ETF Components for AVMC - Avantis U.S. Mid Cap Equity ETF


Below is a list of stocks held by this ETF. We only list holdings in the same market. If this is a global ETF, there may be additional components other than those listed here.

Holdings

Symbol Grade Price % Change Allocation
RCL A 0.96 0.94
VST A 6.70 0.92
APP B -0.42 0.81
URI B 2.01 0.75
TRGP A 2.06 0.73
VRT A 5.06 0.72
DFS B 1.81 0.64
HIG A 0.80 0.63
DAL A 2.04 0.62
TPL A 0.01 0.59
CMI A 2.08 0.57
MTB A 2.04 0.55
IT C 0.86 0.55
GLW B 0.57 0.55
ACGL D 2.31 0.54
FITB B 0.76 0.53
COIN B -4.07 0.53
MLM B 1.08 0.52
RJF A 0.44 0.52
CCL A 1.69 0.52
HWM A 0.75 0.51
UAL A -0.54 0.51
PHM D 1.50 0.50
FIS C -0.06 0.50
VMC B 0.85 0.50
EA A 0.06 0.48
GRMN B 2.06 0.48
FCNCA A 1.89 0.47
DECK A 1.99 0.47
DD D 1.25 0.46
SYF B 0.96 0.46
ON F 0.31 0.46
IR B 0.25 0.46
CBRE B 0.32 0.45
DVN F 1.58 0.45
EME A 2.90 0.44
HPE B 2.71 0.44
MSTR B -0.33 0.44
PEG A 0.83 0.44
STT A 1.03 0.43
LPLA A 2.19 0.42
ROK B -0.38 0.42
TROW B 0.59 0.41
SYY D 1.11 0.41
HBAN B 1.26 0.41
RMD C -0.01 0.41
STLD B 0.73 0.40
CSL C 2.17 0.40
RF A 1.77 0.40
NTAP C 3.09 0.40
PPG F 0.54 0.40
CDW F 1.29 0.40
KEYS A 1.77 0.39
DOV B 2.02 0.39
VEEV C 1.08 0.39
TSCO D 1.74 0.38
CSGP C -0.14 0.38
GEHC C -3.37 0.38
PKG A 0.23 0.38
BR B 1.18 0.38
NDAQ A 0.41 0.38
LYB F 0.46 0.37
EFX F 1.67 0.37
MKL A 1.23 0.37
CHD A 1.13 0.37
WAB B 0.61 0.37
ETR A 0.72 0.36
LII A 4.07 0.36
BLDR F 1.09 0.35
WST C 1.12 0.35
WSM C -2.29 0.35
EQT A 1.96 0.35
NTRS A 0.51 0.35
JBL C 2.05 0.35
HUBB B 3.25 0.35
DOW F 1.43 0.34
CPAY A 1.17 0.34
A F 2.08 0.34
MRO A 1.33 0.34
EXPE B 1.28 0.34
CINF A 1.61 0.34
CTRA B 2.52 0.34
BAH F 4.12 0.33
OC A 2.01 0.33
K A 0.28 0.32
CFG B 1.47 0.32
IP A 0.03 0.32
ED C 0.01 0.31
WAT B 0.69 0.31
PFG C 0.51 0.31
STE D 0.58 0.31
DRI C 0.36 0.31
EXPD D 1.57 0.31
XEL A 1.22 0.31
XPO B 3.64 0.30
RS B 0.70 0.30
EBAY D 1.64 0.30
XYL D 2.81 0.30
CF A 0.98 0.30
FLEX A 3.67 0.30
BBY D 0.97 0.30
ATO A 1.18 0.29
SNA B 0.26 0.29
UTHR C 0.56 0.29
MANH D 1.04 0.29
EQH B 0.28 0.29
KEY B 1.63 0.29
FDS B 2.16 0.29
BIIB F 0.64 0.29
TOL B 1.87 0.29
CBOE C 0.49 0.29
MOH F 0.49 0.29
OVV B 2.60 0.28
LUV B 0.96 0.28
RPM B 1.07 0.28
LDOS C 2.68 0.28
SQ A 3.11 0.28
CASY A 0.88 0.27
WRB A 1.36 0.27
SAIA C 4.24 0.27
FIX A 3.65 0.26
ZM B 2.22 0.26
JBHT C 1.88 0.26
FTI A 3.31 0.26
FSLR F 1.57 0.26
TXT D 2.31 0.26
CLX A 0.19 0.25
TER F 0.89 0.25
GDDY A 0.90 0.25
VTRS A 0.80 0.25
BRO B 1.15 0.25
LH B 0.56 0.25
EWBC A 2.11 0.25
BALL D 0.74 0.25
PSTG F 3.08 0.25
RGA B 0.78 0.24
AVY D 0.30 0.24
TWLO A 3.72 0.24
GIS D 0.03 0.24
L A 0.52 0.24
EG C 1.40 0.24
PINS F -1.86 0.24
MPWR F 0.17 0.24
FNF D 0.24 0.24
GGG B 0.43 0.24
PPL A 1.04 0.23
PNR B 1.95 0.23
ALGN D 0.98 0.23
WSO A 1.50 0.23
NRG B 1.94 0.23
WBD B 2.31 0.22
AWK C 0.44 0.22
FOXA B -0.07 0.22
APTV F 0.83 0.22
IEX B 1.21 0.22
CLH C 1.37 0.22
TSN B 1.68 0.22
KNSL B 1.28 0.21
THC C -2.94 0.21
EMN D 1.59 0.21
AKAM F 2.65 0.21
POOL D 1.26 0.21
SWKS F 0.74 0.21
KMX C 4.71 0.21
FFIV A 1.26 0.21
PRI B 0.82 0.20
ITT B 1.86 0.20
EVR B 2.25 0.20
AEE A 1.33 0.20
DTE C 0.76 0.20
USFD A 1.07 0.20
ULTA F -2.75 0.20
TW A -1.14 0.20
KVUE A 1.77 0.20
UNM A 3.48 0.20
ZBH C -0.12 0.20
WAL B 3.16 0.20
OMC D 0.80 0.19
GWRE A 1.89 0.19
ADM D 0.62 0.19
LAD B 3.08 0.19
WEC A 0.86 0.19
RNR C -0.26 0.19
BWXT B 2.94 0.19
HOLX D 1.05 0.19
MUSA B 2.01 0.19
JKHY D 0.92 0.19
PFGC B 2.39 0.19
CG B 2.01 0.19
GPC F 1.26 0.19
SSNC C 1.89 0.19
AMCR C 1.74 0.19
SOFI A 4.06 0.19
BJ B 8.14 0.18
AIZ A 0.86 0.18
CMA B -0.78 0.18
SF B 1.04 0.18
TXRH B 0.30 0.18
ALLY C 3.57 0.18
ALLE D 0.62 0.18
NCLH B 1.79 0.18
AIT B 2.08 0.18
J D 1.93 0.18
CMS C 0.00 0.18
ERIE D -0.46 0.18
ALB B -0.22 0.18
ATR B 0.47 0.18
EXP B 2.22 0.18
MLI B 2.13 0.18
TAP C 0.51 0.18
IFF D 1.07 0.18
NBIX C 0.99 0.18
ROL B -0.97 0.18
ACM B 2.87 0.18
ZION B 1.60 0.18
LECO C 1.75 0.18
PAYC B 1.98 0.17
FN C 3.35 0.17
AR B 2.29 0.17
AYI B 1.51 0.17
AFG A 1.23 0.17
NWSA A 0.55 0.17
INCY C -1.07 0.17
AFRM A 4.45 0.17
PNFP B 1.86 0.17
BURL B 1.10 0.17
HSY F 0.50 0.17
ALSN B 3.12 0.17
JEF A 2.82 0.17
WBS A 1.85 0.17
WMS F 0.69 0.17
CTSH B 1.42 0.16
PR B 2.13 0.16
UFPI C 1.94 0.16
SEIC B -0.12 0.16
BSY D 0.00 0.16
EXEL B 0.29 0.16
R B 1.04 0.16
BLD F 4.61 0.16
BMRN F -0.33 0.16
GME C -0.60 0.16
DTM A 4.67 0.16
GL C 0.35 0.16
JLL D 1.30 0.16
EPAM C 3.57 0.16
TTWO A 0.48 0.16
COHR B 2.81 0.16
RRC B 1.93 0.16
CIEN B 2.74 0.15
FBIN D -0.27 0.15
FLR B 3.92 0.15
AOS F 1.63 0.15
MKC C 1.09 0.15
INGR B 1.10 0.15
DCI B 0.65 0.15
CNC F 0.51 0.15
HRB D -0.70 0.15
LBRDK C 0.15 0.15
FND D 2.58 0.15
WCC B 2.98 0.15
CCK D 0.69 0.15
PWR A 2.88 0.15
UHS D -0.49 0.15
ORI A 0.64 0.15
RHI C 0.83 0.14
ILMN C 1.24 0.14
TMHC C 1.88 0.14
ROKU D 0.32 0.14
GNRC B 2.85 0.14
SCI B -0.51 0.14
TPX B 0.53 0.14
WWD B 1.42 0.14
X C 4.05 0.14
Z A 3.20 0.14
CTVA C 1.94 0.14
HLNE B 1.58 0.14
EHC B 0.19 0.14
CHRW B 0.33 0.14
MTDR B 1.84 0.14
WTFC B 0.83 0.14
AXTA B 0.67 0.13
AXS A 0.94 0.13
KEX A 1.38 0.13
RL C 1.62 0.13
NYT D 1.23 0.13
SSB B 2.53 0.13
MRNA F -0.57 0.13
MORN B 1.17 0.13
BILL A 1.64 0.13
APA F 1.40 0.13
DG F 0.87 0.13
LNT A 0.19 0.13
TECH F 2.39 0.13
JAZZ B 2.73 0.13
ARMK B 2.49 0.13
ENSG D 0.68 0.13
WFRD F 1.85 0.13
EVRG A -0.64 0.13
EIX C 0.46 0.13
GMED A 0.54 0.13
RIVN F 0.44 0.13
NVR D 1.16 0.13
ONTO F 2.42 0.13
CTLT D 1.31 0.13
TPR B 1.45 0.13
VOYA B 0.75 0.13
DINO D 1.58 0.13
LYV A 0.70 0.13
BAX F 0.70 0.13
BWA D 0.33 0.13
SSD D 1.17 0.13
CFR B 0.49 0.13
DVA C 1.70 0.12
RBC A 0.00 0.12
RLI A 0.82 0.12
RVMD B 1.42 0.12
HALO F -1.90 0.12
HRL D 0.38 0.12
LNW F 0.53 0.12
FE C 0.56 0.12
MTG C 0.77 0.12
KR B 1.06 0.12
CHE D 1.86 0.12
NI A 1.06 0.12
DKS D 1.21 0.12
SKX F 0.88 0.12
LW C 0.13 0.12
MTH D 1.79 0.12
TREX C 1.57 0.12
PCTY B 0.41 0.12
CBSH B 1.78 0.12
GPK D 0.53 0.12
AXON A 4.85 0.12
ATI C 0.50 0.12
MEDP F 2.55 0.12
CMC B 0.94 0.12
PNW A 1.21 0.12
ALV C -0.18 0.12
OSK C 1.36 0.12
CHRD F 1.86 0.11
UHAL D 2.13 0.11
ES C 0.80 0.11
NOV C 1.94 0.11
IPG D 0.00 0.11
WEX F 1.56 0.11
WH B 1.15 0.11
OGE A 0.78 0.11
LSTR D 0.30 0.11
PCVX D 1.67 0.11
DXCM C -0.54 0.11
FLS A 0.82 0.11
OLED F 0.10 0.11
CHX C 2.31 0.11
SM C 1.91 0.11
MAS D 1.21 0.11
KBR F 2.26 0.11
MAT D 0.41 0.11
HAS D 0.21 0.11
GNTX F 0.31 0.11
OMF A 1.38 0.11
DLTR F 2.55 0.11
SNX C 1.05 0.10
SITE F 1.87 0.10
CZR F 0.11 0.10
PB B 1.93 0.10
KNX B 2.00 0.10
MUR D 1.55 0.10
ELAN D -0.30 0.10
HII F 1.88 0.10
APG C 2.53 0.10
FAF A -0.37 0.10
FHN B 1.03 0.10
ARW D 1.68 0.10
AGCO F 6.26 0.10
MOS D 2.22 0.10
WSC F 0.20 0.10
MSA D 0.82 0.10
CR A 1.60 0.10
EXC C 0.74 0.10
FOX A -0.14 0.10
BPOP C 2.45 0.10
CLF F 0.34 0.10
BERY C 1.81 0.10
FANG C 2.29 0.10
NSIT F 0.05 0.09
G B 0.29 0.09
JNPR D 0.24 0.09
IVZ B 1.58 0.09
RGLD C -0.17 0.09
S C 3.14 0.09
AM A 1.91 0.09
MHK D 2.74 0.09
SIGI C 0.80 0.09
THO C 2.77 0.09
OLLI D 3.04 0.09
LSCC F 0.42 0.09
ESNT D 0.48 0.09
BECN B 1.25 0.09
QRVO F 1.01 0.09
RYAN B 0.00 0.09
ZWS B 0.27 0.09
VNT C 2.09 0.09
BEN C 0.55 0.09
LFUS D 0.54 0.09
IDXX F -1.52 0.09
GAP D 3.08 0.09
RPRX D 1.43 0.09
ESAB B 2.06 0.09
CHDN B -0.26 0.09
CIVI F 1.92 0.09
TFX F 1.64 0.08
PVH D 1.51 0.08
ENLC A 0.81 0.08
WLK F 0.70 0.08
NFG A 2.92 0.08
CGNX D 0.64 0.08
DAR C -0.53 0.08
AMG B 0.89 0.08
CPB D 0.37 0.08
MKTX D -1.59 0.08
TKR F 1.93 0.08
MTN C 1.95 0.08
AES F 0.26 0.08
AN D 3.55 0.08
BIO C -0.29 0.08
TTC F 1.32 0.08
IQV F 0.21 0.08
BC F 1.66 0.08
COKE C 0.61 0.08
CNP A 1.00 0.08
MGY A 1.64 0.08
LEA F 1.19 0.08
CHH A 1.43 0.07
BYD B -0.43 0.07
AA A 0.95 0.07
SW A -0.25 0.07
SON D 0.00 0.07
PATH C 5.34 0.07
VFC C 0.64 0.07
CROX F 1.69 0.07
PTC B 0.00 0.07
CNM C -0.96 0.07
DLB B -2.59 0.07
LULU C 1.17 0.07
NEU D -0.09 0.07
POST C 0.81 0.07
FYBR C 0.45 0.07
WTS B 1.85 0.07
OLN F 1.86 0.07
GFS C 0.10 0.06
ST F 0.49 0.06
NWS B 0.60 0.06
NXST D 0.16 0.06
WHR B 1.19 0.06
FMC D 1.21 0.06
BFAM F 2.03 0.06
HXL F 0.92 0.06
H B 0.98 0.06
TNET C -1.57 0.05
FRPT B 0.97 0.05
ENPH F 1.34 0.05
PAG C 2.65 0.05
BRKR F 2.67 0.05
AMKR F 2.29 0.05
ENTG F 1.57 0.05
MGM D 0.45 0.04
HESM A 1.72 0.04
ADTN B 5.05 0.04
COLM C 0.00 0.04
PARA D 1.28 0.04
SEE D 0.54 0.04
BOKF B 2.01 0.04
IDA A 0.34 0.04
SPSC D 3.09 0.04
LBRDA C 0.28 0.03
OZK B 1.87 0.03
CACC D 0.17 0.03
CHWY B 2.25 0.03
COLB B 2.97 0.03
PPC B -0.40 0.03
CELH F 0.96 0.03
ZG A 3.19 0.03
DDS B 1.91 0.03
TRMB B 1.93 0.03
XRAY D 1.24 0.03
FLO D 0.50 0.03
LCID F 1.23 0.02
CWEN C 0.36 0.02
EL F 2.38 0.02
CLVT D 1.08 0.02
HAE C 0.50 0.02
SMCI F 8.93 0.02
CNA C 0.57 0.02
MSM D 0.00 0.02
LANC D 0.97 0.02
LEVI F -0.66 0.02
LUMN C 4.64 0.02
ATKR D -0.85 0.01
VAL F 0.11 0.01
LKQ F 1.30 0.01

Recent News for Avantis U.S. Mid Cap Equity ETF & its Holdings

Date Stock Title
Nov 21 MRNA Major companies that are also popular short-selling stocks
Nov 21 NTAP Dell Q3 results should provide optimism heading into 2025
Nov 21 TPX Tempur Sealy International: Rating Downgrade As Upside Is Limited From Current Share Price
Nov 21 COIN SA Sentiment: Should the U.S. create a Strategic Bitcoin Reserve?
Nov 21 OMC MERCURY PUBLIC AFFAIRS ANNOUNCES MERGER WITH SERAFIN & ASSOCIATES
Nov 21 SMCI Nvidia results positive for Dell, HPE, SuperMicro: Citi
Nov 21 RRC Top 2 Energy Stocks You May Want To Dump This Month
Nov 21 BURL What Analyst Projections for Key Metrics Reveal About Burlington Stores (BURL) Q3 Earnings
Nov 21 FLEX Flex Ltd. (FLEX) Hits Fresh High: Is There Still Room to Run?
Nov 21 AA Alcoa Joins First Suppliers Hub - Connecting Leading Companies with Low-Carbon Aluminum Technologies
Nov 21 SSNC SS&C declares $0.25 dividend
Nov 21 MGM MGM, Venetian, Wynn and More Hotels Are Revving Up for the 2024 Las Vegas Grand Prix With Luxe Packages
Nov 21 SSNC SS&C Announces Common Stock Dividend of $0.25 Per Share
Nov 21 NCLH OCEANIA CRUISES CELEBRATES 15 YEARS OF THE CULINARY CENTER, THE WORLD'S FIRST HANDS-ON COOKING SCHOOL AT SEA
Nov 21 VTRS Viatris Inc. (VTRS) Management Presents at Jefferies London Healthcare Conference (Transcript)
Nov 21 SMCI The Zacks Analyst Blog Highlights Super Micro Computer, Marvell and NVIDIA
Nov 21 PKG Zacks Industry Outlook Highlights Packaging Corporation, AptarGroup and Sealed Air
Nov 21 TECH Temu Parent PDD Stock Tumbles After Q3 Profit Miss, Company Cites Intensified Competition and External Challenges
Nov 21 CNC Meridian Health Plan of Illinois and Liberty Bank and Trust Partner to Create Small Business Loan Program to Support and Empower Diverse and Small Businesses in Illinois
Nov 21 AFRM Affirm CEO Touts 'Buy-Now-Pay-Later' Leader's Bold Expansion Plan. 'We Have Lots Of Irons In The Fire'
The fund invests primarily in a diverse group of U.S. mid cap companies across market sectors and industry groups. It seeks to invest in securities of companies that the Advisor expects to have higher returns by placing an enhanced emphasis on securities of companies with higher profitability and value characteristics, as well as smaller market capitalizations relative to others within the fund"s mid cap investment universe.
Index Fund Stock Fund
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