ETF Components for QARP - Xtrackers Russell 1000 US QARP 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
BRK.A A -1.04 5.21
META C 0.31 5.17
AAPL C 0.49 4.88
AMZN B 0.52 3.99
XOM A -1.24 3.19
WMT A 3.98 2.88
GOOGL B 0.62 2.36
UNH B -1.42 2.32
JNJ D -1.48 2.32
COST B 0.39 2.32
GOOG B 0.47 2.14
MSFT D -0.52 2.05
HD A -0.61 2.00
CSCO B -0.93 1.97
V A -0.33 1.84
MA A -0.20 1.58
CVX A -0.63 1.54
PG C -0.19 1.34
ACN C -0.09 1.18
MCK A -0.31 1.15
ADBE F 0.12 0.91
CMCSA B -1.22 0.86
TJX A -0.61 0.82
BKNG A -1.31 0.80
COP B -0.49 0.78
LOW A -3.46 0.78
AMAT F -1.47 0.77
TSLA A 1.52 0.75
LMT D 0.40 0.71
T A -0.94 0.69
CAT B -0.99 0.67
VZ C -0.69 0.65
MO A -0.38 0.63
BMY B 1.70 0.62
CI D 0.81 0.55
PM A -1.53 0.55
MMC C -1.01 0.55
SBUX A -0.73 0.52
EOG A -0.70 0.50
PFE F 0.38 0.48
ELV F -0.71 0.47
LRCX F -0.75 0.45
CAH A -0.09 0.40
TGT C 0.62 0.40
LEN D -0.02 0.40
COR B 0.26 0.40
UPS C -0.76 0.40
MCD D -0.33 0.39
ORLY B -1.23 0.38
NUE D -1.38 0.37
TXN B -1.20 0.37
MU D -0.57 0.35
AZO A -1.70 0.34
PYPL A -1.52 0.34
SYY B -0.72 0.33
FDX A -0.70 0.33
GILD B -0.24 0.33
MCO D -0.25 0.33
AON A -0.77 0.33
MRK F -0.23 0.32
PSA C 0.03 0.31
DHI F -0.52 0.31
HUM D 0.53 0.31
ITW B -0.73 0.31
NKE F -1.06 0.31
CTSH B -1.15 0.30
KR B -0.35 0.30
ADM D 0.65 0.27
HCA F -0.71 0.27
GWW B -0.20 0.27
QCOM F 0.03 0.26
REGN F -1.99 0.26
CMI A -0.28 0.26
TROW A -0.82 0.25
GM B -1.34 0.25
MPC C -0.41 0.25
ROST D -2.08 0.25
PCAR B -0.73 0.24
ACGL D -1.07 0.24
DE C -0.98 0.24
MSCI A 1.15 0.23
ABNB C -0.80 0.23
URI B -0.54 0.23
NVR D 0.50 0.23
STLD B -0.56 0.23
BBY D -1.75 0.23
CNC F -0.71 0.23
ABT A -0.68 0.22
FAST B -0.55 0.22
FTNT B -1.30 0.22
DAL A 1.74 0.22
EA A 0.18 0.21
KVUE A -1.16 0.21
CL C -0.88 0.21
PHM D -0.47 0.21
ADP B -0.42 0.21
VRTX C -1.09 0.21
GEV B 3.41 0.20
PAYX B -0.60 0.20
SPG A 0.08 0.20
VST A 0.03 0.20
FANG C -0.79 0.19
ODFL B -0.82 0.19
LPLA A -0.69 0.19
ISRG A 0.31 0.18
VLO C -0.54 0.18
NVDA B 2.95 0.18
CVS D 0.44 0.18
LULU C -1.26 0.18
RS B -0.14 0.17
DVN F -1.86 0.17
BLDR D -1.43 0.17
KLAC F -0.47 0.17
EXPE A -2.22 0.17
GRMN B -0.29 0.16
TSCO D -0.71 0.16
COF B -0.89 0.16
MNST B -0.23 0.15
KMB C 0.03 0.15
EME B 0.60 0.15
ULTA F -1.47 0.15
WSM D 2.43 0.15
CHTR B 0.26 0.14
SYF B -0.98 0.14
SLB C -1.33 0.14
FCNCA A 0.64 0.14
CF A -0.03 0.13
DECK A -1.20 0.13
DRI B -1.67 0.13
OC A -0.61 0.13
ANET C 0.90 0.13
EXPD D -1.92 0.13
GEHC D 0.13 0.13
KEYS C 0.17 0.12
MMM D -1.06 0.12
PSX C 0.05 0.12
UNP D -0.57 0.12
TPR A -1.51 0.12
SNA A -1.11 0.12
CASY B 0.84 0.12
MAR A -1.22 0.12
UTHR C 0.31 0.11
LUV A 0.31 0.11
CMG B -1.22 0.11
BJ B 0.47 0.11
MTG C -0.81 0.11
CTRA A 0.50 0.11
EVR B 0.62 0.11
MRO A -0.66 0.11
BKR A -0.51 0.10
CPNG D 0.25 0.10
FDS A -0.43 0.10
SOLV C -0.07 0.10
UAL A 3.73 0.10
HSY F -0.22 0.09
GIS D -0.27 0.09
WST C -0.33 0.09
EBAY D -0.86 0.09
LYB F -1.11 0.09
A F -0.24 0.09
AMG A -0.96 0.09
DKS D -0.45 0.09
CINF A -1.40 0.09
MTD F -0.57 0.09
ROK B -1.52 0.09
CBRE B -0.02 0.09
TT A 0.60 0.08
FICO A -0.14 0.08
WSO A -1.23 0.08
AYI B -1.53 0.08
SWKS F -0.60 0.08
CTAS B 0.06 0.08
WY D -1.26 0.08
HPQ A -1.51 0.08
HRB D 0.00 0.08
PFGC B -0.84 0.08
INTC C -2.66 0.08
LYV A 0.55 0.08
ADI D -0.42 0.08
CSX B -0.83 0.07
DOW F -1.35 0.07
INCY B -11.38 0.07
DOX D -0.98 0.07
GGG A -0.60 0.07
GPC D -1.99 0.07
CPRT A 0.04 0.07
DLTR F -1.44 0.07
LH B -1.68 0.07
SPGI C 0.08 0.07
RHI C -1.87 0.07
SEIC A 0.00 0.07
CBOE C 0.28 0.07
AMD F -0.54 0.07
LNG A 0.88 0.07
VICI C 0.13 0.07
ATO A -0.67 0.07
TOL B -0.68 0.07
MAS D -0.83 0.07
EG D -0.65 0.06
AGCO D -0.12 0.06
EW C -1.22 0.06
EXP B -0.19 0.06
PGR B -0.92 0.06
PKG B -0.04 0.06
PWR A 0.09 0.06
OXY D -1.01 0.06
K B -0.12 0.06
TXRH B -1.10 0.06
FFIV B -0.72 0.06
SKX F -0.44 0.06
BX A 0.64 0.06
JBL C -1.08 0.06
TXT D -1.73 0.06
MOH F -1.58 0.06
POOL D -0.74 0.06
HAL C 0.05 0.06
VRSN F -0.66 0.06
AOS F -0.70 0.06
NTAP D 0.40 0.06
ADSK B 0.44 0.06
CHRW A -0.04 0.06
BWA B -2.57 0.06
CLX A -0.42 0.06
INGR B 0.28 0.05
FIX A 1.97 0.05
CCL A 2.41 0.05
JKHY D -0.27 0.05
BLD F -1.00 0.05
ORCL A 0.13 0.05
APTV F -0.67 0.05
JBHT C -1.62 0.05
ALGN C -2.42 0.05
ITT A -0.49 0.05
MRNA F -3.01 0.05
CLF F 0.22 0.05
LSTR D -0.90 0.05
UHS D -0.95 0.05
CSL C -0.99 0.05
SAIA C -0.05 0.05
MGM D -0.46 0.05
MKTX D -0.24 0.05
COIN A -1.80 0.05
RNR D -0.96 0.05
MUSA A 0.50 0.05
YUM D -0.92 0.05
RL B -1.54 0.05
ACI C 0.63 0.05
JNPR D -1.50 0.04
TAP B -1.45 0.04
J D -3.58 0.04
ACM B -0.67 0.04
AAL B 0.21 0.04
MCHP F -1.28 0.04
OSK B -1.64 0.04
FCX F -0.28 0.04
USFD B 0.31 0.04
NYT D -0.88 0.04
KNSL B -0.27 0.04
CHE D -1.05 0.04
ROL A -0.70 0.04
ARMK C 0.38 0.04
CNP A 0.22 0.04
LPX A -2.39 0.04
WYNN D -0.88 0.04
CNM C 1.36 0.04
ALSN A -1.26 0.04
COKE D 0.18 0.04
TSN A -1.80 0.04
LEA F -1.37 0.04
PAYC B -0.87 0.04
GNTX D -1.42 0.04
FND F -2.20 0.04
BURL A -1.05 0.04
LECO C -0.78 0.04
ON F 0.32 0.04
EPAM B -1.80 0.04
CHRD D -0.54 0.04
MOS D -1.28 0.04
HLI B 0.36 0.04
WBD B -1.48 0.04
HOLX D 0.36 0.04
LVS B -0.59 0.04
DBX C 2.05 0.04
OTIS C -0.22 0.04
DCI B -0.74 0.04
IP A -0.91 0.04
ALK A -0.08 0.04
SSD D -0.82 0.03
CRUS F 0.01 0.03
PII F 0.09 0.03
OLN F -2.36 0.03
SJM D 1.11 0.03
MTZ B -0.87 0.03
FCN F -0.36 0.03
RLI A -0.58 0.03
AMGN F 0.25 0.03
WAT B -1.07 0.03
PINC B 0.09 0.03
G A -0.43 0.03
GLPI C 0.83 0.03
WTW B -0.77 0.03
RPRX F -0.14 0.03
KNX B -0.73 0.03
MSM D 0.00 0.03
THO B -0.65 0.03
DPZ C -1.51 0.03
OVV C -0.62 0.03
DGX A -0.38 0.03
TER F -1.34 0.03
PVH C -2.35 0.03
LOPE B -1.32 0.03
GAP C -2.01 0.03
JHG A -0.68 0.03
LAMR D -0.76 0.03
HST D -1.52 0.03
FOXA B -0.67 0.03
MEDP D 1.47 0.03
VVV B -7.44 0.03
LLY F -0.60 0.03
AMCR D -0.54 0.03
X C 0.40 0.03
EXEL B -0.68 0.03
BIIB F -0.71 0.02
DINO D 0.36 0.02
BBWI C -3.48 0.02
CDW F -1.70 0.02
AR B -1.16 0.02
ABBV F -0.39 0.02
NEU D -0.94 0.02
CDNS B -0.17 0.02
HII F -1.34 0.02
CE F -0.47 0.02
CPB D -0.88 0.02
FIVE F -1.70 0.02
TTEK F -0.91 0.02
APA F -1.53 0.02
ALB C 3.34 0.02
CTVA D 1.72 0.02
LKQ F -1.54 0.02
DD D -1.05 0.02
EL F -1.12 0.02
M D -0.59 0.02
MHK D -1.26 0.02
CROX F 0.34 0.02
IWB A -0.48 0.00

Recent News for Xtrackers Russell 1000 US QARP ETF & its Holdings

Date Stock Title
Nov 19 REGN Here’s Why Regeneron Pharmaceuticals (REGN) Declined in Q3
Nov 19 UAL United Airlines Gears Up For Holiday Travel Surge To Europe: Details
Nov 19 V Visa (V) Plunged as DOJ Sued it for Monopoly
Nov 19 AMZN Goldman Sachs sees S&P 500 hitting 6,500 in 2025 amid 'narrowing' big tech outperformance
Nov 19 GOOG Goldman Sachs sees S&P 500 hitting 6,500 in 2025 amid 'narrowing' big tech outperformance
Nov 19 GOOG Block's Afterpay brings buy now, pay later to Google Pay ahead of holiday season
Nov 19 COST Costco Wholesale Corporation (COST) Reinforced Its Commitment to Sustainability
Nov 19 DPZ Domino's Pizza: Fundamentals Remain Strong With Improving Investor Sentiment (Rating Upgrade)
Nov 19 CMG Chipotle Has A Viable Challenger: CAVA Is Up And Coming
Nov 19 ORCL Do You Believe in The Multi-Year Growth Opportunities For Oracle Corporation (ORCL)?
Nov 19 TSLA Kim Kardashian's New BFF: Tesla's Optimus Bot Steals the Spotlight
Nov 19 LOW Lowe’s Sales Squeezed as Shoppers Postpone Big Home Projects
Nov 19 HD Lowe’s Sales Squeezed as Shoppers Postpone Big Home Projects
Nov 19 BX Jersey Mike's sandwich chain is acquired by private equity firm Blackstone for $8 billion
Nov 19 COST Which Costco Membership Should You Get in 2025?
Nov 19 UNH UnitedHealth Group Incorporated (UNH) Rose on Earnings Beat
Nov 19 LOW Ukraine-Russia, Walmart and Lowe's, DOJ vs. Google: 3 Things
Nov 19 GOOG Ukraine-Russia, Walmart and Lowe's, DOJ vs. Google: 3 Things
Nov 19 GOOGL Ukraine-Russia, Walmart and Lowe's, DOJ vs. Google: 3 Things
Nov 19 WMT Ukraine-Russia, Walmart and Lowe's, DOJ vs. Google: 3 Things
The investment seeks investment results that correspond generally to the performance, before fees and expenses, of the Russell 1000 2Qual/Val 5% Capped Factor Index (the "underlying index"). The fund will invest at least 80% of its total assets (but typically far more) in component securities of the underlying index. The underlying index is designed to track the equity market performance of companies in the United States selected on the investment style criteria ("factors") of quality and value. The fund is non-diversified.
Exchange Traded Fund ETF Index Fund
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