SJ
SJCCX
ETF
SJCCX
·
UNKNOWN
·
86 holdings
About SJCCX
No description available for this ETF.
Fund Details
- Expense Ratio
- —
- Inception Date
- —
- Exchange
- UNKNOWN
- Currency
- USD
- Holdings As Of
- Apr 10, 2026
- Tracked Holdings
- 97.7%
- HHI Score
- 189,14
- Top Sector
- Technology (36.074863%)
30,05%
Balanced
Diversified
Concentrated
The top 10 holdings represent 30,05% of the fund. A moderate concentration level — the fund balances top holdings with broader diversification.
Weighted by position size
Weighted avg. of top holdings
▲ 0,24%
MA
MasterCard Incorporated
All Holdings (86)
Top 10: 30,05% of fund
| # |
Ticker |
Name |
Weight |
Shares |
Market Value |
| 1 |
NVDA
|
NVIDIA Corp. |
6,11% |
60 000 |
10,67 M |
| 2 |
MSFT
|
Microsoft Corp. |
5,80% |
19 000 |
10,14 M |
| 3 |
AAPL
|
Apple Inc. |
4,28% |
36 000 |
7,47 M |
| 4 |
AMZN
|
Amazon.com, Inc. |
2,81% |
21 000 |
4,92 M |
| 5 |
GOOGL
|
Alphabet Inc. |
2,53% |
23 000 |
4,41 M |
| 6 |
V
|
Visa Inc |
1,98% |
10 000 |
3,45 M |
| 7 |
MA
|
MasterCard Incorporated |
1,95% |
6 000 |
3,40 M |
| 8 |
META
|
Meta Platforms Inc |
1,77% |
4 000 |
3,09 M |
| 9 |
CSCO
|
Cisco Systems, Inc. |
1,48% |
38 000 |
2,59 M |
| 10 |
INTU
|
Intuit Inc |
1,35% |
3 000 |
2,36 M |
| 11 |
AVGO
|
Broadcom Inc |
1,34% |
8 000 |
2,35 M |
| 12 |
SCHW
|
The Charles Schwab Corporation |
1,34% |
24 000 |
2,35 M |
| 13 |
C
|
Citigroup Inc. |
1,34% |
25 000 |
2,34 M |
| 14 |
IBM
|
International Business Machines Corp. |
1,30% |
9 000 |
2,28 M |
| 15 |
GILD
|
Gilead Sciences Inc. |
1,29% |
20 000 |
2,25 M |
| 16 |
SPGI
|
S&P Global Inc |
1,26% |
4 000 |
2,20 M |
| 17 |
BKNG
|
Booking Holdings Inc |
1,26% |
400 |
2,20 M |
| 18 |
QCOM
|
QUALCOMM Inc. |
1,26% |
15 000 |
2,20 M |
| 19 |
GS
|
Goldman Sachs Group, Inc. |
1,24% |
3 000 |
2,17 M |
| 20 |
ADP
|
Automatic Data Processing, Inc. |
1,24% |
7 000 |
2,17 M |
| 21 |
COF
|
Capital One Financial Corp. |
1,23% |
9 999 |
2,15 M |
| 22 |
ADBE
|
Adobe Inc |
1,23% |
6 000 |
2,15 M |
| 23 |
AXP
|
American Express Company |
1,20% |
7 000 |
2,10 M |
| 24 |
MCK
|
Mckesson Corp. |
1,19% |
3 000 |
2,08 M |
| 25 |
BK
|
The Bank of New York Mellon Corp. |
1,16% |
20 000 |
2,03 M |
| 26 |
CBRE
|
CBRE Group Inc. |
1,16% |
13 000 |
2,02 M |
| 27 |
CMCSA
|
Comcast Corporation |
1,14% |
60 000 |
1,99 M |
| 28 |
PGR
|
The Progressive Corporation |
1,11% |
8 000 |
1,94 M |
| 29 |
BWA
|
BorgWarner Inc. |
1,10% |
52 000 |
1,91 M |
| 30 |
FTNT
|
Fortinet Inc |
1,09% |
19 000 |
1,90 M |
| 31 |
JLL
|
Jones Lang LaSalle Incorporated |
1,08% |
7 000 |
1,89 M |
| 32 |
EME
|
Emcor Group Inc |
1,08% |
3 000 |
1,88 M |
| 33 |
FFIV
|
F5 Inc |
1,08% |
6 000 |
1,88 M |
| 34 |
CTA-PA
|
Corteva Inc |
1,07% |
26 000 |
1,88 M |
| 35 |
CI
|
The Cigna Group |
1,07% |
7 000 |
1,87 M |
| 36 |
CAH
|
Cardinal Health, Inc. |
1,07% |
12 000 |
1,86 M |
| 37 |
JHG
|
Janus Henderson Group PLC |
1,07% |
43 000 |
1,86 M |
| 38 |
VZ
|
Verizon Communications Inc. |
1,05% |
43 000 |
1,84 M |
| 39 |
EBAY
|
eBay Inc. |
1,05% |
20 000 |
1,84 M |
| 40 |
BPOP
|
Popular, Inc. |
1,05% |
16 000 |
1,83 M |
| 41 |
EA
|
Electronic Arts Inc. |
1,05% |
12 000 |
1,83 M |
| 42 |
TIGO
|
Millicom International Cellular SA |
1,03% |
45 000 |
1,81 M |
| 43 |
G
|
Genpact Ltd. |
1,03% |
41 000 |
1,81 M |
| 44 |
ACM
|
AECOM |
1,03% |
16 000 |
1,80 M |
| 45 |
KEYS
|
Keysight Technologies, Inc. |
1,03% |
11 000 |
1,80 M |
| 46 |
FLEX
|
Flex Ltd. |
1,03% |
36 000 |
1,80 M |
| 47 |
RL
|
Ralph Lauren Corp. |
1,03% |
6 000 |
1,79 M |
| 48 |
JBL
|
Jabil Inc |
1,02% |
8 000 |
1,79 M |
| 49 |
APTV
|
Aptiv PLC |
1,02% |
26 000 |
1,78 M |
| 50 |
SLM
|
SLM Corp. |
1,00% |
55 000 |
1,75 M |
| 51 |
SYF
|
Synchrony Financial |
1,00% |
25 000 |
1,74 M |
| 52 |
HIG
|
The Hartford Insurance Group Inc. |
1,00% |
14 000 |
1,74 M |
| 53 |
GEN
|
Gen Digital Inc |
1,00% |
59 000 |
1,74 M |
| 54 |
IRDM
|
Iridium Communications, Inc. |
0,99% |
71 000 |
1,74 M |
| 55 |
PNC
|
PNC Financial Services Group Inc. |
0,98% |
9 000 |
1,71 M |
| 56 |
CRUS
|
Cirrus Logic, Inc. |
0,98% |
17 000 |
1,71 M |
| 57 |
DLB
|
Dolby Laboratories Inc. |
0,95% |
22 000 |
1,66 M |
| 58 |
YETI
|
Yeti Holdings Inc |
0,95% |
45 000 |
1,65 M |
| 59 |
NTNX
|
Nutanix Inc |
0,90% |
21 000 |
1,58 M |
| 60 |
AMP
|
Ameriprise Financial, Inc. |
0,89% |
3 000 |
1,55 M |
| 61 |
XP
|
XP Inc. |
0,89% |
96 000 |
1,55 M |
| 62 |
CL
|
Colgate-Palmolive Co. |
0,82% |
17 000 |
1,43 M |
| 63 |
DBX
|
Dropbox Inc |
0,81% |
52 000 |
1,41 M |
| 64 |
KMB
|
Kimberly-Clark Corporation |
0,78% |
11 000 |
1,37 M |
| 65 |
NRG
|
NRG Energy, Inc. |
0,77% |
8 000 |
1,34 M |
| 66 |
COLM
|
Columbia Sportswear Co. |
0,74% |
23 000 |
1,30 M |
| 67 |
HRB
|
Block(H&R)Inc |
0,72% |
23 000 |
1,25 M |
| 68 |
WBA
|
Walgreens Boots Alliance Inc. |
0,69% |
104 000 |
1,21 M |
| 69 |
GAP
|
The Gap Inc. |
0,67% |
60 000 |
1,17 M |
| 70 |
MET
|
MetLife Inc. |
0,67% |
15 300 |
1,16 M |
| 71 |
CROX
|
Crocs Inc |
0,63% |
11 000 |
1,10 M |
| 72 |
FTI
|
TechnipFMC PLC |
0,62% |
30 000 |
1,09 M |
| 73 |
HUM
|
Humana Inc. |
0,57% |
4 000 |
999 480,0 |
| 74 |
PINC
|
Premier Inc |
0,55% |
45 000 |
966 600,0 |
| 75 |
MOH
|
Molina Healthcare, Inc. |
0,54% |
6 000 |
947 220,0 |
| 76 |
BRK-B
|
Berkshire Hathaway Inc. |
0,54% |
2 000 |
943 760,0 |
| 77 |
TSLA
|
Tesla Inc |
0,53% |
3 000 |
924 810,0 |
| 78 |
ADSK
|
Autodesk Inc |
0,52% |
3 000 |
909 330,0 |
| 79 |
AFL
|
Aflac Incorporated |
0,51% |
9 000 |
894 240,0 |
| 80 |
JPM
|
JPMorgan Chase & Co. |
0,51% |
3 000 |
888 720,0 |
| 81 |
AVT
|
Avnet, Inc. |
0,48% |
16 000 |
847 040,0 |
| 82 |
MAT
|
Mattel, Inc. |
0,43% |
44 000 |
748 440,0 |
| 83 |
DVA
|
Davita Inc |
0,26% |
3 200 |
449 184,0 |
| 84 |
HOG
|
Harley-Davidson, Inc. |
0,18% |
13 100 |
318 723,0 |
| 85 |
CCK
|
Crown Holdings Inc |
0,17% |
3 000 |
298 080,0 |
| 86 |
ELV
|
Elevance Health Inc. |
0,16% |
1 000 |
283 080,0 |
Showing top 10 of 86 holdings
·
Listed: 99,88%
·
0,12% in other positions
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