0,37% |
120 200 |
20,41 M |
| 82 |
MIDD
|
Middleby Corp/The |
0,36% |
152 134 |
20,29 M |
| 83 |
ANET
|
Arista Networks Inc |
0,36% |
244 641 |
20,13 M |
| 84 |
NOW
|
ServiceNow Inc |
0,35% |
20 649 |
19,72 M |
| 85 |
WH
|
Wyndham Hotels & Resorts Inc |
0,35% |
227 279 |
19,39 M |
| 86 |
TW
|
Tradeweb Markets Inc |
0,34% |
135 911 |
18,80 M |
| 87 |
BSX
|
Boston Scientific Corp |
0,34% |
182 512 |
18,78 M |
| 88 |
Somnigroup Internati
|
Somnigroup International Inc |
0,34% |
306 661 |
18,72 M |
| 89 |
UNP
|
Union Pacific Corp |
0,33% |
84 847 |
18,30 M |
| 90 |
NGVT
|
Ingevity Corp |
0,33% |
553 659 |
18,26 M |
| 91 |
SMPL
|
Simply Good Foods Co/The |
0,33% |
504 728 |
18,23 M |
| 92 |
LOW
|
Lowe's Cos Inc |
0,33% |
81 407 |
18,20 M |
| 93 |
Willis Towers Watson
|
Willis Towers Watson PLC |
0,32% |
57 557 |
17,72 M |
| 94 |
HF Global Inc
|
HF Global Inc |
0,31% |
806 800 |
17,55 M |
| 95 |
IR
|
Ingersoll Rand Inc |
0,31% |
231 567 |
17,47 M |
| 96 |
OGS
|
ONE Gas Inc |
0,31% |
218 500 |
17,15 M |
| 97 |
DKNG
|
DraftKings Inc |
0,30% |
505 378 |
16,82 M |
| 98 |
iShares Russell 2000
|
iShares Russell 2000 Value ETF |
0,30% |
116 146 |
16,82 M |
| 99 |
NTRA
|
Natera Inc |
0,30% |
110 127 |
16,62 M |
| 100 |
IEX
|
IDEX Corp |
0,29% |
93 049 |
16,19 M |
| 101 |
ICON PLC
|
ICON PLC |
0,28% |
105 007 |
15,90 M |
| 102 |
WCC
|
WESCO International Inc |
0,28% |
94 409 |
15,38 M |
| 103 |
LYV
|
Live Nation Entertainment Inc |
0,27% |
115 631 |
15,32 M |
| 104 |
TORY BURCH PRIVATE P
|
TORY BURCH PRIVATE PLACE |
0,27% |
316 327 |
14,97 M |
| 105 |
GEV
|
GE Vernova Inc |
0,25% |
38 328 |
14,21 M |
| 106 |
GDDY
|
GoDaddy Inc |
0,25% |
74 628 |
14,05 M |
| 107 |
JBT Marel Corp
|
JBT Marel Corp |
0,25% |
133 269 |
14,03 M |
| 108 |
HD
|
Home Depot Inc/The |
0,25% |
38 517 |
13,88 M |
| 109 |
CME
|
CME Group Inc |
0,24% |
49 231 |
13,64 M |
| 110 |
ALGM
|
Allegro MicroSystems Inc |
0,24% |
707 292 |
13,49 M |
| 111 |
TMUS
|
T-Mobile US Inc |
0,24% |
54 584 |
13,48 M |
| 112 |
VRTX
|
Vertex Pharmaceuticals Inc |
0,23% |
25 438 |
12,96 M |
| 113 |
TSLA
|
Tesla Inc |
0,23% |
45 879 |
12,95 M |
| 114 |
AMT
|
American Tower Corp |
0,23% |
56 898 |
12,83 M |
| 115 |
D
|
Dominion Energy Inc |
0,22% |
229 262 |
12,47 M |
| 116 |
TRGP
|
Targa Resources Corp |
0,21% |
67 565 |
11,55 M |
| 117 |
CASY
|
Casey's General Stores Inc |
0,20% |
24 529 |
11,35 M |
| 118 |
Z
|
Zillow Group Inc |
0,20% |
164 897 |
11,10 M |
| 119 |
EXAS
|
Exact Sciences Corp |
0,20% |
240 637 |
10,98 M |
| 120 |
BRBR
|
BellRing Brands Inc |
0,19% |
139 823 |
10,79 M |
| 121 |
On Holding AG
|
On Holding AG |
0,19% |
219 316 |
10,55 M |
| 122 |
OTIS
|
Otis Worldwide Corp |
0,18% |
104 449 |
10,06 M |
| 123 |
IBKR
|
Interactive Brokers Group Inc |
0,18% |
58 483 |
10,05 M |
| 124 |
DOCU
|
Docusign Inc |
0,18% |
121 556 |
9,94 M |
| 125 |
MKSI
|
MKS Instruments Inc |
0,18% |
141 527 |
9,93 M |
| 126 |
CRM
|
Salesforce Inc |
0,17% |
36 168 |
9,72 M |
| 127 |
IART
|
Integra LifeSciences Holdings Corp |
0,17% |
566 768 |
9,29 M |
| 128 |
MRVL
|
Marvell Technology Inc |
0,17% |
158 911 |
9,28 M |
| 129 |
ARM
|
ARM Holdings PLC |
0,17% |
81 273 |
9,27 M |
| 130 |
CARG
|
Cargurus Inc |
0,16% |
329 306 |
9,21 M |
| 131 |
ISRG
|
Intuitive Surgical Inc |
0,16% |
17 251 |
8,90 M |
| 132 |
PTC
|
PTC Inc |
0,15% |
55 049 |
8,53 M |
| 133 |
UBER
|
Uber Technologies Inc |
0,15% |
99 929 |
8,10 M |
| 134 |
SHOO
|
Steven Madden Ltd |
0,14% |
374 913 |
7,87 M |
| 135 |
MOH
|
Molina Healthcare Inc |
0,13% |
22 925 |
7,50 M |
| 136 |
AVB
|
AvalonBay Communities Inc |
0,12% |
31 445 |
6,60 M |
| 137 |
APP
|
AppLovin Corp |
0,10% |
21 234 |
5,72 M |
| 138 |
MAR
|
Marriott International Inc/MD |
0,03% |
6 400 |
1,53 M |
| 139 |
RUBICON EARNOUT SHAR
|
RUBICON EARNOUT SHARES |
0,00% |
1 477 |
0,58 |
Showing top 10 of 139 holdings
·
Listed: 98,40%
·
1,60% in other positions
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