ETF Components for RECS - Columbia Research Enhanced Core 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
MSFT D 0.37 8.56
AMZN B -1.64 7.58
AAPL F 1.27 6.93
NVDA D -3.33 4.51
META B -0.52 2.96
JPM B 0.49 2.90
GOOGL A 0.55 2.58
V C 0.33 2.49
GOOG A 0.74 2.23
JNJ F -0.69 2.10
MRK A 0.09 1.90
PG A 0.68 1.72
XOM A 0.02 1.60
BAC A -0.13 1.37
CAT A 0.07 1.32
WFC A -0.56 1.14
ABT D -0.65 1.09
KO A 1.50 1.05
SMH D 0.12 1.03
CVX A 0.44 0.93
ADP B -0.09 0.73
CRM D -0.18 0.72
PM A 1.39 0.65
MDT D -1.12 0.63
C A -0.32 0.63
ABBV C -1.03 0.61
BMY F -0.27 0.60
ADBE D 0.89 0.60
CI A -0.10 0.59
BKNG C -0.47 0.58
CSCO D 0.06 0.55
MMC C -0.38 0.55
QCOM B 1.41 0.52
CSX D -3.02 0.50
AMT F -0.48 0.50
PH A -0.74 0.49
TJX C 0.83 0.49
AMAT D 1.46 0.48
VZ D -0.53 0.47
INTU C 0.73 0.47
PCAR D 0.37 0.43
NUE D -1.08 0.43
FDX B -2.09 0.43
CMCSA D -0.37 0.43
MCK A 0.64 0.42
CTAS B -0.33 0.42
CME C -1.93 0.42
EQIX D -0.66 0.42
NOW C 0.72 0.41
AEP B 0.95 0.39
MMM A -1.05 0.36
LRCX D -0.29 0.35
TGT B -0.70 0.35
MO A 0.12 0.34
CL A 0.33 0.33
ORLY C 0.03 0.31
CARR D -0.67 0.31
AMGN C -0.19 0.30
PCG A 0.24 0.29
SPG C -0.67 0.28
PAYX B 0.74 0.28
MPC B -0.26 0.28
PPG D 0.07 0.28
EOG A 0.59 0.26
HLT C 3.89 0.24
PSX B -0.66 0.24
MET B 0.69 0.24
LYB A 0.23 0.23
VRSK D 0.00 0.23
EIX A -0.04 0.23
BK A 0.89 0.23
CNC C 0.46 0.23
PANW B 0.11 0.23
HUM F -3.66 0.23
VRTX C -1.02 0.22
DAL A -2.62 0.22
CDNS D -1.46 0.22
VST A 2.94 0.22
GEHC C 0.56 0.21
PXD A 0.11 0.21
CSGP B 8.66 0.21
STLD B -3.16 0.20
ETR A -0.67 0.20
KMB A 1.28 0.20
VLO B -0.32 0.20
DHI D -1.29 0.20
REGN C -0.09 0.20
ROST D -0.36 0.20
FTV D -5.76 0.20
VRT A 6.82 0.19
ANET D 1.43 0.18
GILD F 0.07 0.18
GPN C 0.47 0.18
GIS A 1.12 0.18
KR A 0.93 0.17
RS D -0.12 0.17
LEN C -1.01 0.17
CRWD D -0.68 0.17
AEE B 0.93 0.17
MSI A -0.13 0.16
CNP A 1.18 0.16
BLDR C -0.29 0.16
CAH D 0.16 0.16
BR D -0.42 0.16
HIG A -0.17 0.16
ZBH D -0.29 0.15
WTW C 0.30 0.15
ATO A 0.84 0.15
CF C 0.90 0.14
KHC A 1.31 0.14
RCL A 0.04 0.14
ICLR C 0.98 0.14
TROW D -0.79 0.14
PKG D 1.78 0.14
VLTO A -1.41 0.14
WDAY D -0.42 0.14
STT A -0.13 0.13
FITB A 0.46 0.13
ADSK F -1.34 0.13
MTB A 0.75 0.13
J D -0.45 0.13
CSL A -1.06 0.13
SBAC D 0.35 0.13
ALGN B 0.61 0.13
FTNT C 1.00 0.12
UAL A -2.52 0.12
MAS D -4.48 0.12
EBAY A -0.14 0.12
BAX C -0.22 0.12
RPM C 0.06 0.12
INVH B 0.53 0.12
EXPD D -0.18 0.12
MOH C 1.15 0.12
NDAQ A 0.67 0.12
PHM B -0.44 0.11
SNA D 0.83 0.11
BKR B -1.00 0.11
BRO C -0.96 0.11
IP D 0.06 0.11
LPLA B -0.88 0.11
SPOT B -7.28 0.11
EME B 0.24 0.11
CPNG A 0.35 0.11
CLF D -1.24 0.10
AVTR B -0.74 0.10
DECK C 2.69 0.10
DDOG B 0.50 0.10
SWK D -0.52 0.10
NVR A -0.47 0.10
NI A 0.90 0.10
EVRG A 0.44 0.10
CBOE C 0.32 0.10
OC A -1.43 0.10
HOLX A -0.62 0.10
EG D -0.79 0.09
MOS F 0.26 0.09
SYF A 5.04 0.09
ACM A 0.14 0.09
ESS A 2.31 0.09
FCNCA A 1.04 0.09
PNR D 0.66 0.09
SSNC C 0.92 0.09
LECO D -0.90 0.09
EA D 0.79 0.09
TTD B 3.36 0.09
WMS C 0.02 0.08
L B 0.12 0.08
AOS A -1.05 0.08
X F -3.53 0.08
TEAM D -0.22 0.08
DOC A 0.98 0.08
VTRS C 1.67 0.08
HST C 0.21 0.08
DKNG D -0.87 0.08
HUBS A -0.01 0.08
SCCO B -0.37 0.08
EXPE B 0.58 0.08
LVS F -0.37 0.08
WSM A 0.15 0.08
GLPI F -0.21 0.07
AAL D -2.18 0.07
HPQ D 1.55 0.07
RGA A 0.51 0.07
K A 1.05 0.07
CW A -0.27 0.07
CTRA A 1.17 0.07
AMH C -0.08 0.07
BG B -3.49 0.07
MRNA A 0.89 0.07
ITT B 0.73 0.07
GPK B 1.22 0.07
PNW A 0.05 0.07
EXP C -0.13 0.07
AYI C -0.82 0.06
THC B 0.41 0.06
MRO B -1.04 0.06
EWBC B 2.52 0.06
BLD D -1.74 0.06
WBA F -1.33 0.06
BERY D 0.96 0.06
NTAP B 0.64 0.06
CACI A -0.80 0.06
BIIB D 4.56 0.06
OLN D -0.91 0.06
SOLV C 0.06 0.06
CNM A 0.34 0.06
RPRX F 0.58 0.06
DCI A 0.06 0.06
RNR C -0.17 0.06
CCL D 1.49 0.06
WYNN D -1.78 0.05
VRSN F 0.23 0.05
WCC B 0.27 0.05
AZEK D -2.07 0.05
SAIC C 0.30 0.05
AIZ C 0.42 0.05
TAP D -0.75 0.05
DKS A -0.30 0.05
AGCO B 1.06 0.05
ALSN A 0.35 0.05
PINS D -0.51 0.05
USFD C 0.04 0.05
RHI D -0.04 0.05
MEDP B -2.36 0.05
SJM D 0.72 0.05
MGM D -0.33 0.05
UNM B 0.35 0.05
TOL B -0.69 0.05
CZR F -1.64 0.04
LEA D 1.23 0.04
CMA A 0.59 0.04
BMRN A -0.93 0.04
BIO F -2.48 0.04
TKR A -0.68 0.04
FTI A -0.46 0.04
SEIC D -0.60 0.04
STAG D -1.86 0.04
NTNX D -0.29 0.04
BRX C -0.32 0.04
CPB A 1.29 0.04
JAZZ F -1.23 0.04
ACI F -1.28 0.04
XRAY D 0.19 0.04
LYV D -0.49 0.04
G D 0.35 0.04
OKTA D -0.65 0.04
DVA B -0.87 0.04
ALNY F -1.55 0.04
KEX A -0.87 0.04
XP F 0.34 0.04
PSTG B -2.22 0.04
ZM F 0.05 0.04
BEN D 0.08 0.04
ORI A -0.03 0.04
WLK B 0.36 0.04
ZS D 0.31 0.04
ESAB A -0.74 0.04
SWKS D 1.83 0.04
WBS D 1.47 0.04
LSTR D -0.59 0.04
ENPH F -5.56 0.04
TPR D 1.50 0.04
EQT A 3.82 0.04
NNN C 0.44 0.04
MAN B 0.86 0.03
FNB B 0.29 0.03
OZK A 0.63 0.03
SMG A -0.09 0.03
LNC B -0.28 0.03
AXS B 0.53 0.03
WU B 1.42 0.03
LSCC D 5.31 0.03
MHK C -1.80 0.03
OGN B 1.03 0.03
NBIX B -0.80 0.03
RL C 0.08 0.03
MSM D 0.17 0.03
AMG A 0.37 0.03
DINO D -0.05 0.03
FFIV D 1.18 0.03
MTG B 0.25 0.03
IVZ F -0.41 0.03
NEU D -0.57 0.03
DOCU B 1.02 0.03
ZION B 1.01 0.03
BPOP A 0.55 0.03
DT D 1.06 0.03
WTFC B 0.25 0.03
JNPR D -1.45 0.03
HRB B 0.59 0.03
CROX C -0.52 0.03
INGR B 0.67 0.03
CRBG A -0.62 0.03
AIRC A 0.18 0.03
SKX C -0.82 0.03
R A 0.15 0.03
WEN A -0.70 0.02
EXEL A 1.80 0.02
SNX A 1.12 0.02
DBX D 2.34 0.02
CWEN A -0.97 0.02
MPW B -1.51 0.02
EPR D 0.10 0.02
NYT C 0.19 0.02
GPS D -3.83 0.02
ROKU D 0.15 0.02
FTRE C 0.84 0.02
CUZ B 1.85 0.02
NTRA A 0.51 0.02
GTES A 0.68 0.02
PK B 0.36 0.02
OLLI C -0.67 0.02
INCY F 0.17 0.02
FOXA A 0.00 0.02
SRPT C 6.09 0.02
JHG C -0.69 0.02
UTHR A 1.08 0.02
KRC D -0.06 0.02
THO D 0.28 0.02
EXAS D -0.46 0.02
MTCH F 0.79 0.02
EEFT C -0.13 0.02
PRGO C 2.43 0.02
MRVI C -0.65 0.01
ALGM D 8.28 0.01
CNA B 0.09 0.01
CWEN A -0.97 0.01
RARE D -1.84 0.01
REYN B 0.28 0.01
ADTN F -0.63 0.01
LEN C -1.01 0.01
PHIN A -0.36 0.01
CACC D -0.01 0.01
JWN B -2.33 0.01
HE F -0.64 0.01
VIRT A 3.07 0.01
FOX A 0.45 0.01
APLS F 2.48 0.01
LEG D -0.05 0.01
KSS C -2.01 0.01
NYCB F -3.77 0.01
CRI C -1.65 0.01
IONS D 1.46 0.01
CRUS C 2.42 0.01
SMAR D 0.18 0.01
IART F 0.00 0.01
TNL B 0.39 0.01
PINC D 0.43 0.01
PLTK D 0.99 0.00
SEB C 0.05 0.00

Recent News for Columbia Research Enhanced Core ETF & its Holdings

Date Stock Title
Apr 25 META Stocks hit by tech slump; yen flails at intervention zone
Apr 25 META GLOBAL MARKETS-Stocks hit by tech slump; yen flails at intervention zone
Apr 25 STT State Street: Steady Q1 Results, But Limited Upside
Apr 25 MAS Q1 2024 Masco Corp Earnings Call
Apr 25 META Meta CEO Mark Zuckerberg: 'More Than 50% Of The Content People See On Instagram Is Now AI Recommended'
Apr 25 META Meta Platforms, Snap, Amazon, IBM, Tesla: Why These 5 Stocks Are On Investors' Radars Today
Apr 25 AMZN Meta Platforms, Snap, Amazon, IBM, Tesla: Why These 5 Stocks Are On Investors' Radars Today
Apr 25 META Asia Stocks Set to Fall as Meta Drags on Big Tech: Markets Wrap
Apr 25 META Mark Zuckerberg Gives Shoutout To Taylor Swift's Debut On Threads, Says 'That One Was A Big Deal In My House'
Apr 25 NVDA Dow Jones Futures Fall As Meta Dives On Guidance; Chipotle Eyes Buy Point
Apr 25 DAL Insider Sell: EVP & President - International Alain Bellemare Sells 24,073 Shares of Delta ...
Apr 25 META Mark Zuckerberg warns of stock volatility as Meta bets billions more on AI investment ‘before we make much revenue’
Apr 25 EQT EQT to pursue 500M cf/day Mountain Valley Pipeline expansion
Apr 25 AMZN Analysts reboot Amazon stock price target ahead of earnings
Apr 25 WU The Western Union Company (WU) Q1 2024 Earnings Call Transcript
Apr 24 META Meta Platforms, Inc. (META) Q1 2024 Earnings Call Transcript
Apr 24 LSTR Landstar (LSTR) Reports Q1 Earnings: What Key Metrics Have to Say
Apr 24 NVDA UPDATE 2-SK Hynix expects full chip recovery after Q1 earnings surprise on AI boom
Apr 24 HUM Why Humana Stock Withered on Wednesday
Apr 24 NBIX Neurocrine launches CAH community website ahead of FDA filing
The investment seeks investment results that, before fees and expenses, closely correspond to the performance of the Beta Advantage® Research Enhanced U.S. Equity Index. The fund invests at least 80% of its assets in the securities of the index. The index is comprised of a subset of the companies within the Russell 1000® Index. The index was designed to reflect the performance of U.S. large- and mid-cap growth and value companies through the application of a rules-based methodology, which typically results in approximately 325-400 Index holdings, but this range can fluctuate because the index has no constraints on number of holdings.
Index Fund Stock Market Index Beta
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