PP
PPADX
ETF
PPADX
·
UNKNOWN
·
154 holdings
About PPADX
No description available for this ETF.
Fund Details
- Expense Ratio
- —
- Inception Date
- —
- Prev. Close
- € 22,41
- Exchange
- UNKNOWN
- Currency
- USD
- Holdings As Of
- Apr 10, 2026
- Tracked Holdings
- 88.3%
- HHI Score
- 157,11
- Top Sector
- Financial Services (24.478707%)
Low (11,2%)
↗ Accelerating
1W return (+2.47%) exceeds 1M (+1.83%) — momentum is building
28,99%
Balanced
Diversified
Concentrated
The top 10 holdings represent 28,99% of the fund. This ETF is well diversified across its holdings, reducing single-stock risk.
Weighted by position size
Weighted avg. of top holdings
▼ -0,11%
VZ
Verizon Communications Inc
All Holdings (154)
Top 10: 28,99% of fund
| # |
Ticker |
Name |
Weight |
Shares |
Market Value |
| 1 |
JPM
|
JPMorgan Chase & Co |
3,73% |
68.325 |
18,08 M |
| 2 |
XOM
|
Exxon Mobil Corp |
3,57% |
155.307 |
17,29 M |
| 3 |
JNJ
|
Johnson & Johnson |
3,47% |
101.765 |
16,79 M |
| 4 |
CVX
|
Chevron Corp |
3,03% |
92.608 |
14,69 M |
| 5 |
CSCO
|
Cisco Systems Inc |
2,99% |
225.705 |
14,47 M |
| 6 |
VZ
|
Verizon Communications Inc |
2,71% |
304.700 |
13,13 M |
| 7 |
BAC
|
Bank of America Corp |
2,42% |
254.383 |
11,73 M |
| 8 |
PFE
|
Pfizer Inc |
2,40% |
439.869 |
11,63 M |
| 9 |
CMCSA
|
Comcast Corp |
2,39% |
322.033 |
11,55 M |
| 10 |
MRK
|
Merck & Co Inc |
2,28% |
119.495 |
11,02 M |
| 11 |
CI
|
Cigna Group/The |
2,23% |
35.043 |
10,82 M |
| 12 |
EOG
|
EOG Resources Inc |
2,05% |
78.164 |
9,92 M |
| 13 |
REGN
|
Regeneron Pharmaceuticals Inc |
2,03% |
14.064 |
9,83 M |
| 14 |
C
|
Citigroup Inc |
1,98% |
119.660 |
9,57 M |
| 15 |
QCOM
|
QUALCOMM Inc |
1,94% |
59.934 |
9,42 M |
| 16 |
CMI
|
Cummins Inc |
1,94% |
25.496 |
9,39 M |
| 17 |
GS
|
Goldman Sachs Group Inc/The |
1,83% |
14.273 |
8,88 M |
| 18 |
IBM
|
International Business Machines Corp |
1,59% |
30.429 |
7,68 M |
| 19 |
CVS
|
CVS Health Corp |
1,52% |
111.841 |
7,35 M |
| 20 |
ELV
|
Elevance Health Inc |
1,52% |
18.488 |
7,34 M |
| 21 |
HPQ
|
HP Inc |
1,45% |
226.898 |
7,00 M |
| 22 |
Medtronic PLC
|
Medtronic PLC |
1,38% |
72.561 |
6,68 M |
| 23 |
CNC
|
Centene Corp |
1,32% |
110.158 |
6,41 M |
| 24 |
GOOGL
|
Alphabet Inc |
1,32% |
37.458 |
6,38 M |
| 25 |
GIS
|
General Mills Inc |
1,24% |
99.417 |
6,03 M |
| 26 |
BK
|
Bank of New York Mellon Corp/The |
1,16% |
62.973 |
5,60 M |
| 27 |
HIG
|
Hartford Insurance Group Inc/The |
1,08% |
44.389 |
5,25 M |
| 28 |
COF
|
Capital One Financial Corp |
1,08% |
26.062 |
5,23 M |
| 29 |
KR
|
Kroger Co/The |
1,04% |
77.911 |
5,05 M |
| 30 |
EBAY
|
eBay Inc |
1,02% |
76.169 |
4,93 M |
| 31 |
CTSH
|
Cognizant Technology Solutions Corp |
0,98% |
56.911 |
4,74 M |
| 32 |
STT
|
State Street Corp |
0,97% |
47.143 |
4,68 M |
| 33 |
SYF
|
Synchrony Financial |
0,96% |
76.277 |
4,63 M |
| 34 |
Discover Financial S
|
Discover Financial Services |
0,88% |
21.926 |
4,28 M |
| 35 |
HPE
|
Hewlett Packard Enterprise Co |
0,87% |
213.800 |
4,24 M |
| 36 |
BWA
|
BorgWarner Inc |
0,87% |
140.823 |
4,19 M |
| 37 |
HUM
|
Humana Inc |
0,83% |
14.896 |
4,03 M |
| 38 |
PYPL
|
PayPal Holdings Inc |
0,83% |
56.685 |
4,03 M |
| 39 |
USB
|
US Bancorp |
0,83% |
85.326 |
4,00 M |
| 40 |
PCAR
|
PACCAR Inc |
0,82% |
37.220 |
3,99 M |
| 41 |
MTG
|
MGIC Investment Corp |
0,73% |
142.866 |
3,52 M |
| 42 |
BBY
|
Best Buy Co Inc |
0,72% |
38.828 |
3,49 M |
| 43 |
VICI
|
VICI Properties Inc |
0,69% |
103.021 |
3,35 M |
| 44 |
TGT
|
Target Corp |
0,66% |
25.915 |
3,22 M |
| 45 |
GM
|
General Motors Co |
0,66% |
65.216 |
3,20 M |
| 46 |
PNC
|
PNC Financial Services Group Inc/The |
0,65% |
16.318 |
3,13 M |
| 47 |
MTB
|
M&T Bank Corp |
0,65% |
16.313 |
3,13 M |
| 48 |
F
|
Ford Motor Co |
0,62% |
315.454 |
3,01 M |
| 49 |
LEN
|
Lennar Corp |
0,61% |
24.676 |
2,95 M |
| 50 |
TROW
|
T Rowe Price Group Inc |
0,60% |
27.704 |
2,93 M |
| 51 |
KHC
|
Kraft Heinz Co/The |
0,58% |
91.607 |
2,81 M |
| 52 |
HRB
|
H&R Block Inc |
0,58% |
51.349 |
2,80 M |
| 53 |
AFL
|
Aflac Inc |
0,57% |
25.098 |
2,75 M |
| 54 |
LyondellBasell Indus
|
LyondellBasell Industries NV |
0,55% |
34.919 |
2,68 M |
| 55 |
RDN
|
Radian Group Inc |
0,54% |
79.216 |
2,61 M |
| 56 |
AVT
|
Avnet Inc |
0,52% |
50.175 |
2,54 M |
| 57 |
DHI
|
DR Horton Inc |
0,51% |
19.333 |
2,45 M |
| 58 |
ADM
|
Archer-Daniels-Midland Co |
0,50% |
51.705 |
2,44 M |
| 59 |
CROX
|
Crocs Inc |
0,50% |
24.253 |
2,41 M |
| 60 |
UPS
|
United Parcel Service Inc |
0,50% |
20.272 |
2,41 M |
| 61 |
AGCO
|
AGCO Corp |
0,49% |
24.518 |
2,38 M |
| 62 |
NUE
|
Nucor Corp |
0,48% |
16.831 |
2,31 M |
| 63 |
WU
|
Western Union Co/The |
0,48% |
212.971 |
2,31 M |
| 64 |
LEA
|
Lear Corp |
0,47% |
24.019 |
2,26 M |
| 65 |
WHR
|
Whirlpool Corp |
0,45% |
21.486 |
2,19 M |
| 66 |
ARW
|
Arrow Electronics Inc |
0,44% |
19.624 |
2,12 M |
| 67 |
UNM
|
Unum Group |
0,44% |
25.762 |
2,12 M |
| 68 |
Blue Owl Capital Cor
|
Blue Owl Capital Corp |
0,43% |
134.793 |
2,08 M |
| 69 |
ZM
|
Zoom Communications Inc |
0,42% |
27.426 |
2,02 M |
| 70 |
PHM
|
PulteGroup Inc |
0,40% |
18.910 |
1,95 M |
| 71 |
OSK
|
Oshkosh Corp |
0,39% |
18.695 |
1,91 M |
| 72 |
GPI
|
Group 1 Automotive Inc |
0,38% |
4.049 |
1,86 M |
| 73 |
AN
|
AutoNation Inc |
0,38% |
10.181 |
1,86 M |
| 74 |
KBH
|
KB Home |
0,38% |
30.376 |
1,85 M |
| 75 |
Arch Capital Group L
|
Arch Capital Group Ltd |
0,38% |
19.718 |
1,83 M |
| 76 |
AXP
|
American Express Co |
0,38% |
6.085 |
1,83 M |
| 77 |
AMG
|
Affiliated Managers Group Inc |
0,32% |
9.068 |
1,55 M |
| 78 |
Chubb Ltd
|
Chubb Ltd |
0,31% |
5.232 |
1,49 M |
| 79 |
Genpact Ltd
|
Genpact Ltd |
0,30% |
27.538 |
1,47 M |
| 80 |
MS
|
Morgan Stanley |
0,30% |
10.980 |
1,46 M |
| 81 |
SLM
|
SLM Corp |
0,29% |
47.279 |
1,43 M |
| 82 |
PPG
|
PPG Industries Inc |
0,29% |
12.355 |
1,40 M |
| 83 |
OGN
|
Organon & Co |
0,28% |
92.102 |
1,37 M |
| 84 |
GEHC
|
GE HealthCare Technologies Inc |
0,28% |
15.572 |
1,36 M |
| 85 |
STLD
|
Steel Dynamics Inc |
0,27% |
9.680 |
1,31 M |
| 86 |
ASO
|
Academy Sports & Outdoors Inc |
0,27% |
26.262 |
1,30 M |
| 87 |
DG
|
Dollar General Corp |
0,26% |
16.944 |
1,26 M |
| 88 |
PEP
|
PepsiCo Inc |
0,26% |
8.081 |
1,24 M |
| 89 |
Aptiv PLC
|
Aptiv PLC |
0,25% |
18.825 |
1,23 M |
| 90 |
BEN
|
Franklin Resources Inc |
0,25% |
60.034 |
1,22 M |
| 91 |
PVH
|
PVH Corp |
0,25% |
16.188 |
1,21 M |
| 92 |
CMC
|
Commercial Metals Co |
0,24% |
24.479 |
1,19 M |
| 93 |
Janus Henderson Grou
|
Janus Henderson Group PLC |
0,24% |
27.893 |
1,18 M |
| 94 |
Invesco Ltd
|
Invesco Ltd |
0,24% |
67.653 |
1,18 M |
| 95 |
NOC
|
Northrop Grumman Corp |
0,23% |
2.388 |
1,10 M |
| 96 |
ALL
|
Allstate Corp/The |
0,22% |
5.382 |
1,07 M |
| 97 |
Signet Jewelers Ltd
|
Signet Jewelers Ltd |
0,22% |
20.434 |
1,07 M |
| 98 |
FOXA
|
Fox Corp |
0,22% |
18.141 |
1,04 M |
| 99 |
RF
|
Regions Financial Corp |
0,21% |
43.836 |
1,04 M |
| 100 |
Jazz Pharmaceuticals
|
Jazz Pharmaceuticals PLC |
0,21% |
7.205 |
1,03 M |
| 101 |
PII
|
Polaris Inc |
0,20% |
21.583 |
969.508,36 |
| 102 |
LKQ
|
LKQ Corp |
0,20% |
22.964 |
968.851,16 |
| 103 |
FHI
|
Federated Hermes Inc |
0,19% |
24.214 |
938.292,5 |
| 104 |
Bunge Global SA
|
Bunge Global SA |
0,19% |
12.570 |
932.568,3 |
| 105 |
TFC
|
Truist Financial Corp |
0,19% |
19.713 |
913.697,55 |
| 106 |
CAG
|
Conagra Brands Inc |
0,18% |
35.057 |
895.355,78 |
| 107 |
OC
|
Owens Corning |
0,18% |
5.724 |
881.724,96 |
| 108 |
Everest Group Ltd
|
Everest Group Ltd |
0,17% |
2.374 |
838.544,28 |
| 109 |
INCY
|
Incyte Corp |
0,17% |
11.320 |
832.020,0 |
| 110 |
MTH
|
Meritage Homes Corp |
0,17% |
11.157 |
808.547,79 |
| 111 |
HBAN
|
Huntington Bancshares Inc/OH |
0,17% |
48.845 |
804.477,15 |
| 112 |
EA
|
Electronic Arts Inc |
0,15% |
5.726 |
739.341,12 |
| 113 |
KMB
|
Kimberly-Clark Corp |
0,15% |
5.188 |
736.747,88 |
| 114 |
MSDL
|
Morgan Stanley Direct Lending Fund |
0,15% |
35.458 |
717.669,92 |
| 115 |
MLI
|
Mueller Industries Inc |
0,14% |
8.721 |
699.249,78 |
| 116 |
TPH
|
Tri Pointe Homes Inc |
0,13% |
20.280 |
642.064,8 |
| 117 |
CRI
|
Carter's Inc |
0,13% |
15.250 |
629.367,5 |
| 118 |
SOLV
|
Solventum Corp |
0,12% |
7.505 |
598.523,75 |
| 119 |
ENVA
|
Enova International Inc |
0,12% |
5.783 |
597.615,22 |
| 120 |
AMAT
|
Applied Materials Inc |
0,12% |
3.649 |
576.797,43 |
| 121 |
TE Connectivity PLC
|
TE Connectivity PLC |
0,11% |
3.482 |
536.332,46 |
| 122 |
FNF
|
Fidelity National Financial Inc |
0,11% |
8.007 |
516.691,71 |
| 123 |
TOL
|
Toll Brothers Inc |
0,11% |
4.627 |
516.558,28 |
| 124 |
OVV
|
Ovintiv Inc |
0,10% |
11.699 |
508.438,54 |
| 125 |
CBRE
|
CBRE Group Inc |
0,10% |
3.551 |
504.028,94 |
| 126 |
INGR
|
Ingredion Inc |
0,10% |
3.732 |
487.436,52 |
| 127 |
UFPI
|
UFP Industries Inc |
0,10% |
4.520 |
483.640,0 |
| 128 |
GHC
|
Graham Holdings Co |
0,10% |
490 |
482.047,3 |
| 129 |
MAN
|
ManpowerGroup Inc |
0,10% |
8.215 |
473.430,45 |
| 130 |
CVSA
|
Adtalem Global Education Inc |
0,09% |
4.417 |
451.903,27 |
| 131 |
TKR
|
Timken Co/The |
0,09% |
5.328 |
431.568,0 |
| 132 |
M
|
Macy's Inc |
0,09% |
29.398 |
421.861,3 |
| 133 |
TSN
|
Tyson Foods Inc |
0,08% |
6.536 |
400.918,24 |
| 134 |
ALV
|
Autoliv Inc |
0,08% |
4.014 |
390.762,9 |
| 135 |
LZB
|
La-Z-Boy Inc |
0,08% |
8.526 |
385.716,24 |
| 136 |
VTRS
|
Viatris Inc |
0,08% |
41.080 |
379.168,4 |
| 137 |
FMC
|
FMC Corp |
0,08% |
9.956 |
367.376,4 |
| 138 |
ATKR
|
Atkore Inc |
0,07% |
5.667 |
348.520,5 |
| 139 |
PRG
|
PROG Holdings Inc |
0,07% |
12.192 |
345.887,04 |
| 140 |
SNA
|
Snap-on Inc |
0,07% |
929 |
316.946,93 |
| 141 |
Skechers USA Inc
|
Skechers USA Inc |
0,06% |
5.128 |
312.756,72 |
| 142 |
OMF
|
OneMain Holdings Inc |
0,06% |
5.808 |
312.121,92 |
| 143 |
Premier Inc
|
Premier Inc |
0,06% |
17.060 |
310.150,8 |
| 144 |
NEU
|
NewMarket Corp |
0,06% |
543 |
309.569,73 |
| 145 |
UTHR
|
United Therapeutics Corp |
0,06% |
948 |
303.407,4 |
| 146 |
CNXC
|
Concentrix Corp |
0,06% |
6.581 |
297.197,96 |
| 147 |
PRDO
|
Perdoceo Education Corp |
0,06% |
11.429 |
292.582,4 |
| 148 |
SEE
|
Sealed Air Corp |
0,06% |
8.508 |
290.803,44 |
| 149 |
BC
|
Brunswick Corp/DE |
0,06% |
4.475 |
272.303,75 |
| 150 |
MHO
|
M/I Homes Inc |
0,06% |
2.314 |
271.038,82 |
| 151 |
BCC
|
Boise Cascade Co |
0,05% |
2.232 |
231.369,12 |
| 152 |
SWKS
|
Skyworks Solutions Inc |
0,02% |
1.669 |
111.255,54 |
| 153 |
INTC
|
Intel Corp |
0,01% |
2.264 |
53.724,72 |
| 154 |
GMO US Treasury Fund
|
GMO US Treasury Fund |
0,00% |
678 |
3.397,07 |
Showing top 10 of 154 holdings
·
Listed: 99,25%
·
0,75% in other positions
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