ETF Components for HKND - Humankind US Stock 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
GOOGL A 1.17 4.48
MSFT C 1.58 4.15
PG A 0.54 4.01
AAPL F 0.60 3.22
ADM B -1.28 2.79
LLY C 1.92 2.19
JNJ F 0.42 2.11
DE A -0.18 2.06
ECL C 0.27 1.95
MRK A -0.13 1.93
PFE F -0.06 1.90
BG A -0.18 1.88
CTVA B -0.08 1.83
ABBV B 0.54 1.73
MOS F -1.01 1.64
AMZN B 1.43 1.47
VZ B 3.08 1.37
WMT A -1.95 1.25
UNH C -1.17 1.11
HCA C 2.58 0.99
BMY F -0.08 0.99
FMC D 1.36 0.98
CF D -0.24 0.89
AGCO B -1.23 0.84
SYK C 1.90 0.82
AWK C 0.73 0.81
BDX F 0.22 0.80
AMGN C 0.83 0.80
PEP A -2.61 0.79
GEHC C 2.21 0.77
XYL A 1.05 0.73
CMCSA D -0.03 0.72
GILD F 0.54 0.68
DHR C 7.18 0.68
TMO C 4.76 0.68
DIS B 1.52 0.66
REGN C 1.19 0.65
J C 0.46 0.59
VRTX B 1.48 0.59
T C 0.98 0.55
BSX A 1.11 0.54
MRNA B 3.37 0.54
HD D 1.08 0.54
JPM B 1.16 0.51
HPQ D 0.36 0.51
LH F 2.57 0.50
ELV A 0.53 0.50
MET B 0.35 0.48
DGX A 4.70 0.48
MCK A 0.78 0.46
CI A -0.33 0.46
TMUS B 0.70 0.42
DELL B 4.50 0.41
GIS A -0.63 0.40
DD A -0.37 0.38
PGR A 0.07 0.37
BAX D 1.19 0.37
LOW D 1.20 0.36
MDLZ D 1.61 0.36
AVGO D 2.49 0.35
WFC A -0.23 0.35
CL A 0.63 0.34
ZBH D 0.46 0.34
CAH C 0.89 0.34
TGT A -0.53 0.33
INGR B -0.08 0.33
ABT D 0.41 0.33
ALL A 0.13 0.31
BIIB F -0.17 0.31
CNC B 0.28 0.30
HUM D 0.38 0.29
K A 0.16 0.29
IBM C 0.68 0.29
BAC A 1.46 0.29
CHD A 0.60 0.28
META B 3.10 0.27
MMC B -0.07 0.27
V C 0.55 0.27
STT A 0.09 0.26
AIG A -0.11 0.26
FDP A 0.67 0.26
ISRG C 2.30 0.26
EW C 0.69 0.25
ORCL B 0.41 0.24
KO B 0.12 0.24
TRV C -0.31 0.23
UHS D 2.38 0.22
GWW C 1.59 0.22
BBY B 0.03 0.21
CVS D -1.35 0.21
HOLX B 1.05 0.21
MA C 1.18 0.20
PYPL B 1.98 0.20
AXP A 2.28 0.20
IQV D 3.53 0.19
PRU B 0.29 0.19
MMM A 0.70 0.18
TJX C 0.25 0.18
CAG A 0.35 0.18
ABM A 0.31 0.18
ACM B 1.39 0.18
ALNY F 1.03 0.17
CBRE D 1.36 0.17
HPE B 0.18 0.16
HIG A -0.14 0.16
THC B 3.03 0.16
WBA F -0.66 0.16
LYV D 2.76 0.15
CRM D 0.80 0.15
SYY B -0.54 0.15
USFD C 1.01 0.15
RMD D 2.07 0.15
HSIC D 1.09 0.15
BMRN A 2.85 0.14
GXO F 1.05 0.14
CWT F 2.46 0.14
CDW C 1.34 0.14
CTSH D -0.44 0.14
C A 2.58 0.13
MAR C 0.81 0.13
A D 3.89 0.13
AVTR C 5.41 0.13
NFLX B 4.25 0.12
COF A 1.01 0.12
PNC A 1.01 0.12
BLK C 0.87 0.12
RPRX D 0.04 0.12
CHTR F 0.93 0.12
INCY F -0.04 0.12
JBL D 1.10 0.12
ANDE A 3.02 0.12
SJM D -0.01 0.12
DXCM A 2.17 0.12
ADP B 0.38 0.12
WTRG C 2.19 0.11
AVD D 2.17 0.11
JLL C 2.09 0.11
DVA B 1.12 0.11
TFX D 2.40 0.11
RGA A 0.59 0.11
MAN B 0.75 0.11
AFL B 0.10 0.11
VLTO A 2.43 0.10
USB C -0.07 0.10
KD D 2.85 0.10
UTHR A 0.91 0.09
HSY F 0.52 0.09
MOH D 0.23 0.09
CLX C 0.26 0.09
EHC A 2.05 0.09
SQ D 4.40 0.09
GMED D 0.06 0.09
FLO A -0.04 0.09
FTRE B 4.70 0.09
OMC A 0.58 0.09
NBIX C 5.38 0.08
NSP A -0.36 0.08
IDXX D 2.94 0.08
KDP A -0.09 0.08
MKC A 0.23 0.08
AWR F 2.44 0.08
MTD D 3.70 0.08
CTAS A 0.19 0.08
BIO F 1.51 0.08
FNF B 2.59 0.08
DXC F 3.31 0.08
DFS A 1.75 0.08
BKNG C 2.04 0.08
SBUX F -0.19 0.08
DG D -0.06 0.08
TECH F 1.75 0.08
M D 1.60 0.07
CINF A 0.21 0.07
PFG B -0.01 0.07
CPB A -0.18 0.07
WDC A 4.01 0.07
TFC A 2.09 0.07
MKL B 0.24 0.07
CRL D 2.92 0.07
SJW D 2.26 0.07
IFF A 0.94 0.07
ILMN F 3.75 0.07
FELE B 1.94 0.07
MS A 1.66 0.07
AJG B 0.20 0.07
TTEK A 2.46 0.07
EDR A -0.09 0.07
SYF B 2.04 0.07
SEM D 3.04 0.07
DLTR D 0.11 0.07
CNA B -0.76 0.07
LW D 1.91 0.07
ICUI F 2.68 0.06
WAT D 4.94 0.06
ORI A 0.31 0.06
ITGR A 0.95 0.06
GPS D 1.54 0.06
FIS A 0.95 0.06
EXEL A 2.36 0.06
AMT D 0.69 0.06
SRPT D 0.80 0.06
AFG B 0.54 0.06
UAN A 1.80 0.06
BK A 0.63 0.06
WST B 3.77 0.06
MASI B 1.88 0.06
RDNT A 3.00 0.06
ADBE F 1.37 0.06
IPG D -0.06 0.06
EBAY A 0.86 0.06
WRB B -5.56 0.06
SPB C 0.83 0.05
IART F 2.31 0.05
UNFI F -3.19 0.05
COLD F 0.18 0.05
UNM B 0.09 0.05
RF B 0.94 0.05
CHE C 1.82 0.05
WSO B 2.39 0.05
CTLT C -0.01 0.05
FAST D 0.21 0.05
MMSI C 1.85 0.05
BRKR D 6.27 0.05
VOYA D 0.22 0.05
POST B 0.18 0.05
WBD D 0.30 0.05
RS B -2.10 0.05
LBRDA F 0.70 0.05
ARW B 1.80 0.05
TROW D 0.90 0.05
WMG D -1.69 0.05
EQH A 1.15 0.05
HAE B 2.24 0.05
FAF D 1.79 0.05
HLT C 1.13 0.05
ROST C -0.45 0.05
SNPS D 2.96 0.04
OPK C 1.22 0.04
NPO D 1.83 0.04
OC A 1.90 0.04
FITB A 1.12 0.04
INTU C 3.50 0.04
OGN A 2.39 0.04
AMED D 0.22 0.04
PAYX C 0.51 0.04
AVNS D -0.98 0.04
GPN C 1.74 0.04
ROL C 0.33 0.04
BRO B 0.17 0.04
DOX D 0.13 0.04
MTN F 1.57 0.04
NOW C 2.92 0.04
SPG C 0.93 0.04
PLD D 0.57 0.04
ITCI A 0.03 0.04
WSM A 1.18 0.04
TSCO B 1.29 0.04
AIZ B 0.53 0.04
CAT A 1.72 0.04
EXPE C 2.42 0.04
WELL B 1.09 0.04
AHCO D 2.71 0.04
LNN D 1.31 0.04
THS D 0.05 0.04
SNX A 1.18 0.04
MCO B 0.66 0.04
PODD F 1.49 0.04
MTB A 1.04 0.04
OPCH D 2.33 0.04
DKS A 3.52 0.04
FOX A 0.86 0.04
APLS F 2.23 0.04
RKT D 5.60 0.04
AMP A -3.24 0.04
FCN A 0.23 0.04
CFG A 0.78 0.04
GS A 1.56 0.04
MMS B -0.40 0.04
LNTH B 3.46 0.03
GNW D 1.50 0.03
OMI B 5.28 0.03
CME B 0.02 0.03
FTNT D 1.37 0.03
DDS C 5.96 0.03
COST C 0.95 0.03
SCHW A 0.96 0.03
EQR A 1.44 0.03
TXG F 0.25 0.03
MCY A 3.00 0.03
SSNC B 0.05 0.03
KLG A 7.63 0.03
PEN F 1.48 0.03
L B -0.01 0.03
DLR C 1.90 0.03
ALIT D 0.87 0.03
COKE C 0.36 0.03
BR C 0.46 0.03
BURL D 2.33 0.03
KMPR B 0.25 0.03
ICE C 0.21 0.03
KSS C 2.23 0.03
AVO B 0.00 0.03
MDGL D 3.34 0.03
NWS D 1.19 0.03
EXAS D 2.85 0.03
MD F 4.43 0.03
KELYA B 1.17 0.03
EQIX D 0.52 0.03
HALO D 1.09 0.03
AVT A 2.95 0.03
VTR C 1.08 0.03
SOLV F 2.00 0.03
LPLA B 0.69 0.03
WU B 0.83 0.03
LNC A 1.66 0.03
H B 1.96 0.03
IONS D 2.45 0.03
RHI D 0.41 0.03
ODP D 4.75 0.03
HBAN A 0.89 0.03
NOVT D 3.85 0.03
SPTN F 0.72 0.03
HST C 2.13 0.03
TNDM B 9.55 0.03
CNMD F -1.71 0.03
WTS B 1.46 0.03
MNST D -0.13 0.03
ALB F 2.44 0.03
THG B 0.17 0.03
NSIT B 2.43 0.03
TWI D 2.42 0.03
MRVI D 5.70 0.03
JXN A 2.98 0.03
NTAP B 1.45 0.03
KRO A -0.95 0.02
FCNCA A 0.84 0.02
MSGS D 2.60 0.02
BLDR D 5.36 0.02
ACAD F -1.71 0.02
ADUS D -0.39 0.02
WTFC B 0.61 0.02
CNXC F 2.31 0.02
R C 10.89 0.02
KOP B 0.94 0.02
ARE C 1.56 0.02
FOLD F -0.74 0.02
CPRX B -0.89 0.02
ST F 1.78 0.02
SATS B 1.99 0.02
NDAQ A -0.13 0.02
EVH D 1.27 0.02
EVR A 2.76 0.02
JKHY C 1.23 0.02
URBN C 2.05 0.02
CDRE D 0.00 0.02
RJF A 1.28 0.02
MAA D 0.14 0.02
EXLS D 0.20 0.02
WSC F -0.68 0.02
BHF C 1.85 0.02
CYTK D 0.14 0.02
LAMR B 1.48 0.02
RARE D 3.50 0.02
RL C 4.02 0.02
UNF D 2.33 0.02
SXT A 1.87 0.02
CMA A -0.15 0.02
EXPI F 5.28 0.02
FLGT F 1.02 0.02
SHC F 2.52 0.02
ARWR F 0.75 0.02
AEO D 2.44 0.02
STC B 2.59 0.02
FHN B 0.20 0.02
NTLA F -0.18 0.02
CG C 2.88 0.02
HRB B 1.04 0.02
XRX D -10.17 0.02
VAC B 2.24 0.02
PRVA F 4.63 0.02
EWBC B 0.99 0.02
BRBR D 1.71 0.02
CORT F 6.30 0.02
SNAP D 2.42 0.02
ICFI C 1.67 0.02
KEY A 0.34 0.02
TDY D 1.25 0.02
IVZ C -6.07 0.02
BERY D -0.70 0.02
EEFT D 1.76 0.02
DOC A 1.51 0.02
PTCT F -2.10 0.02
BPMC B 2.95 0.02
TPG C 2.66 0.02
HAIN F 3.08 0.02
SCI C 2.75 0.02
TGTX D 2.73 0.02
NEO F 6.18 0.02
PDCO D 0.77 0.02
PLAY D 2.07 0.02
RVMD A 0.69 0.02
ALGN D 3.50 0.02
GME F 2.20 0.02
O A 0.01 0.02
PANW C 4.08 0.02
AGL F 6.01 0.02
COMP D 2.86 0.02
CCI D 0.05 0.02
TITN F 0.54 0.02
FYBR D 5.09 0.02
MEDP C 9.32 0.02
PSA D 0.34 0.02
JANX A 2.03 0.02
WCC D 2.55 0.02
APO B 2.98 0.02
ASGN B 1.21 0.02
SMG A 1.34 0.02
JJSF F 0.89 0.02
FFIV C 0.93 0.02
BEN D -1.09 0.02
WDAY D 2.16 0.02
OFIX F 2.75 0.02
JWN C 5.06 0.02
EMBC F 2.05 0.02
DNLI F 1.50 0.02
CERE B -0.45 0.02
EA D 0.21 0.02
BBWI D 2.79 0.02
LTH B 3.76 0.02
SIGI B 0.68 0.02
AKAM D 0.95 0.02
EFX D 2.49 0.02
ERIE C 1.70 0.02
ULTA F -0.02 0.02
FL F 3.11 0.02
W F 5.74 0.02
EPAM D 0.79 0.02
CBT A 0.57 0.02
AVB A 1.40 0.02
GDDY A 1.78 0.02
SGRY F 5.07 0.02
MSEX D 1.12 0.02
VRSK D -0.26 0.02
TNET A 0.15 0.02
ENV A 0.77 0.01
WAFD B 1.37 0.01
AMCX D 5.75 0.01
NDSN C 0.71 0.01
ADPT F 3.59 0.01
NTRS A 0.97 0.01
AYI C 2.14 0.01
PAG D 2.14 0.01
MGRC D 0.16 0.01
HIBB C 18.90 0.01
SFNC B 2.27 0.01
PRA B 0.00 0.01
IT C 2.09 0.01
AXNX C -0.40 0.01
MIRM F 3.14 0.01
AEIS F 3.56 0.01
AMC F 0.29 0.01
DNB F 1.20 0.01
FNA F 1.84 0.01
ABCB B 2.52 0.01
HAS A 3.79 0.01
STAA B 3.44 0.01
SLCA B 3.42 0.01
FOUR F 1.56 0.01
TDOC F 3.38 0.01
ETSY F 3.10 0.01
AWI C 1.64 0.01
SCVL A 4.25 0.01
HOMB B 1.93 0.01
UMBF B 0.84 0.01
SHO C 2.12 0.01
BCRX F 0.79 0.01
VRDN F 0.84 0.01
MANH D 1.25 0.01
PLXS D 3.09 0.01
TR D 0.15 0.01
HUBB B 2.06 0.01
SAFT B 0.13 0.01
ROKU F 5.41 0.01
ONB B 0.49 0.01
WW F 7.98 0.01
TDS D 1.38 0.01
NTCT F 2.76 0.01
VNO B 3.35 0.01
RGNX F 1.92 0.01
TRIP C 2.03 0.01
CSGS D 0.51 0.01
RDUS F -1.49 0.01
MATW F 1.74 0.01
BBSI A 0.75 0.01
TCBI B 1.27 0.01
NNN B 0.59 0.01
BBIO F 2.11 0.01
PGNY F -1.91 0.01
DCGO F -0.28 0.01
VCTR A 3.43 0.01

Recent News for Humankind US Stock ETF & its Holdings

Date Stock Title
Apr 23 PYPL This Bank-Stock Fund Owns Coinbase and PayPal. The Manager Explains Why.
Apr 23 IBM IBM Earnings Preview: Can Big Blue Build On AI Excitement?
Apr 23 MSFT S&P 500 Earnings Growth Rests On These 5 Magnificent Seven Stocks
Apr 23 AAPL Apple to slice Vision Pro unit shipments for 2024-25: analyst
Apr 23 SBUX Federal labor board has been much more pro-worker under Biden. Employers want courts to end that
Apr 23 BG Bunge Q1 2024 Earnings Preview
Apr 23 C Market Chatter: CFTC Asks Big Banks for Nondisclosure Agreements in Swaps, Clearing Amid Whistleblower Concerns
Apr 23 NFLX 3 Stocks That Look Ready to Rally in a Recovering Market
Apr 23 BLKB London Marathon Runners Raise More Than $50 Million for Charity on Blackbaud's JustGiving® Platform
Apr 23 BMY S&P 500 stocks with biggest estimated EPS declines for Q1
Apr 23 DGX Quest Diagnostics Incorporated (DGX) Q1 2024 Earnings Call Transcript
Apr 23 AAPL Top Midday Stories: Shares of GE, Novartis, Danaher and Philip Morris Up Post-Earnings; Pepsi Stock Down Post-Earnings; Apple iPhone China Sales Drop 19%; Trump Poised for Windfall From Media Company Stock
Apr 23 MSFT Microsoft just got a $1.1 billion boost from Coca-Cola
Apr 23 EVR Evercore Q1 2024 Earnings Preview
Apr 23 IBM Is a Surprise Coming for International Business Machines (IBM) This Earnings Season?
Apr 23 NOW ServiceNow Q1 earnings preview: Can the software firm maintain its momentum?
Apr 23 MSFT 2 Leading Tech Stocks to Buy in 2024 and Beyond
Apr 23 IBM 2 Leading Tech Stocks to Buy in 2024 and Beyond
Apr 23 META Meta Platforms Stock Chart Flashes Uncertain Signals Ahead Of Q1 Earnings
Apr 23 TECH Meta Platforms Stock Chart Flashes Uncertain Signals Ahead Of Q1 Earnings
The investment seeks to provide investment results that, before fees and expenses, correspond generally to the total return performance of the Humankind US Equity Index (the ?Index?). The index is primarily comprised of domestic (U.S.) equity securities and may not be comprised of greater than 5% of foreign securities (including ADRs). The fund invests in the common stock of each company in the index in approximately the same proportion as represented in the index itself. Under normal conditions, it will invest at least 90% of its net assets, including borrowings for investment purposes, in securities contained in the index.
Index Fund Investment Management Stock Market Index
Back to the Main HKND Page...