ETF Components for BFOR - Barron's 400


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
LEU C 1.47 0.62
UAL A -1.00 0.38
APP B 46.30 0.36
POWL A -1.02 0.36
AGX A -0.47 0.36
UPWK B 15.05 0.33
IESC B 3.62 0.33
TPL B -6.12 0.33
CEG C 4.43 0.32
BBW B 0.13 0.31
VRT A 3.28 0.31
ACMR D 10.79 0.30
WLDN C 0.10 0.30
CMPO B 2.78 0.30
EWBC A -4.29 0.30
ALSN A -0.02 0.30
RCL A -1.81 0.30
APO B -2.18 0.30
CCL A -0.75 0.30
RJF A -0.90 0.30
RMBS B -1.37 0.30
USLM B 0.01 0.30
NEWT B -2.88 0.29
SYF A -2.73 0.29
TXRH B 0.41 0.29
IBKR A -0.57 0.29
EXPE B 1.21 0.29
USAP B -0.02 0.29
FLEX A 0.14 0.29
HLNE B -2.09 0.29
STRL A -6.33 0.29
NVDA A 1.67 0.29
AAON B -0.12 0.29
PLTR A -1.59 0.29
YOU B -19.30 0.29
SUM B -1.21 0.29
WFC B -2.68 0.29
CORT B 0.53 0.29
PEGA B -0.05 0.29
UNM A -1.37 0.28
AMP A -1.90 0.28
MTB A -3.29 0.28
WMB A -0.16 0.28
PAYO B 2.88 0.28
MLR B -0.52 0.28
VITL B -11.24 0.28
PPC B -1.29 0.28
PAY B 0.20 0.28
MLI B -1.11 0.28
EXEL B 0.87 0.28
SNA A -0.63 0.28
NRG B 4.30 0.27
PYPL B 0.68 0.27
TRGP B 0.31 0.27
BKR B -0.91 0.27
ONTO F -0.42 0.27
RL A 5.47 0.27
FFIV B -0.01 0.27
BELFB B -0.78 0.27
ZM A -0.94 0.27
ATR B 0.52 0.27
BKNG B -1.06 0.27
GOOGL B 1.71 0.27
SFM B -0.70 0.27
ERII B 1.17 0.27
FAST A -0.45 0.27
ANET A 1.22 0.27
FN B 1.89 0.27
BL B 0.43 0.27
FIX A 1.31 0.27
SCCO C 2.96 0.27
HCI B 0.82 0.27
AXON A 1.56 0.27
PCTY A -1.38 0.27
CACI B -0.31 0.27
CEIX A 0.94 0.27
NTRS B -0.96 0.27
MLM B 0.10 0.27
AIT A -0.48 0.27
CW B 0.00 0.27
SKWD B -0.13 0.27
CRS A -1.68 0.27
LRN A -1.07 0.27
APOG B 0.26 0.27
PFBC B -1.84 0.26
FCNCA A -1.81 0.26
EME A 0.76 0.26
HWM A -1.38 0.26
PANW A -0.96 0.26
ADP A -0.17 0.26
OZK B -1.93 0.26
MOD C 0.90 0.26
HUBB B -0.74 0.26
FTDR A -0.77 0.26
DOCS B 2.67 0.26
WT B -1.52 0.26
ODFL A -1.30 0.26
SM C -0.43 0.26
ADSK B -0.05 0.26
DT B -4.93 0.26
ITT B 0.00 0.26
JPM A -3.99 0.26
GDDY A 0.55 0.26
CPAY B -0.79 0.26
ORRF B -0.96 0.26
HY F 0.00 0.26
CAT A -1.84 0.26
URI B -1.48 0.26
IRMD B 0.71 0.26
APH A 1.39 0.26
DECK B 4.20 0.26
TW C 1.80 0.26
QCRH A -1.32 0.26
ARLP A -0.11 0.26
MWA B -0.71 0.26
MCB B -0.32 0.26
CVLT A -0.31 0.26
TMUS B -0.65 0.26
APD C 1.52 0.26
NFLX A 1.19 0.26
FOUR A 0.01 0.26
SLVM B -0.99 0.26
TDY A -0.44 0.26
IDCC A 0.42 0.26
META C 3.25 0.26
TRN B 0.00 0.26
AWI A -0.34 0.26
FIZZ B 1.06 0.25
ET A 0.06 0.25
PLAB D 3.09 0.25
MPWR D 0.66 0.25
ACIW A 7.97 0.25
EA B 0.25 0.25
WWD C 1.54 0.25
BFC A -3.61 0.25
CF D 1.20 0.25
SRCE A -3.11 0.25
OKE B 0.83 0.25
LNTH C 3.54 0.25
ANF F 4.68 0.25
WTS C 0.00 0.25
DOV A -0.94 0.25
NYT B -1.21 0.25
ORCL A 0.83 0.25
AKAM B -1.23 0.25
IBOC A -1.08 0.25
CHDN B -0.27 0.25
UTHR A 0.61 0.25
MTDR C -1.73 0.25
UTI B 0.08 0.25
AX B -0.81 0.25
JKHY C -0.32 0.25
PH A -2.28 0.25
MSI B -0.07 0.25
ZBH C -1.49 0.25
FTNT B 2.00 0.25
AXP A -2.68 0.25
AMPY B -5.90 0.25
PTGX B 1.22 0.25
HES C -0.76 0.25
DCI A -0.42 0.25
OII B -1.93 0.25
CNO A -1.61 0.25
YELP C 0.60 0.25
WABC B -2.13 0.25
ISRG B 1.00 0.25
JWN C 2.15 0.25
WMS B -2.01 0.25
BY A -2.43 0.25
CBT A -0.54 0.25
IPAR B 4.14 0.25
FITB A -1.75 0.25
XOM B -0.84 0.25
ON C 0.62 0.25
AMZN A 1.83 0.25
NOG B -0.75 0.25
CINF B -1.71 0.25
FTI B 0.90 0.25
MA B -0.16 0.25
AAPL C 1.61 0.25
CME C 0.33 0.25
CASH A -0.84 0.25
DAKT B -0.24 0.25
AMPH B -9.16 0.25
DBX B -0.97 0.25
CASY B 1.14 0.25
NIC A 0.00 0.25
EXP B -0.32 0.25
PAYX A -0.72 0.25
FMC D -0.97 0.25
TCMD B 0.00 0.25
AMAL A -4.54 0.25
CPRT C 0.67 0.25
NRP A 0.05 0.25
CPRX B 4.03 0.25
FOX A -1.82 0.25
MCRI B -0.01 0.25
MGY B -0.26 0.25
CSWI B 1.58 0.25
GGG C -0.44 0.24
TRIN C 0.00 0.24
HOLX C -1.74 0.24
EBAY D 1.39 0.24
TGT F 2.53 0.24
WHD A -4.40 0.24
MRO C -1.30 0.24
REVG C -0.34 0.24
AMAT F 2.25 0.24
TOL B 1.36 0.24
IMMR F -0.59 0.24
FSS C -1.28 0.24
SHOO D 0.00 0.24
FMBH B 0.00 0.24
EPD A 0.52 0.24
LII C 1.91 0.24
XYL F 0.02 0.24
G B 0.00 0.24
VEEV C 1.13 0.24
V A -0.68 0.24
WRB B -1.58 0.24
MBWM A -4.39 0.24
IBCP A 0.00 0.24
PODD B 0.89 0.24
INGR B 0.54 0.24
NSSC F 1.16 0.24
LPX B 0.24 0.24
WEC C -0.02 0.24
EOG C -1.24 0.24
MANH C 0.96 0.24
OTTR B -3.04 0.24
CBOE C 0.98 0.24
FCF B -2.28 0.24
MSFT D 1.36 0.24
DRI B -1.60 0.24
SO C -0.14 0.24
HWKN D 0.52 0.24
AFL D -0.66 0.24
GL B -2.13 0.24
BR B 0.27 0.24
ECL D 0.28 0.24
NTAP C 0.28 0.24
CSL C 0.16 0.24
SBR C 0.23 0.24
QCOM C 1.22 0.24
ALL D 0.64 0.24
CTAS A 0.57 0.24
FULT A -2.85 0.24
TGTX B 1.73 0.24
NBIX C -0.83 0.24
PAYC B -0.97 0.24
AIZ B 0.50 0.24
LKFN B -2.06 0.24
RNR B -5.37 0.24
SIG B 1.42 0.24
OSBC A -1.74 0.24
FDS B -0.33 0.24
MPLX A 1.18 0.24
CQP B -0.06 0.24
RBA A 0.22 0.24
PEBO A -2.09 0.24
BRO B 0.01 0.24
IT B 0.36 0.24
FANG D -1.29 0.24
FC B -16.78 0.24
LAUR B 0.14 0.23
EGY D -1.24 0.23
MSA D -1.93 0.23
TILE B -1.29 0.23
COLL D 1.16 0.23
VLTO D 1.22 0.23
ADBE D -1.43 0.23
KMB F 1.44 0.23
SSNC C 0.78 0.23
PEP F -0.25 0.23
HRB C 0.79 0.23
WES C -3.06 0.23
LEN D 1.13 0.23
NEU C -0.79 0.23
TJX D 0.68 0.23
CUBI C -3.11 0.23
MMM C -0.07 0.23
MCO D 0.08 0.23
OSIS C -0.51 0.23
DKS F 2.33 0.23
LOPE B -2.37 0.23
COOP B 1.32 0.23
ZTS F 1.20 0.23
HNI C 0.00 0.23
RMD B -0.09 0.23
BMRN F 0.33 0.23
HEI C -1.77 0.23
PGR B -1.04 0.23
HCKT B -2.27 0.23
QLYS B -2.52 0.23
GRBK D -0.21 0.23
CHD C 1.03 0.23
TSCO C -0.08 0.23
CTSH B 1.22 0.23
BMI C 0.40 0.23
COR A 1.26 0.23
THC C 2.99 0.23
FBP B -2.34 0.23
BRC B -0.26 0.23
IPG D -0.53 0.23
CNA D -1.20 0.23
APA F -9.87 0.23
LNN B -1.39 0.23
IBP D -3.34 0.23
VIRT B 0.36 0.23
NOV D -2.23 0.23
DVN F -2.75 0.23
NVR D 0.95 0.23
CMG C 1.23 0.23
SYY C -0.03 0.23
JNJ D -0.44 0.23
WDAY C 1.21 0.23
VRSN C -0.39 0.23
RGA B -1.64 0.23
HIG C -1.31 0.23
TEX B -2.73 0.23
CHTR B -2.85 0.23
COST C 1.70 0.23
SYK B -0.05 0.23
TBBK C -4.73 0.23
PLMR C -0.97 0.23
EG F -0.49 0.23
CL F 1.17 0.22
DFH F 2.78 0.22
STBA C -1.95 0.22
LLY F 1.81 0.22
MPC F -1.62 0.22
SKX D 2.61 0.22
CRUS F -0.22 0.22
XPEL F 1.89 0.22
MOH D 2.91 0.22
KOS F -0.92 0.22
YETI F 6.53 0.22
TPH D 0.53 0.22
ROST F 2.37 0.22
IQV D -0.97 0.22
ROL D 0.37 0.22
THR D -9.22 0.22
COKE D -0.03 0.22
FDX C 1.34 0.22
CWCO D -0.74 0.22
MHO D 2.06 0.22
DFIN F 0.00 0.22
ACGL D -1.33 0.22
WSM F 1.46 0.22
PHM D 1.13 0.22
OFG C -1.92 0.22
SPGI D 0.87 0.22
BLDR D -0.22 0.22
DY D -1.99 0.22
KLAC F 1.59 0.22
KNSL D -0.70 0.22
BURL D 2.95 0.22
AOS D -0.22 0.22
IBM D -0.71 0.22
ADMA C 1.42 0.22
HESM C -0.61 0.22
BLBD F -1.41 0.21
DVA D 0.78 0.21
UFPT C -0.52 0.21
LNW C 1.17 0.21
INSW F -0.20 0.21
DHI D 0.48 0.21
UHS D 1.07 0.21
HRMY D 1.65 0.21
HSY F -0.82 0.21
VAL F -1.70 0.21
FCN D 1.77 0.21
SIGA C 1.55 0.21
MEDP D 0.00 0.21
TDW F -1.48 0.20
CHWY C 1.98 0.20
BOOT D 4.11 0.20
FSLR F 1.94 0.20
HOG D -0.33 0.20
WFRD D -0.98 0.20
ASC F -0.34 0.19
REGN F 0.70 0.19
MBIN D -1.61 0.19
HALO C -2.09 0.19
CROX F 1.05 0.19
TH D 0.58 0.18
WING F 4.12 0.17
HRTG D 1.90 0.17

Recent News for Barron's 400 & its Holdings

Date Stock Title
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Nov 7 WMB SUN Q3 Earnings and Revenues Fall Short of Estimates, Decline Y/Y
The investment seeks investment results that correspond generally, before fees and expenses, to the performance of the Barron's 400 Index (the "underlying index"). The underlying index is a rules-based index intended to give investors a means of tracking the overall performance of high performing equity securities of U.S. companies. The fund will invest at least 80% of its total assets in the equity securities which comprise the index. The underlying index's stocks are constituents of the MarketGrader U.S. Coverage Universe.
Exchange Traded Fund ETF
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