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Harel Insurance Investments & Financial Services Ltd.

· CIK 0001429390
13F Portfolio $14.7B AUM 509 positions Filed May 5, 2026 EDGAR ↗ ← All Funds
Q1 2026 Q4 2025
108 New 222 Added 100 Reduced 34 Exited
# Ticker Company Sector Shares Value % Port Chg Shares Chg %
1 TEVA TEVA PHARMACEUTICAL INDS LTD Healthcare 45,956,714 $1.38B 9.39% +1.0M +2.2%
2 NVMI NOVA LTD Technology 2,166,073 $940.7M 6.38% +697K +47.5%
3 GOOGL ALPHABET INC Communication Services 2,482,119 $713.8M 4.84% +904K +57.3%
4 NVDA NVIDIA CORPORATION Technology 4,077,941 $711.2M 4.82% +2.3M +130.4%
5 AAPL APPLE INC Technology 2,320,981 $589.0M 4.00% +2.0M +552.5%
6 MSFT MICROSOFT CORP Technology 1,356,359 $502.1M 3.40% +788K +138.8%
7 XLI SELECT SECTOR SPDR TR 2,931,874 $474.2M 3.22% +2.9M +3790.3%
8 TSM TAIWAN SEMICONDUCTOR MANUFAC Technology 1,390,459 $470.9M 3.19% +184K +15.2%
9 PAVE GLOBAL X FDS 8,938,139 $454.1M 3.08% +2.7M +43.3%
10 PANW PALO ALTO NETWORKS INC Technology 2,761,909 $442.8M 3.00% +2.6M +1665.1%
11 XLV SELECT SECTOR SPDR TR 2,838,549 $416.2M 2.82% -1.4M -32.8%
12 AMZN AMAZON COM INC Consumer Cyclical 1,951,562 $406.4M 2.76% +653K +50.3%
13 META META PLATFORMS INC Communication Services 669,977 $383.3M 2.60% +488K +268.2%
14 TSEM TOWER SEMICONDUCTOR LTD Technology 1,989,929 $349.2M 2.37% -328K -14.2%
15 CAMT CAMTEK LTD Technology 2,302,009 $349.0M 2.37% +637K +38.2%
16 SHLD GLOBAL X FDS 4,645,365 $329.1M 2.23% +2.8M +151.1%
17 CLIP GLOBAL X FDS 3,000,000 $301.1M 2.04%
18 IAI ISHARES TR 1,810,236 $297.2M 2.02% +632K +53.6%
19 ELBIT SYS LTD 269,599 $228.9M 1.55% +182K +206.1%
20 AVGO BROADCOM INC Technology 736,534 $228.0M 1.55% +280K +61.4%
21 FCOM FIDELITY COVINGTON TRUST 3,145,739 $214.3M 1.45% +155K +5.2%
22 VGT VANGUARD WORLD FD 305,172 $212.9M 1.44% -32K -9.4%
23 SMH VANECK ETF TRUST 534,268 $204.8M 1.39% -665K -55.4%
24 XLK SELECT SECTOR SPDR TR 1,416,839 $188.3M 1.28% -1.5M -51.3%
25 GE GE AEROSPACE Industrials 662,739 $188.3M 1.28% +204K +44.5%
26 ENLT ENLIGHT RENEWABLE ENERGY LTD Utilities 2,701,148 $184.4M 1.25% -21K -0.8%
27 MISL FIRST TR EXCHANGE-TRADED FD 3,953,000 $176.7M 1.20% +1.2M +41.2%
28 SNOW SNOWFLAKE INC Technology 1,171,833 $176.7M 1.20% +509K +76.8%
29 COPX GLOBAL X FDS 2,290,355 $174.9M 1.19% +1.5M +197.4%
30 GS GOLDMAN SACHS GROUP INC Financial Services 201,115 $170.1M 1.15% +43K +27.0%
31 HON HONEYWELL INTL INC Industrials 722,086 $163.2M 1.11%
32 DDOG DATADOG INC Technology 1,328,431 $156.8M 1.06% +279K +26.5%
33 LRCX LAM RESEARCH CORP Technology 732,364 $156.6M 1.06% +721K +6106.5%
34 COST COSTCO WHOLESALE CORPORATION Consumer Defensive 154,450 $153.9M 1.04% +148K +2432.0%
35 WMT WALMART INC Consumer Defensive 1,141,116 $141.8M 0.96% +1.1M +1352.0%
36 XLY SELECT SECTOR SPDR TR 1,246,345 $135.8M 0.92% -1.2M -49.8%
37 MDB MONGODB INC Technology 549,970 $134.6M 0.91% +195K +55.0%
38 ORA ORMAT TECHNOLOGIES INC Utilities 1,147,863 $128.5M 0.87% +283K +32.7%
39 NICE NICE LTD Technology 1,028,172 $113.4M 0.77% +148K +16.8%
40 IYC ISHARES TR 1,058,741 $102.6M 0.70% +120K +12.7%
41 XME SPDR SERIES TRUST 814,000 $87.9M 0.60% -108K -11.7%
42 ORCL ORACLE CORP Technology 592,338 $87.1M 0.59% +309K +109.2%
43 GLBE GLOBAL E ONLINE LTD Consumer Cyclical 2,041,555 $63.0M 0.43%
44 ETOR ETORO GROUP LTD Financial Services 1,988,552 $59.7M 0.41% +761K +62.0%
45 MRVL MARVELL TECHNOLOGY INC Technology 578,965 $57.3M 0.39%
46 SEDG SOLAREDGE TECHNOLOGIES INC Energy 31,200,000 $54.5M 0.37%
47 SPY STATE STR SPDR S&P 500 ETF T Financial Services 79,580 $51.8M 0.35% +5K +6.3%
48 RSPD INVESCO EXCHANGE TRADED FD T 871,842 $46.7M 0.32% +47K +5.8%
49 NDQ INVESCO QQQ TR 75,513 $43.6M 0.30% +7K +9.5%
50 VTV VANGUARD INDEX FDS 216,309 $42.4M 0.29% +200K +1186.9%
51 PERI PERION NETWORK LTD Communication Services 3,478,513 $34.8M 0.24%
52 XLU SELECT SECTOR SPDR TR 675,005 $31.0M 0.21% -5.5M -89.1%
53 RTX RTX CORPORATION Industrials 142,746 $27.5M 0.19% +43K +43.3%
54 LMT LOCKHEED MARTIN CORP Industrials 44,104 $26.7M 0.18% +13K +41.3%
55 MBLY MOBILEYE GLOBAL INC Consumer Cyclical 3,585,733 $24.6M 0.17% +705K +24.5%
56 BA BOEING CO Industrials 123,681 $24.6M 0.17% +35K +39.7%
57 EWJ ISHARES INC 285,045 $24.1M 0.16% +157K +121.8%
58 ASHR DBX ETF TR 735,613 $24.0M 0.16% +355K +93.3%
59 DXJ WISDOMTREE TR 137,735 $21.8M 0.15% +116K +527.7%
60 NYAX NAYAX LTD Technology 380,000 $21.3M 0.14%
61 VEU VANGUARD INTL EQUITY INDEX F 257,145 $19.3M 0.13% -63K -19.7%
62 NOC NORTHROP GRUMMAN CORP Industrials 27,129 $18.5M 0.13% +8K +41.2%
63 GD GENERAL DYNAMICS CORP Industrials 50,839 $17.4M 0.12% +14K +39.8%
64 HWM HOWMET AEROSPACE INC Industrials 75,014 $17.3M 0.12% +21K +38.6%
65 LQD ISHARES TR 128,217 $14.0M 0.10% -169K -56.9%
66 COHR COHERENT CORP Technology 55,600 $13.2M 0.09% +44K +371.2%
67 TDG TRANSDIGM GROUP INC Industrials 10,566 $12.2M 0.08% +3K +39.4%
68 LHX L3HARRIS TECHNOLOGIES INC Industrials 34,946 $12.1M 0.08% +10K +38.8%
69 GOOGL ALPHABET INC Communication Services 41,530 $11.9M 0.08% +1K +3.7%
70 CAT CATERPILLAR INC Industrials 16,135 $11.4M 0.08% +16K +10000.0%
71 ZIM INTEGRATED SHIPPING SERV 391,770 $10.3M 0.07%
72 XOM EXXON MOBIL CORP Energy 60,019 $10.2M 0.07% +8K +15.5%
73 TSLA TESLA INC Consumer Cyclical 27,246 $10.1M 0.07% +16K +137.8%
74 NYT NEW YORK TIMES CO MTN BE Communication Services 112,499 $9.4M 0.06% +32K +40.2%
75 RNG RINGCENTRAL INC Technology 248,716 $9.2M 0.06% -32K -11.3%
76 FFIV F5 INC Technology 30,799 $8.9M 0.06% +8K +34.0%
77 CVX CHEVRON CORPORATION Energy 41,778 $8.6M 0.06% +7K +19.0%
78 XLE SELECT SECTOR SPDR TR 140,786 $8.3M 0.06% -166K -54.2%
79 V VISA INC Financial Services 27,341 $8.3M 0.06% -2K -7.4%
80 VRSN VERISIGN INC Technology 32,993 $8.2M 0.06% -5K -13.9%
81 MU MICRON TECHNOLOGY INC Technology 24,232 $8.2M 0.06% +16K +202.9%
82 EME EMCOR GROUP INC Industrials 11,039 $8.2M 0.06% -2K -15.1%
83 LOPE GRAND CANYON ED INC Consumer Defensive 47,775 $8.1M 0.06% -2K -4.5%
84 MCK MCKESSON CORP Healthcare 9,288 $8.0M 0.06% -809 -8.0%
85 YUM YUM BRANDS INC Consumer Cyclical 51,462 $8.0M 0.05% +15K +39.9%
86 VOO VANGUARD INDEX FDS 12,737 $7.6M 0.05% -5K -26.2%
87 FEZ SPDR INDEX SHS FDS 121,558 $7.5M 0.05% +6K +5.5%
88 MELI MERCADOLIBRE INC Consumer Cyclical 4,327 $7.5M 0.05% -204 -4.5%
89 DECK DECKERS OUTDOOR CORP Consumer Cyclical 74,549 $7.5M 0.05% +23K +44.1%
90 ADBE ADOBE INC Technology 30,089 $7.3M 0.05% -5K -15.3%
91 JPM JPMORGAN CHASE & CO Financial Services 24,545 $7.2M 0.05% -149K -85.8%
92 RMD RESMED INC Healthcare 31,576 $7.1M 0.05% +10K +45.9%
93 CHE CHEMED CORP NEW Healthcare 18,615 $7.0M 0.05% -1K -7.0%
94 RCKT ROCKET LAB CORP Healthcare 106,167 $6.8M 0.05% +34K +47.6%
95 COR CENCORA INC Healthcare 21,640 $6.8M 0.05% -3K -11.6%
96 CBOE CBOE GLOBAL MKTS INC Financial Services 24,068 $6.8M 0.05% +3K +13.2%
97 MEDP MEDPACE HLDGS INC Healthcare 14,071 $6.8M 0.05% -2K -11.4%
98 AXON AXON ENTERPRISE INC Industrials 15,083 $6.4M 0.04% +4K +40.7%
99 BAC BANK AMERICA CORP Financial Services 122,490 $6.0M 0.04% -1.3M -91.2%
100 NTNX NUTANIX INC Technology 154,021 $5.9M 0.04% +2K +1.2%
101 PEGA PEGASYSTEMS INC Technology 137,302 $5.8M 0.04% +51K +58.6%
102 PCTY PAYLOCITY HLDG CORP Technology 51,476 $5.6M 0.04% -2K -4.6%
103 DOCU DOCUSIGN INC Technology 115,884 $5.5M 0.04% +37K +46.3%
104 RDVY FIRST TR EXCHANGE TRADED FD 80,000 $5.5M 0.04%
105 WIX WIX COM LTD Technology 57,989 $5.2M 0.04% +5K +9.8%
106 PATK PATRICK INDS INC Consumer Cyclical 47,000 $5.2M 0.04% NEW
107 SLQD ISHARES TR 102,652 $5.2M 0.04% +3K +2.8%
108 LYFT LYFT INC Technology 376,804 $5.0M 0.03% -35K -8.4%
109 RSP INVESCO EXCHANGE TRADED FD T 25,741 $4.9M 0.03% +17K +187.6%
110 ACWI ISHARES TR 34,207 $4.7M 0.03% +12K +54.7%
111 CW CURTISS WRIGHT CORP Industrials 6,899 $4.7M 0.03% +2K +39.0%
112 KRT KARAT PACKAGING INC Consumer Cyclical 151,181 $4.2M 0.03% +43K +40.3%
113 SLV ISHARES SILVER TR Financial Services 63,500 $4.2M 0.03% +25K +64.9%
114 DOCS DOXIMITY INC Healthcare 175,402 $4.1M 0.03% +2K +1.0%
115 SPMO INVESCO EXCH TRADED FD TR II 35,580 $4.0M 0.03% +24K +205.7%
116 PINS PINTEREST INC Communication Services 214,173 $3.9M 0.03% -5K -2.1%
117 GDDY GODADDY INC Technology 47,103 $3.9M 0.03% +4K +9.8%
118 FOR FORESTAR GROUP INC Real Estate 157,313 $3.8M 0.03% NEW
119 ANF ABERCROMBIE & FITCH CO Consumer Cyclical 41,600 $3.8M 0.03% +31K +300.0%
120 LDOS LEIDOS HOLDINGS INC Technology 23,649 $3.7M 0.03% +6K +37.4%
121 HEDJ WISDOMTREE TR 68,065 $3.6M 0.02% +6K +9.2%
122 PLTR PALANTIR TECHNOLOGIES INC Technology 23,424 $3.4M 0.02% -11K -32.9%
123 DAX GLOBAL X FDS 77,910 $3.3M 0.02% +26K +49.1%
124 HII HUNTINGTON INGALLS INDS INC Industrials 7,343 $2.8M 0.02% +2K +39.0%
125 NFLX NETFLIX INC. Communication Services 28,372 $2.7M 0.02% -27K -49.0%
126 EPI WISDOMTREE TR 66,000 $2.7M 0.02% -1.6M -95.9%
127 SDG ISHARES TR 31,830 $2.7M 0.02% +6K +24.9%
128 PBD INVESCO EXCH TRADED FD TR II 148,261 $2.7M 0.02% +15K +11.6%
129 BRK/B BERKSHIRE HATHAWAY INC DEL 5,539 $2.7M 0.02% -918 -14.2%
130 EVX VANECK ETF TRUST 68,549 $2.7M 0.02% +13K +23.2%
131 TBLU TORTOISE CAPITAL SERIES TRUS 52,550 $2.6M 0.02% +12K +28.2%
132 ICLN ISHARES TR 144,045 $2.6M 0.02% +13K +9.6%
133 KTOS KRATOS DEFENSE & SEC SOLUTIO Industrials 34,942 $2.5M 0.02% +12K +53.7%
134 FIW FIRST TR EXCHANGE-TRADED FD 23,188 $2.4M 0.02% +5K +29.8%
135 XLC SELECT SECTOR SPDR TR 21,407 $2.4M 0.02% -912K -97.7%
136 DRS LEONARDO DRS INC Industrials 49,735 $2.2M 0.01% +14K +38.9%
137 AMD ADVANCED MICRO DEVICES INC Technology 10,593 $2.2M 0.01% -97 -0.9%
138 ABNB AIRBNB INC Consumer Cyclical 16,650 $2.1M 0.01% -16K -49.7%
139 CRM SALESFORCE INC Technology 11,220 $2.1M 0.01% -287 -2.5%
140 DBEU DBX ETF TR 42,114 $2.0M 0.01% +29K +215.7%
141 XLF SELECT SECTOR SPDR TR 40,532 $2.0M 0.01% -5K -10.0%
142 EXEL EXELIXIS INC Healthcare 41,748 $1.8M 0.01% -16K -28.2%
143 ANET ARISTA NETWORKS INC Technology 14,235 $1.7M 0.01% -1K -8.4%
144 MOG.B MOOG INC Industrials 5,949 $1.7M 0.01% +2K +42.3%
145 AVAV AEROVIRONMENT INC Industrials 9,341 $1.7M 0.01% +3K +39.0%
146 REGN REGENERON PHARMACEUTICALS Healthcare 2,104 $1.6M 0.01% -32 -1.5%
147 ADP AUTOMATIC DATA PROCESSING IN Industrials 7,926 $1.6M 0.01% -3K -26.5%
148 FSLR FIRST SOLAR INC Energy 7,562 $1.5M 0.01% +3K +69.5%
149 JNJ JOHNSON & JOHNSON Healthcare 5,968 $1.5M 0.01% +3K +140.0%
150 HRL HORMEL FOODS CORP Consumer Defensive 63,592 $1.4M 0.01% +14K +28.5%
151 NVS NOVARTIS AG Healthcare 9,074 $1.4M 0.01% +1K +12.8%
152 IGV ISHARES TR 18,270 $1.4M 0.01% -36K -66.6%
153 LULU LULULEMON ATHLETICA INC Consumer Cyclical 8,823 $1.4M 0.01% +8K +941.7%
154 IT GARTNER INC Technology 8,520 $1.3M 0.01% NEW
155 TMO THERMO FISHER SCIENTIFIC INC Healthcare 2,744 $1.3M 0.01% +1K +60.7%
156 VERX VERTEX PHARMACEUTICALS INC Technology 3,014 $1.3M 0.01% +578 +23.7%
157 EW EDWARDS LIFESCIENCES CORP Healthcare 16,646 $1.3M 0.01% +4K +29.3%
158 INTU INTUIT Technology 2,918 $1.3M 0.01% +567 +24.1%
159 IHI ISHARES TR 23,029 $1.2M 0.01% +15K +179.8%
160 HXL HEXCEL CORP NEW Industrials 14,195 $1.1M 0.01% +3K +32.5%
161 UNH UNITEDHEALTH GROUP INC Healthcare 4,245 $1.1M 0.01% +1K +36.1%
162 C CITIGROUP INC Financial Services 10,079 $1.1M 0.01% +156 +1.6%
163 MSI MOTOROLA SOLUTIONS INC Technology 2,547 $1.1M 0.01% +2K +152.7%
164 PSN PARSONS CORP DEL Industrials 20,022 $1.1M 0.01% +6K +39.7%
165 COP CONOCOPHILLIPS Energy 8,128 $1.1M 0.01% +5K +200.6%
166 XLP SELECT SECTOR SPDR TR 12,651 $1.0M 0.01% +162 +1.3%
167 DHR DANAHER CORP DEL Healthcare 5,408 $1.0M 0.01% -782 -12.6%
168 LLY ELI LILLY & CO Healthcare 1,078 $989K 0.01% +454 +72.8%
169 BKNG BOOKING HOLDINGS INC Consumer Cyclical 235 $987K 0.01%
170 SPGI S&P GLOBAL INC Financial Services 2,280 $969K 0.01% -51 -2.2%
171 MA MASTERCARD INCORPORATED Financial Services 1,930 $963K 0.01% +458 +31.1%
172 VGK VANGUARD INTL EQUITY INDEX F 11,467 $945K 0.01% +5K +70.3%
173 PPLT ABRDN PLATINUM ETF TRUST Financial Services 5,330 $938K 0.01% +3K +90.4%
174 DELL DELL TECHNOLOGIES INC Technology 5,298 $870K 0.01% +198 +3.9%
175 MSCI MSCI INC Financial Services 1,580 $850K 0.01% -699 -30.7%
176 MRCY MERCURY SYS INC Industrials 11,230 $819K 0.01% +3K +38.8%
177 AIR AAR CORP Industrials 7,405 $811K 0.01% +2K +39.0%
178 XLB SELECT SECTOR SPDR TR 16,161 $803K 0.01% +194 +1.2%
179 INTC INTEL CORP Technology 18,008 $795K 0.01% +14K +410.3%
180 AJG GALLAGHER ARTHUR J & CO Financial Services 3,651 $791K 0.01% -636 -14.8%
181 SCHI SCHWAB STRATEGIC TR 34,314 $778K 0.01% +7K +24.3%
182 BLK BLACKROCK INC Financial Services 786 $756K 0.01% -30 -3.7%
183 BSCQ INVESCO EXCH TRD SLF IDX FD 37,807 $738K 0.01% +7K +22.9%
184 AEP AMERICAN ELEC PWR CO INC Utilities 5,560 $729K 0.01% +5K +853.7%
185 XLRE SELECT SECTOR SPDR TR 17,844 $726K 0.01% +432 +2.5%
186 DAL DELTA AIR LINES INC Industrials 10,539 $701K 0.01% +10K +2055.2%
187 KO COCA COLA CO Consumer Defensive 9,135 $692K 0.01% +2K +31.5%
188 HDB HDFC BANK LTD Financial Services 27,115 $675K 0.01% +12K +75.8%
189 PFE PFIZER INC Healthcare 24,000 $674K 0.01% NEW
190 CP CANADIAN PACIFIC KANSAS CITY Industrials 8,500 $670K 0.01% +4K +112.2%
191 ISRG INTUITIVE SURGICAL INC Healthcare 1,450 $668K 0.01% +442 +43.9%
192 SIL GLOBAL X FDS 7,600 $661K 0.00% NEW
193 BND VANGUARD BD INDEX FDS 8,892 $655K 0.00% +2K +23.4%
194 NEE NEXTERA ENERGY INC Utilities 6,859 $637K 0.00% +685 +11.1%
195 ACN ACCENTURE PLC IRELAND Technology 3,196 $634K 0.00% -642 -16.7%
196 SSYS STRATASYS LTD Technology 79,225 $619K 0.00% -114K -59.0%
197 IWF ISHARES TR 1,400 $597K 0.00% NEW
198 MRK MERCK & CO INC Healthcare 4,870 $586K 0.00% -2K -25.6%
199 MCFT MASTERCRAFT BOAT HLDGS INC Consumer Cyclical 28,000 $574K 0.00%
200 BMY BRISTOL-MYERS SQUIBB CO Healthcare 9,100 $552K 0.00% NEW
201 STRL STERLING INFRASTRUCTURE INC Industrials 1,290 $525K 0.00% NEW
202 FANG DIAMONDBACK ENERGY INC Energy 2,515 $497K 0.00% +857 +51.7%
203 DUK DUKE ENERGY CORP NEW Utilities 3,648 $478K 0.00% +3K +330.2%
204 QCOM QUALCOMM INC Technology 3,610 $465K 0.00% NEW
205 SPAB SPDR SERIES TRUST 17,579 $450K 0.00% +3K +23.4%
206 GM GENERAL MTRS CO Consumer Cyclical 5,960 $444K 0.00% -1K -19.5%
207 PEO EXELON CORP Financial Services 8,998 $441K 0.00% +4K +67.2%
208 VPL VANGUARD INTL EQUITY INDEX F 4,461 $432K 0.00%
209 ARM ARM HOLDINGS PLC Technology 2,850 $431K 0.00% NEW
210 VST VISTRA CORP Utilities 2,866 $431K 0.00% +146 +5.4%
211 VFLO VICTORY PORTFOLIOS II 10,900 $430K 0.00% +3K +36.2%
212 TUR* ISHARES INC 11,000 $425K 0.00% NEW
213 AMT AMERICAN TOWER CORP Real Estate 2,429 $419K 0.00% +2K +375.3%
214 STZ CONSTELLATION BRANDS INC Consumer Defensive 2,774 $416K 0.00% +2K +353.3%
215 EZU ISHARES INC 6,606 $414K 0.00% +3K +94.5%
216 PSTG EVERPURE INC Technology 7,000 $413K 0.00% -3K -30.0%
217 IPAC ISHARES TR 5,434 $412K 0.00%
218 SOXX ISHARES TR 1,255 $411K 0.00% +19 +1.5%
219 WDC WESTERN DIGITAL CORP Technology 1,499 $405K 0.00% NEW
220 IBIT ISHARES BITCOIN TRUST ETF Financial Services 10,515 $404K 0.00% +3K +40.1%
221 CAH CARDINAL HEALTH INC Healthcare 1,893 $400K 0.00% +993 +110.3%
222 VVX V2X INC Industrials 5,833 $400K 0.00% +2K +39.0%
223 AXP AMERICAN EXPRESS CO Financial Services 1,303 $393K 0.00% +289 +28.5%
224 ABT ABBOTT LABORATORIES Healthcare 3,772 $386K 0.00% +849 +29.1%
225 FTNT FORTINET INC Technology 4,735 $385K 0.00% -4K -44.1%
226 SEDG SOLAREDGE TECHNOLOGIES INC Energy 7,542 $385K 0.00% -2K -24.6%
227 NOBL PROSHARES TR 3,597 $381K 0.00% -300 -7.7%
228 NOW SERVICENOW INC Technology 3,645 $379K 0.00% +392 +12.1%
229 ARKB ARK 21SHARES BITCOIN ETF Financial Services 16,715 $376K 0.00% +5K +44.4%
230 BITB BITWISE BITCOIN ETF TR Financial Services 10,211 $376K 0.00% +3K +44.4%
231 FBTC FIDELITY WISE ORIGIN BITCOIN Financial Services 6,369 $376K 0.00% +2K +44.5%
232 EZBC FRANKLIN TEMPLETON DIGITAL H Financial Services 9,587 $376K 0.00% +3K +44.3%
233 BTC GRAYSCALE BITCOIN MINI TR ET Financial Services 12,533 $376K 0.00% +4K +44.3%
234 BTCO INVESCO GALAXY BITCOIN ETF Financial Services 5,572 $376K 0.00% +2K +44.5%
235 BRRR COINSHARES BITCOIN ETF Financial Services 19,656 $376K 0.00% +6K +44.4%
236 HODL VANECK BITCOIN ETF 19,603 $376K 0.00% +6K +44.3%
237 BTCW WISDOMTREE BITCOIN FD Financial Services 5,241 $376K 0.00% +2K +44.4%
238 QLTY GMO ETF TRUST 10,000 $362K 0.00% -500 -4.8%
239 SLB SLB LIMITED Energy 7,000 $360K 0.00% NEW
240 GTLB GITLAB INC Technology 16,496 $357K 0.00% -40K -70.7%
241 VIS VANGUARD WORLD FD 1,139 $356K 0.00%
242 ICE INTERCONTINENTAL EXCHANGE IN Financial Services 2,250 $354K 0.00% -2K -49.6%
243 SNPS SYNOPSYS INC Technology 878 $348K 0.00% -200K -99.6%
244 KCE SPDR SERIES TRUST 2,500 $344K 0.00%
245 EIS* ISHARES INC 2,950 $342K 0.00% NEW
246 TPL TEXAS PACIFIC LAND CORPORATI Energy 718 $341K 0.00% -257 -26.4%
247 TMUS T-MOBILE US INC Communication Services 1,600 $336K 0.00% NEW
248 RIOT RIOT PLATFORMS INC Financial Services 26,625 $329K 0.00% NEW
249 PEP PEPSICO INC Consumer Defensive 2,112 $328K 0.00% NEW
250 BBEU J P MORGAN EXCHANGE TRADED F 4,500 $326K 0.00%
251 SYLD CAMBRIA ETF TR 4,300 $324K 0.00% NEW
252 SCHV SCHWAB STRATEGIC TR 10,500 $320K 0.00% NEW
253 EOG EOG RES INC Energy 2,200 $318K 0.00% NEW
254 PLD PROLOGIS INC. Real Estate 2,389 $315K 0.00% +697 +41.2%
255 HLT HILTON WORLDWIDE HLDGS INC Consumer Cyclical 1,034 $314K 0.00% -841 -44.9%
256 GILD GILEAD SCIENCES INC Healthcare 2,249 $313K 0.00% NEW
257 FOUR SHIFT4 PMTS INC Technology 7,168 $313K 0.00% -3K -31.7%
258 PAAS PAN AMERN SILVER CORP Basic Materials 5,652 $309K 0.00% NEW
259 UEC URANIUM ENERGY CORP Energy 22,890 $309K 0.00% NEW
260 BK BANK NEW YORK MELLON CORP Financial Services 2,589 $307K 0.00% +1K +84.9%
261 MOS MOSAIC CO Basic Materials 12,000 $306K 0.00% NEW
262 BABA ALIBABA GROUP HLDG LTD Consumer Cyclical 2,396 $301K 0.00% -3K -51.9%
263 SPSB SPDR SERIES TRUST 9,875 $297K 0.00%
264 HCA HCA HEALTHCARE INC Healthcare 620 $293K 0.00% +329 +113.1%
265 CMG CHIPOTLE MEXICAN GRILL INC Consumer Cyclical 9,066 $290K 0.00% +7K +323.6%
266 FLIN FRANKLIN TEMPLETON ETF TR 8,700 $289K 0.00% +4K +67.3%
267 IEUR ISHARES TR 4,066 $286K 0.00%
268 ROP ROPER TECHNOLOGIES INC Industrials 809 $286K 0.00% -213 -20.8%
269 FLY FIREFLY AEROSPACE INC Industrials 10,000 $285K 0.00%
270 NVO NOVO-NORDISK A S Healthcare 7,675 $282K 0.00% NEW
271 AMAT APPLIED MATLS INC Technology 820 $280K 0.00% +320 +64.0%
272 ITA* ISHARES TR 1,280 $280K 0.00% NEW
273 TEAM ATLASSIAN CORPORATION Technology 4,000 $273K 0.00% -2K -32.2%
274 MOAT VANECK ETF TRUST 2,801 $271K 0.00% -200 -6.7%
275 UAL UNITED AIRLS HLDGS INC Industrials 2,900 $267K 0.00% NEW
276 AGG ISHARES TR 2,668 $265K 0.00% +390 +17.1%
277 CVS CVS HEALTH CORP Healthcare 3,575 $257K 0.00% +3K +1091.7%
278 SNX TD SYNNEX CORPORATION Technology 1,500 $253K 0.00% NEW
279 WBD WARNER BROS DISCOVERY INC Communication Services 9,125 $251K 0.00% NEW
280 OMC OMNICOM GROUP INC Communication Services 3,300 $249K 0.00% NEW
281 AMGN AMGEN INC Healthcare 700 $246K 0.00% +200 +40.0%
282 NTAP NETAPP INC Technology 2,400 $246K 0.00% NEW
283 CPRT COPART INC Industrials 7,394 $245K 0.00% -3K -30.9%
284 T AT&T INC Communication Services 8,300 $241K 0.00% -6K -42.0%
285 SOJF SOUTHERN CO Utilities 2,465 $238K 0.00% +1K +105.2%
286 DFAT DIMENSIONAL ETF TRUST 3,800 $237K 0.00%
287 CDRE CADRE HLDGS INC Industrials 7,609 $233K 0.00% +2K +39.0%
288 VEEV VEEVA SYS INC Healthcare 1,327 $233K 0.00% +103 +8.4%
289 FDX FEDEX CORP Industrials 647 $231K 0.00% +459 +244.2%
290 MNST MONSTER BEVERAGE CORP NEW Consumer Defensive 3,177 $230K 0.00% -5K -58.9%
291 MCD MCDONALDS CORP Consumer Cyclical 737 $229K 0.00% +500 +211.0%
292 SMCI SUPER MICRO COMPUTER INC Technology 10,000 $228K 0.00% NEW
293 CSCO CISCO SYS INC Technology 2,900 $225K 0.00% -2K -40.8%
294 UBER UBER TECHNOLOGIES INC Technology 3,100 $223K 0.00% -23K -88.3%
295 RGTI RIGETTI COMPUTING INC Technology 15,655 $220K 0.00% +9K +139.0%
296 HIPO HIPPO HLDGS INC Financial Services 8,400 $219K 0.00%
297 TXT TEXTRON INC Industrials 2,500 $219K 0.00% NEW
298 CDW CDW CORP Technology 1,800 $218K 0.00% NEW
299 TOL TOLL BROTHERS INC Consumer Cyclical 1,600 $218K 0.00% NEW
300 WFC WELLS FARGO & CO Financial Services 2,700 $215K 0.00% NEW
301 DIS DISNEY WALT CO Communication Services 2,156 $207K 0.00% +998 +86.2%
302 IBM INTERNATIONAL BUSINESS MACHS Technology 850 $206K 0.00% NEW
303 IVV ISHARES TR 313 $204K 0.00% -6K -94.9%
304 BKR BAKER HUGHES COMPANY Energy 3,285 $201K 0.00% NEW
305 EA ELECTRONIC ARTS INC Communication Services 974 $199K 0.00% NEW
306 PG PROCTER & GAMBLE CO Consumer Defensive 1,368 $198K 0.00% NEW
307 HD HOME DEPOT INC Consumer Cyclical 600 $197K 0.00% +525 +700.0%
308 VZ VERIZON COMMUNICATIONS INC Communication Services 3,928 $197K 0.00% NEW
309 MPC MARATHON PETE CORP Energy 800 $195K 0.00% NEW
310 MO ALTRIA GROUP INC Consumer Defensive 2,903 $192K 0.00% -3K -49.8%
311 DLTR DOLLAR TREE INC Consumer Defensive 1,741 $190K 0.00% NEW
312 COF CAPITAL ONE FINL CORP Financial Services 1,034 $189K 0.00% NEW
313 OXY OCCIDENTAL PETE CORP Energy 2,876 $186K 0.00%
314 ENPH ENPHASE ENERGY INC Energy 4,870 $184K 0.00% -540 -10.0%
315 IM8N INSMED INC 1,084 $177K 0.00% NEW
316 DVY ISHARES TR 1,168 $177K 0.00% +300 +34.6%
317 XYZ BLOCK INC Technology 2,957 $177K 0.00% -2K -34.2%
318 DYH TARGET CORP 1,458 $177K 0.00% NEW
319 LNTH LANTHEUS HLDGS INC Healthcare 2,309 $175K 0.00% -270 -10.5%
320 ABBV ABBVIE INC Healthcare 800 $174K 0.00%
321 CHTR CHARTER COMMUNICATIONS INC Communication Services 792 $171K 0.00% -109 -12.1%
322 IDXX IDEXX LABS INC Healthcare 304 $170K 0.00%
323 PM PHILIP MORRIS INTL INC Consumer Defensive 1,000 $165K 0.00% NEW
324 APP APPLOVIN CORP Technology 404 $161K 0.00% +179 +79.6%
325 IXJ ISHARES TR 1,667 $156K 0.00%
326 TJX TJX COS INC NEW Consumer Cyclical 970 $155K 0.00% +239 +32.7%
327 BSX BOSTON SCIENTIFIC CORP Healthcare 2,432 $153K 0.00% -2K -49.7%
328 RIVN RIVIAN AUTOMOTIVE INC Consumer Cyclical 10,142 $153K 0.00% +2K +30.6%
329 RCL ROYAL CARIBBEAN GROUP Consumer Cyclical 555 $153K 0.00%
330 GLOB GLOBANT S A Technology 3,286 $152K 0.00% -296 -8.3%
331 MS MORGAN STANLEY Financial Services 911 $150K 0.00% +600 +192.9%
332 TM TOYOTA MOTOR CORP Consumer Cyclical 730 $150K 0.00% NEW
333 PGR PROGRESSIVE CORP Financial Services 750 $149K 0.00% NEW
334 CME CME GROUP INC Financial Services 500 $148K 0.00%
335 UNP UNION PAC CORP Industrials 600 $146K 0.00% NEW
336 AZO AUTOZONE INC Consumer Cyclical 43 $145K 0.00% -115 -72.8%
337 AFRM AFFIRM HLDGS INC Technology 3,150 $143K 0.00% NEW
338 URI UNITED RENTALS INC Industrials 194 $141K 0.00% NEW
339 EXPE EXPEDIA GROUP INC Consumer Cyclical 606 $140K 0.00% -484 -44.4%
340 VTR VENTAS INC Real Estate 1,697 $139K 0.00% NEW
341 ALB ALBEMARLE CORP Basic Materials 768 $138K 0.00% -1K -59.4%
342 XAR SPDR SERIES TRUST 532 $135K 0.00% NEW
343 NU HLDGS LTD 9,350 $134K 0.00% -650 -6.5%
344 ADSK AUTODESK INC Technology 546 $130K 0.00%
345 WELL WELLTOWER INC Real Estate 650 $129K 0.00% -150 -18.8%
346 ADI ANALOG DEVICES INC Technology 400 $127K 0.00% NEW
347 SPSC SPS COMM INC Technology 2,259 $126K 0.00% -239 -9.6%
348 CEG CONSTELLATION ENERGY CORP Utilities 442 $123K 0.00% +101 +29.6%
349 FLJP FRANKLIN TEMPLETON ETF TR 3,400 $123K 0.00%
350 DASH DOORDASH INC Communication Services 817 $122K 0.00% NEW
351 BBCA J P MORGAN EXCHANGE TRADED F 1,300 $122K 0.00%
352 EQIX EQUINIX INC Real Estate 123 $121K 0.00% +100 +434.8%
353 PYPL PAYPAL HLDGS INC Financial Services 2,658 $120K 0.00% +2K +431.6%
354 CL COLGATE PALMOLIVE CO Consumer Defensive 1,400 $119K 0.00% NEW
355 TXN TEXAS INSTRS INC Technology 600 $116K 0.00% NEW
356 BX BLACKSTONE INC Financial Services 1,000 $115K 0.00% NEW
357 EWH ISHARES INC 5,000 $115K 0.00% NEW
358 SOFI SOFI TECHNOLOGIES INC Financial Services 7,266 $114K 0.00% NEW
359 SHW SHERWIN WILLIAMS CO Basic Materials 350 $112K 0.00% NEW
360 CIEN CIENA CORP Technology 285 $111K 0.00% NEW
361 IDMO INVESCO EXCH TRADED FD TR II 2,000 $110K 0.00%
362 PWR QUANTA SVCS INC Industrials 200 $110K 0.00% -3K -93.5%
363 GWW WW GRAINGER INC Industrials 100 $109K 0.00% NEW
364 VBR VANGUARD INDEX FDS 500 $109K 0.00% NEW
365 GEV GE VERNOVA INC Utilities 120 $105K 0.00% NEW
366 JCI JOHNSON CONTROLS INTERNATION Industrials 804 $105K 0.00%
367 MRSH MARSH & MCLENNAN COS INC Financial Services 600 $104K 0.00% NEW
368 NRG NRG ENERGY INC Utilities 711 $104K 0.00% +502 +240.2%
369 KLAC KLA CORP Technology 70 $103K 0.00% NEW
370 WM WASTE MGMT INC DEL Industrials 450 $103K 0.00% NEW
371 IJH ISHARES TR 1,527 $102K 0.00%
372 SNDK SANDISK CORP Technology 157 $100K 0.00% NEW
373 CMS CMS ENERGY CORP Utilities 1,274 $99K 0.00% +942 +283.7%
374 EEM ISHARES TR 1,661 $94K 0.00%
375 FDS FACTSET RESH SYS INC Financial Services 430 $93K 0.00%
376 SPG SIMON PPTY GROUP INC NEW Real Estate 500 $93K 0.00% NEW
377 TER TERADYNE INC Technology 313 $93K 0.00% NEW
378 EMR EMERSON ELEC CO Industrials 700 $92K 0.00% NEW
379 TFC TRUIST FINL CORP Financial Services 2,000 $92K 0.00% NEW
380 CCL1EUR CARNIVAL CORP 3,510 $91K 0.00% +1K +70.0%
381 CMI CUMMINS INC Industrials 170 $91K 0.00% NEW
382 ITW ILLINOIS TOOL WKS INC Industrials 350 $91K 0.00% NEW
383 PH PARKER-HANNIFIN CORP Industrials 100 $90K 0.00% NEW
384 SBUX STARBUCKS CORP Consumer Cyclical 1,000 $90K 0.00% NEW
385 UPS UNITED PARCEL SVCS INC Industrials 900 $89K 0.00% NEW
386 AFL AFLAC INC Financial Services 800 $88K 0.00% NEW
387 APH AMPHENOL CORP Technology 700 $88K 0.00% -353 -33.5%
388 HYG ISHARES TR 1,100 $88K 0.00%
389 USB US BANCORP Financial Services 1,700 $88K 0.00% NEW
390 CEF/U SPROTT ASSET MANAGEMENT LP 1,800 $86K 0.00%
391 EFA ISHARES TR 883 $85K 0.00%
392 ENZL ISHARES TR 2,000 $85K 0.00% NEW
393 NUE NUCOR CORP Basic Materials 500 $85K 0.00% NEW
394 DE DEERE & CO Industrials 150 $84K 0.00% NEW
395 CSL CARLISLE COS INC Industrials 250 $83K 0.00% +203 +431.9%
396 IYM ISHARES TR 465 $82K 0.00% -133 -22.2%
397 ACMR ACM RESH INC Technology 2,040 $80K 0.00% NEW
398 SPMD SPDR SERIES TRUST 1,352 $80K 0.00% +700 +107.4%
399 SREA SEMPRA Utilities 797 $77K 0.00% +85 +11.9%
400 CPNG COUPANG INC Consumer Cyclical 4,000 $76K 0.00% NEW
401 CTVA CORTEVA INC Basic Materials 900 $75K 0.00% NEW
402 LAES SEALSQ CORP Technology 28,570 $75K 0.00% +15K +104.1%
403 INDA ISHARES TR 1,575 $74K 0.00%
404 ADM ARCHER DANIELS MIDLAND CO Consumer Defensive 1,000 $73K NEW
405 AIA ISHARES TR 685 $73K
406 AAXJ ISHARES TR 752 $72K
407 PR PERMIAN RESOURCES CORP Energy 3,400 $72K NEW
408 ZBH ZIMMER BIOMET HOLDINGS INC Healthcare 800 $72K NEW
409 GLW CORNING INC Technology 500 $68K NEW
410 CI THE CIGNA GROUP Healthcare 250 $67K NEW
411 KMI KINDER MORGAN INC DEL Energy 2,000 $67K NEW
412 D DOMINION ENERGY INC Utilities 1,072 $66K +140 +15.0%
413 DON STATE STR SPDR DOW JONES IND 142 $65K
414 CARR CARRIER GLOBAL CORPORATION Industrials 1,129 $64K +100 +9.7%
415 JKHY HENRY JACK & ASSOC INC Technology 400 $63K NEW
416 OKE ONEOK INC NEW Energy 700 $63K NEW
417 ETR ENTERGY CORP NEW Utilities 553 $62K +66 +13.6%
418 CQQQ INVESCO EXCH TRADED FD TR II 1,340 $62K
419 XEL XCEL ENERGY INC Utilities 761 $60K -4K -84.6%
420 FIX COMFORT SYS USA INC Industrials 43 $59K +3 +7.5%
421 GEN GEN DIGITAL INC Technology 3,000 $56K NEW
422 ASLE AERSALE CORPORATION Industrials 8,829 $55K +2K +39.0%
423 USAR USA RARE EARTH INC Basic Materials 3,625 $55K NEW
424 ASML ASML HLDG NV Technology 43 $55K NEW
425 VPU VANGUARD WORLD FD 273 $54K
426 ODYS ODYSIGHT AI INC Technology 8,000 $53K -4K -33.9%
427 HSY HERSHEY CO Consumer Defensive 250 $52K NEW
428 ED CONSOLIDATED EDISON INC Utilities 441 $50K +47 +11.9%
429 KBWB INVESCO EXCH TRADED FD TR II 620 $49K
430 OSCR OSCAR HEALTH INC Healthcare 4,260 $49K NEW
431 PCG PG&E CORP Utilities 2,680 $47K +283 +11.8%
432 VDC VANGUARD WORLD FD 208 $47K
433 ALL ALLSTATE CORP Financial Services 224 $46K
434 WEC WEC ENERGY GROUP INC Utilities 397 $46K +42 +11.8%
435 IWM ISHARES TR 181 $45K +180 +10000.0%
436 CCI CROWN CASTLE INC Real Estate 532 $43K +57 +12.0%
437 MLM MARTIN MARIETTA MATLS INC Basic Materials 73 $43K +7 +10.6%
438 VMC VULCAN MATLS CO Basic Materials 159 $43K +13 +8.9%
439 IPAY AMPLIFY ETF TR 975 $42K
440 BCS BARCLAYS PLC Financial Services 2,000 $42K
441 BN BROOKFIELD CORP Financial Services 1,035 $42K
442 KKRT KKR & CO INC Financial Services 450 $42K -4K -90.5%
443 BWAY BRAINSWAY LTD Healthcare 3,000 $40K NEW
444 NIO NIO INC Consumer Cyclical 6,673 $40K
445 FCX FREEPORT MCMORAN INC Basic Materials 660 $39K NEW
446 HGV HILTON GRAND VACATIONS INC Consumer Cyclical 1,000 $39K -47 -4.5%
447 HACK AMPLIFY ETF TR 500 $38K -350 -41.2%
448 AEE AMEREN CORP Utilities 337 $37K +42 +14.2%
449 ATO ATMOS ENERGY CORP Utilities 202 $37K +25 +14.1%
450 DTE DTE ENERGY CO Utilities 254 $37K +27 +11.9%
451 SPLV INVESCO EXCH TRADED FD TR II 501 $37K -6K -91.9%
452 FE FIRSTENERGY CORP Utilities 705 $36K +75 +11.9%
453 PPL PPL CORP Utilities 916 $35K +109 +13.5%
454 CNP CENTERPOINT ENERGY INC Utilities 799 $34K +87 +12.2%
455 EIX EDISON INTL Utilities 470 $34K +50 +11.9%
456 AWK AMERICAN WTR WKS CO INC NEW Utilities 238 $32K +25 +11.7%
457 ES EVERSOURCE ENERGY Utilities 458 $32K +48 +11.7%
458 F FORD MTR CO Consumer Cyclical 2,692 $31K
459 IGIB ISHARES TR 547 $29K
460 NI NISOURCE INC Utilities 584 $27K +63 +12.1%
461 VCIT VANGUARD SCOTTSDALE FDS 324 $27K
462 FNV FRANCO NEV CORP Basic Materials 100 $25K
463 IVW ISHARES TR 220 $25K
464 CIBR FIRST TR EXCHANGE-TRADED FD 390 $24K
465 TTE TOTALENERGIES SE Energy 259 $24K
466 LNT ALLIANT ENERGY CORP Utilities 314 $23K +33 +11.7%
467 EVRG EVERGY INC Utilities 281 $23K +29 +11.5%
468 SBAC SBA COMMUNICATIONS CORP Real Estate 129 $22K +12 +10.3%
469 APG API GROUP CORP Industrials 526 $21K +72 +15.9%
470 AZN ASTRAZENECA PLC Healthcare 105 $21K -1K -91.0%
471 CAPR CAPRICOR THERAPEUTICS INC Healthcare 689 $21K
472 BAH BOOZ ALLEN HAMILTON HLDG COR Industrials 250 $20K
473 LII LENNOX INTL INC Industrials 43 $20K +4 +10.3%
474 ESPO VANECK ETF TRUST 206 $19K
475 USIG ISHARES TR 360 $18K
476 J JACOBS SOLUTIONS INC Industrials 143 $18K +13 +10.0%
477 TLN TALEN ENERGY CORP Utilities 55 $18K +4 +7.8%
478 HROW HARROW INC Healthcare 460 $16K NEW
479 BIB PROSHARES TR 198 $16K
480 SKYY FIRST TR EXCHANGE-TRADED FD 135 $15K -202 -59.9%
481 MAS MASCO CORP Industrials 248 $15K +21 +9.2%
482 PNW PINNACLE WEST CAP CORP Utilities 147 $15K +15 +11.4%
483 CAR AVIS BUDGET GROUP INC Industrials 94 $14K
484 ACM AECOM Industrials 158 $13K +14 +9.7%
485 CMCSA COMCAST CORP NEW Communication Services 468 $13K
486 DNL WISDOMTREE TR 290 $12K
487 APO APOLLO GLOBAL MGMT INC Financial Services 100 $11K
488 BLDR BUILDERS FIRSTSOURCE INC Industrials 135 $11K +14 +11.6%
489 GQ9 SPDR GOLD TR 24 $10K
490 KENON HLDGS LTD 115 $10K NEW
491 FORTY FORMULA SYSTEMS 1985 LTD 75 $9K NEW
492 JD JD.COM INC Consumer Cyclical 292 $9K
493 ORLY OREILLY AUTOMOTIVE INC Consumer Cyclical 85 $8K -354 -80.6%
494 TEAD TEADS HLDG CO Technology 12,900 $8K
495 VHT VANGUARD WORLD FD 28 $8K +13 +86.7%
496 LBTYK LIBERTY GLOBAL LTD Communication Services 600 $7K
497 VICI VICI PPTYS INC Real Estate 215 $6K
498 CDNS CADENCE DESIGN SYSTEM INC Technology 19 $5K -18 -48.6%
499 CNC CENTENE CORP DEL Healthcare 50 $2K
500 LILAK LIBERTY LATIN AMERICA LTD Communication Services 200 $2K
501 TAN INVESCO EXCH TRADED FD TR II 15 $1K NEW
502 STKH STEAKHOLDER FOODS LTD Consumer Defensive 351 $1K
503 BUG GLOBAL X FDS 1
504 PEJ INVESCO EXCHANGE TRADED FD T 1
505 EWY ISHARES INC 1 NEW
506 NBFC NEUBERGER BERMAN ETF TRUST 1
507 SPIB SPDR SERIES TRUST 1 -2K -99.9%
508 LILAK LIBERTY LATIN AMERICA LTD Communication Services 53
509 TBLA TABOOLA.COM LTD Communication Services 42 NEW
Sector Allocation
Technology 54.1%
Healthcare 14.0%
Communication Services 11.2%
Industrials 5.4%
Consumer Cyclical 5.3%
Financial Services 3.2%
Utilities 3.1%
Consumer Defensive 3.0%
Energy 0.8%
Real Estate 0.0%