Titelia

Portefeuille d'ETC 6 Meridian Low Beta Equity Strategy ETF

EXCHANGE TRADED CONCEPTS TRUST · 241 positions déclarées · au 28 févr. 2026

Document d'origine · Actif net 198,9 M $ · Dix premières lignes : 6.2 % de la poche actions

Répartition par secteur

  • Consommation de base 4,0 %
  • Santé 3,8 %
  • Services publics 3,7 %
  • Industrie 2,0 %
  • Finance 1,3 %
  • Communication 1,2 %
  • Consommation cyclique 1,1 %
  • Immobilier 0,4 %
  • Non attribué 82,5 %

Classification Titelia, société par société. La part non attribuée reste affichée.

Répartition par devise

  • USD 100,0 %

Devise de cotation de chaque ligne, telle que déclarée.

Répartition par pays

  • US 96,0 %
  • BM 1,7 %
  • MH 1,1 %
  • KY 0,5 %
  • IE 0,4 %
  • CA 0,3 %

Parts calculées sur la poche actions.

PaysLignesValeurPart
US232190,1 M $96,00 %
BM43,4 M $1,72 %
MH22,2 M $1,10 %
KY1928,7 k $0,47 %
IE1721,1 k $0,36 %
CA1681,8 k $0,34 %

Positions

SociétéTitresValeurPoids
Madison Square Garden Sports Corp 3 9671,3 M $0,66 %
Dycom Industries Inc 3 1301,3 M $0,66 %
Coca-Cola Consolidated Inc 6 4321,3 M $0,65 %
Royal Gold Inc 4 2061,3 M $0,63 %
International Seaways Inc 16 5981,3 M $0,63 %
EZCORP Inc 46 4151,2 M $0,62 %
Protagonist Therapeutics Inc 12 8331,2 M $0,59 %
McKesson Corp 1 1341,1 M $0,56 %
Dollar General Corp 7 1071,1 M $0,56 %
Lockheed Martin Corp 1 6761,1 M $0,55 %
CNX Resources Corp 26 2801,1 M $0,55 %
PriceSmart Inc 7 0611,1 M $0,55 %
Casella Waste Systems Inc 11 6751,1 M $0,55 %
Johnson & Johnson 4 3561,1 M $0,54 %
Lantheus Holdings Inc 14 1851,1 M $0,53 %
Monster Beverage Corp 12 4371,1 M $0,53 %
Casey's General Stores Inc 1 5401,1 M $0,53 %
Clearway Energy Inc 27 4561,1 M $0,53 %
New York Times Co/The 13 1651,1 M $0,53 %
L3Harris Technologies Inc 2 8521 M $0,52 %
Bristol-Myers Squibb Co 16 4771 M $0,52 %
NextEra Energy Inc 10 9541 M $0,52 %
FirstCash Holdings Inc 5 2791 M $0,51 %
HA Sustainable Infrastructure Capital Inc 27 5431 M $0,51 %
Gilead Sciences Inc 6 7531 M $0,51 %
Cboe Global Markets Inc 3 3431 M $0,50 %
CACI International Inc 1 637998,8 k $0,50 %
John B Sanfilippo & Son Inc 12 076997,6 k $0,50 %
MDU Resources Group Inc 47 992992,5 k $0,50 %
Hershey Co/The 4 192990,5 k $0,50 %
InterDigital Inc 2 701990 k $0,50 %
Cencora Inc 2 656988,4 k $0,50 %
Northwest Natural Holding Co 18 559984,4 k $0,49 %
United Therapeutics Corp 1 943979,1 k $0,49 %
Portland General Electric Co 18 138978,7 k $0,49 %
HCA Healthcare Inc 1 847978,4 k $0,49 %
RenaissanceRe Holdings Ltd 3 227976 k $0,49 %
Northrop Grumman Corp 1 341971,4 k $0,49 %
American Electric Power Co Inc 7 187961,8 k $0,48 %
Black Hills Corp 13 013958,5 k $0,48 %
CSG Systems International Inc 11 984957,5 k $0,48 %
Antero Midstream Corp 42 548956,5 k $0,48 %
Chubb Ltd 2 806956,5 k $0,48 %
Ensign Group Inc/The 4 464956,1 k $0,48 %
Penumbra Inc 2 764951,9 k $0,48 %
CME Group Inc 2 969948,6 k $0,48 %
Entergy Corp 8 848947,7 k $0,48 %
Crown Holdings Inc 8 239944,2 k $0,47 %
Spire Inc 10 279941,7 k $0,47 %
Coca-Cola Co/The 11 431932,3 k $0,47 %
Eversource Energy 12 227931,8 k $0,47 %
Fresh Del Monte Produce Inc 21 632928,7 k $0,47 %
Electronic Arts Inc 4 611924,8 k $0,46 %
Supernus Pharmaceuticals Inc 16 884924,1 k $0,46 %
Dorian LPG Ltd 24 975923,8 k $0,46 %
Liquidity Services Inc 29 005916,8 k $0,46 %
CF Industries Holdings Inc 9 196915,4 k $0,46 %
FirstEnergy Corp 17 863913,9 k $0,46 %
Global Net Lease Inc 96 690910,8 k $0,46 %
Evergy Inc 10 851907,8 k $0,46 %
Colgate-Palmolive Co 9 123904,5 k $0,45 %
Exelixis Inc 20 502903,3 k $0,45 %
Veris Residential Inc 47 839901,8 k $0,45 %
PepsiCo Inc 5 306900,6 k $0,45 %
Philip Morris International Inc. 4 812899 k $0,45 %
Tyson Foods Inc 13 820898,2 k $0,45 %
Quest Diagnostics Inc 4 232896,8 k $0,45 %
New Jersey Resources Corp 16 503895,1 k $0,45 %
Whitestone REIT 58 910894,8 k $0,45 %
CenterPoint Energy Inc 20 553894,1 k $0,45 %
ONE Gas Inc 10 223893,9 k $0,45 %
IDACORP Inc 6 199892,5 k $0,45 %
Consolidated Edison Inc 7 921891,3 k $0,45 %
Xcel Energy Inc 10 684890,6 k $0,45 %
Exelon Corp 17 884884,7 k $0,44 %
Ormat Technologies Inc 8 526884,1 k $0,44 %
Getty Realty Corp 26 899882,8 k $0,44 %
Unitil Corp 16 795878,5 k $0,44 %
Verizon Communications Inc 17 495877,2 k $0,44 %
Hologic Inc 11 636876,9 k $0,44 %
Pinnacle West Capital Corp. 8 727875,3 k $0,44 %
Balchem Corp 4 824875,2 k $0,44 %
SiriusPoint Ltd 41 371874,6 k $0,44 %
Ameren Corp 7 718874,3 k $0,44 %
Atmos Energy Corp 4 665871,4 k $0,44 %
Southwest Gas Holdings Inc 9 879871 k $0,44 %
Innoviva Inc 37 915870,5 k $0,44 %
Alliant Energy Corp 12 021869,6 k $0,44 %
Omega Healthcare Investors Inc 18 001868,9 k $0,44 %
Chefs' Warehouse Inc/The 12 140866,7 k $0,44 %
Option Care Health Inc 26 696866,6 k $0,44 %
EPR Properties 14 582866,3 k $0,44 %
OGE Energy Corp 17 589864,3 k $0,43 %
Reynolds Consumer Products Inc 34 650859,7 k $0,43 %
Sysco Corp 9 423859 k $0,43 %
Essential Properties Realty Trust Inc 25 211855,7 k $0,43 %
Avista Corp 21 064855,6 k $0,43 %
Archer-Daniels-Midland Co 12 339851,9 k $0,43 %
WP Carey Inc 11 403851,2 k $0,43 %
Waste Management Inc 3 532850,6 k $0,43 %
Church & Dwight Co Inc 8 107850,1 k $0,43 %
WD-40 Co 3 565849,2 k $0,43 %
CMS Energy Corp 10 853847,3 k $0,43 %
Equity LifeStyle Properties Inc 12 584845,1 k $0,42 %
Collegium Pharmaceutical Inc 20 267844,5 k $0,42 %
WEC Energy Group Inc 7 209843,2 k $0,42 %
McDonald's Corp. 2 472843,1 k $0,42 %
DTE Energy Co 5 686842,9 k $0,42 %
Duke Energy Corp 6 438842,4 k $0,42 %
Enact Holdings Inc 20 131842,3 k $0,42 %
PPL Corp 21 594841,7 k $0,42 %
LTC Properties Inc 21 205841,4 k $0,42 %
Chesapeake Utilities Corp 6 188841,4 k $0,42 %
UGI Corp 22 465840,4 k $0,42 %
Service Corp International/US 9 982840,3 k $0,42 %
Sabra Health Care REIT Inc 40 802838,5 k $0,42 %
Rollins Inc 13 740836,6 k $0,42 %
Safety Insurance Group Inc 10 699830,6 k $0,42 %
Alexander & Baldwin Inc 39 944830,4 k $0,42 %
BioMarin Pharmaceutical Inc 13 446830 k $0,42 %
H2O America 15 388827,7 k $0,42 %
Prestige Consumer Healthcare Inc 11 938827,3 k $0,42 %
Southern Co/The 8 460823,8 k $0,41 %
Old Republic International Corp 19 198823 k $0,41 %
Sturm Ruger & Co Inc 21 953821,9 k $0,41 %
Keurig Dr Pepper Inc 27 106820,8 k $0,41 %
Universal Health Realty Income Trust 18 775819 k $0,41 %
Selective Insurance Group Inc 9 731817,8 k $0,41 %
National Fuel Gas Co 8 974816,9 k $0,41 %
National Storage Affiliates Trust 23 316816,5 k $0,41 %
Assured Guaranty Ltd 9 448814,5 k $0,41 %
NNN REIT Inc 17 911811,7 k $0,41 %
Procter & Gamble Co/The 4 853811,4 k $0,41 %
Centerspace 12 839807,6 k $0,41 %
AptarGroup Inc 5 607805,8 k $0,41 %
Altria Group, Inc. 11 667805,5 k $0,40 %
COPT Defense Properties 25 325804,8 k $0,40 %
HCI Group Inc 4 557803,9 k $0,40 %
Tootsie Roll Industries Inc 19 025803,4 k $0,40 %
Kenvue Inc 41 701797,3 k $0,40 %
MarketAxess Holdings Inc 4 145795,8 k $0,40 %
Saul Centers Inc 23 316794,6 k $0,40 %
Healthcare Realty Trust Inc 42 997793,3 k $0,40 %
BJ's Wholesale Club Holdings Inc 8 010791,3 k $0,40 %
Hanover Insurance Group Inc/The 4 376790,4 k $0,40 %
Essential Utilities Inc 19 732788,7 k $0,40 %
Otter Tail Corp 9 257787,8 k $0,40 %
Grand Canyon Education Inc 4 945786,6 k $0,40 %
Murphy USA Inc 2 009785 k $0,39 %
Gaming and Leisure Properties Inc 16 037784,4 k $0,39 %
Kroger Co/The 11 460782 k $0,39 %
Palomar Holdings Inc 6 304779,9 k $0,39 %
Strategic Education Inc 9 474779,5 k $0,39 %
Jack Henry & Associates Inc 4 791778,3 k $0,39 %
McCormick & Co Inc/MD 10 953778,1 k $0,39 %
Clorox Co/The 6 115777,6 k $0,39 %
Boston Beer Co Inc/The 3 421775,8 k $0,39 %
American States Water Co 10 405775,5 k $0,39 %
Republic Services Inc 3 385775,2 k $0,39 %
Hormel Foods Corp 30 262774,7 k $0,39 %
Mondelez International Inc 12 580774,7 k $0,39 %
Middlesex Water Co 14 335774,1 k $0,39 %
W R Berkley Corp 10 794773,9 k $0,39 %
Tetra Tech Inc 21 514771,1 k $0,39 %
CubeSmart 18 605765,4 k $0,38 %
NMI Holdings Inc 19 425763,6 k $0,38 %
Post Holdings Inc 7 175762,7 k $0,38 %
Four Corners Property Trust Inc 29 743759 k $0,38 %
FTI Consulting Inc 4 608757,6 k $0,38 %
Pilgrim's Pride Corp 17 532756,7 k $0,38 %
Molson Coors Beverage Co 15 413755,1 k $0,38 %
Employers Holdings Inc 18 239754,2 k $0,38 %
Universal Corp/VA 13 991751,7 k $0,38 %
MGE Energy Inc 9 165751,7 k $0,38 %
American Tower Corp 3 918751,7 k $0,38 %
Progress Software Corp 17 829746,7 k $0,38 %
American Financial Group Inc/OH 5 606745,5 k $0,37 %
California Water Service Group 16 488743,3 k $0,37 %
Essent Group Ltd 12 162739,9 k $0,37 %
Cigna Group/The 2 548738,5 k $0,37 %
American Water Works Co Inc 5 413736,3 k $0,37 %
AT&T Inc 26 243735,1 k $0,37 %
Monarch Casino & Resort Inc 7 627733 k $0,37 %
Horace Mann Educators Corp 16 780730,1 k $0,37 %
Albertsons Cos Inc 40 740729,2 k $0,37 %
TG Therapeutics Inc 24 111725,5 k $0,36 %
Zimmer Biomet Holdings Inc 7 347723,2 k $0,36 %
RLI Corp 11 579721,6 k $0,36 %
Willis Towers Watson PLC 2 363721,1 k $0,36 %
Halozyme Therapeutics Inc 10 366720,7 k $0,36 %
AutoZone Inc 190713,6 k $0,36 %
Marsh & McLennan Cos Inc 3 818713 k $0,36 %
Ingredion Inc 6 047710,3 k $0,36 %
Addus HomeCare Corp 6 858710 k $0,36 %
National Beverage Corp 19 410705,6 k $0,35 %
Kraft Heinz Co/The 28 455700,3 k $0,35 %
Sensient Technologies Corp 6 882698,7 k $0,35 %
VICI Properties Inc 23 115698,3 k $0,35 %
O'Reilly Automotive Inc 7 412695,8 k $0,35 %
Marzetti Company/The 4 216692,9 k $0,35 %
Genpact Ltd 17 300687,2 k $0,35 %
Chemed Corp 1 670684,7 k $0,34 %
Science Applications International Corp 7 405683,2 k $0,34 %
RB Global Inc 6 753681,8 k $0,34 %
Abbott Laboratories 5 841679,6 k $0,34 %
Fidelity National Financial Inc 12 824678,1 k $0,34 %
Starwood Property Trust Inc 37 694671,3 k $0,34 %
American Homes 4 Rent 22 285668,6 k $0,34 %
Encompass Health Corp 6 188667,6 k $0,34 %
T-Mobile US Inc 3 074667,3 k $0,34 %
Kimberly-Clark Corp 5 983666,7 k $0,34 %
Maximus Inc 8 803665,6 k $0,33 %
Rayonier Inc 30 473654,9 k $0,33 %
Pacira BioSciences Inc 29 355643,2 k $0,32 %
Maplebear Inc 17 145643,1 k $0,32 %
J & J Snack Foods Corp 7 126620,4 k $0,31 %
Harmony Biosciences Holdings Inc 21 576615,8 k $0,31 %
Planet Fitness Inc 7 435610,8 k $0,31 %
Progyny Inc 34 433609,1 k $0,31 %
Franklin BSP Realty Trust Inc 66 531607,4 k $0,31 %
ANI Pharmaceuticals Inc 8 146602 k $0,30 %
NewMarket Corp 960601 k $0,30 %
Verisk Analytics Inc 2 874596,6 k $0,30 %
Cal-Maine Foods Inc 6 827594,7 k $0,30 %
HealthStream Inc 27 593585,8 k $0,29 %
Energizer Holdings Inc 26 989582,7 k $0,29 %
Wendy's Co/The 75 168575,8 k $0,29 %
Ryan Specialty Holdings Inc 14 275561,7 k $0,28 %
Box Inc 23 699558,1 k $0,28 %
AMERISAFE Inc 16 928550,7 k $0,28 %
Verra Mobility Corp 31 234521,9 k $0,26 %
Flowers Foods Inc 52 431518 k $0,26 %
SITE Centers Corp 83 133512,1 k $0,26 %
Simply Good Foods Co/The 27 296465,7 k $0,23 %
H&R Block Inc 15 189465,1 k $0,23 %
Graphic Packaging Holding Co 36 065441,1 k $0,22 %
Guidewire Software Inc 2 984433,6 k $0,22 %
Sprouts Farmers Market Inc 5 598413,5 k $0,21 %
Stride Inc 4 831407,6 k $0,20 %
Elme Communities 45 09196,9 k $0,05 %
F&G Annuities & Life Inc 77217,5 k $0,01 %