ETF Components for REVS - Columbia Research Enhanced Value 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
JPM B -1.33 4.85
XOM D -1.21 4.75
JNJ F 0.54 4.00
PG C 0.84 3.83
BAC B -1.20 3.36
CSCO D -0.09 2.69
WFC C -1.71 2.53
ORCL A 0.31 1.73
C B -0.67 1.47
VZ B 0.36 1.40
CMCSA F -0.50 1.25
ELV C -0.02 1.24
FDX B 0.10 1.20
MDT D 0.57 1.19
PH D -1.41 1.13
T B 0.48 1.10
CSX D -0.75 1.07
CI D -1.94 1.00
BMY F 0.51 0.98
MO A 0.33 0.97
CL B 1.21 0.96
AEP C 0.34 0.94
CARR C -0.35 0.90
CME D 0.17 0.87
CRM C 0.86 0.80
CAT D -0.68 0.75
PCG D 0.06 0.69
NUE F -1.65 0.68
SPG C -1.46 0.67
EOG D -1.44 0.67
MPC D -2.43 0.65
EQIX C 0.73 0.63
PSX D -1.40 0.58
DHI D -0.35 0.58
BK B -0.98 0.56
MCK B 0.76 0.55
MET D -0.94 0.55
EIX C 0.81 0.54
DAL D -2.89 0.53
VLO D -3.61 0.50
LEN D -0.11 0.50
REGN B 0.99 0.48
FTV D 0.18 0.47
VRT C -1.76 0.47
VST C -2.57 0.45
ETR D -0.17 0.45
GIS D -0.32 0.44
AMAT B -0.30 0.43
LYB D -1.67 0.43
CNC D -0.58 0.42
HLT B -0.79 0.41
GILD C 0.15 0.40
PPG D 0.29 0.39
HIG C -0.91 0.39
CNP B 0.53 0.39
AEE D -0.16 0.38
VLTO D 0.28 0.38
INVH A 0.08 0.38
QCOM B 0.95 0.38
KR C 2.15 0.38
EBAY B 0.49 0.36
RCL B 0.90 0.36
CSL C -0.46 0.36
SBAC F -0.70 0.35
STLD D -2.13 0.35
GEHC D -0.23 0.34
ATO D -0.47 0.34
PHM D -1.06 0.33
HPQ C -0.63 0.33
TROW C -0.85 0.32
BLDR F -1.32 0.31
EA B -0.30 0.31
GPN D -0.38 0.31
KHC D 0.00 0.31
BKR C -0.73 0.31
ESS B 0.98 0.31
J D -1.26 0.31
FITB D -2.09 0.30
MTB C -1.77 0.30
CSGP F -0.92 0.30
WTW B 0.49 0.30
RS D -0.61 0.29
EXPD B -0.32 0.29
HUM C 1.65 0.29
NDAQ C 0.40 0.28
STT C -0.57 0.28
UAL D -3.11 0.28
PKG C -1.12 0.28
OC D -1.61 0.27
NVR D -0.48 0.27
AMGN B 0.48 0.26
MMC B 0.48 0.26
ZBH D 1.34 0.26
CF F 0.26 0.26
IP C -1.65 0.26
MAS D -0.12 0.26
ADP D -0.57 0.25
CCL C -1.38 0.25
SNA F -0.60 0.24
EVRG D 0.69 0.24
SSNC B -0.88 0.24
NI B -0.35 0.24
DOC B 1.28 0.24
WSM D -0.36 0.23
SWKS C 0.89 0.23
ACM D -2.91 0.22
WRK C 3.54 0.22
HST D -1.13 0.22
PNR D -0.47 0.22
NTAP A -0.50 0.22
SYF B -0.93 0.22
CBOE D -0.73 0.22
SWK D -0.38 0.22
VRSN C 0.77 0.21
AMH A 0.38 0.21
HOLX C 0.84 0.20
EME D -2.30 0.20
FCNCA C -1.37 0.20
GLPI B 1.16 0.20
ZM F -0.63 0.20
CW C -0.37 0.19
MCHP C -1.54 0.19
MRNA D 2.04 0.19
BG B -0.73 0.19
RPM D -1.28 0.19
BAX C 5.28 0.19
EG D -0.53 0.18
OKTA C 2.73 0.18
K D -0.51 0.18
ITT D -0.67 0.18
CTRA D -2.45 0.18
MOS F -1.34 0.17
CACI B -0.93 0.17
APP B -0.18 0.17
RGA C -0.55 0.17
L D -0.86 0.17
PNW C 0.44 0.17
DKS C 0.58 0.16
JNPR B 1.02 0.16
AOS D -0.69 0.16
BRO B 0.53 0.16
TOL D -2.33 0.16
MGM B -0.55 0.16
THC C -2.97 0.15
BLD D -0.61 0.15
BIIB C 0.46 0.15
MRO B -2.05 0.15
ORLY C 0.62 0.14
NNN B 0.28 0.14
CAH D 0.20 0.14
VTRS D -0.58 0.14
X C -1.25 0.14
FFIV C 0.67 0.14
USFD C -1.92 0.14
DOX D 0.44 0.13
WCC D -3.00 0.13
KEX B -1.22 0.13
TPR C -0.12 0.13
AYI D -1.71 0.13
CLF D -1.94 0.13
PTC B 1.35 0.13
NTNX C 2.51 0.13
SJM D 0.71 0.13
EGP B 0.94 0.13
CNM D -1.10 0.13
MKSI B -0.65 0.12
SKX C -1.60 0.12
WYNN D -0.52 0.12
BERY D -1.84 0.12
BRX B -0.57 0.12
UNM D -1.62 0.12
CR C -1.23 0.12
CTAS A 1.29 0.12
EWBC D -3.08 0.12
EQT D -1.94 0.12
OLN F -1.19 0.11
AZEK D 0.54 0.11
ALSN D -2.29 0.11
AGCO F -2.44 0.11
AIZ D -1.62 0.11
STAG B -0.06 0.11
RPRX F -0.96 0.11
SAIC D -1.78 0.11
LEA F -1.49 0.10
ESAB D -1.33 0.10
SNX D -3.34 0.10
R B -0.52 0.10
AIRC A 0.00 0.10
ORI D -1.58 0.10
WBA F 1.44 0.10
CPB B 0.24 0.10
FTI B -1.07 0.10
LRCX B 0.47 0.10
TAP F -1.28 0.10
NWSA B -0.65 0.09
WBS D -0.92 0.09
TKR D -1.38 0.09
DCI D -1.46 0.09
LYV C 0.58 0.09
SON F -2.16 0.09
INGR D -0.50 0.09
MOH F -1.08 0.09
CRUS A 0.57 0.09
CRBG C -2.04 0.09
RL C 0.57 0.09
CMA C -0.83 0.08
G D -2.45 0.08
SEIC D -0.94 0.08
WLK D -1.46 0.08
AAL F -0.72 0.08
BEN F -1.56 0.08
IVZ D -0.86 0.07
NYT A -0.06 0.07
BMRN C 0.59 0.07
BR B 1.31 0.07
XP F 1.43 0.07
AXS C -0.50 0.07
MSI B 0.28 0.07
WTFC D -1.70 0.07
FOXA B -0.69 0.07
MTG B -0.97 0.07
ZION C -2.43 0.07
BPOP D -1.95 0.07
DINO D -4.40 0.07
PSTG B 1.55 0.06
VRTX B 0.91 0.06
EPR C 0.22 0.06
NEU D -2.10 0.06
OLLI B 1.68 0.06
CUZ D -1.71 0.06
LNC C -1.97 0.06
OGN C -0.98 0.06
MAN D -1.49 0.06
XRAY F -0.81 0.06
AMG D -1.23 0.06
GPS C -2.55 0.06
MSM F -1.45 0.06
EXPE C -0.52 0.06
CZR C -1.46 0.06
THO D -1.15 0.06
KRC F -3.52 0.06
UTHR B 1.13 0.06
GPK D -1.56 0.06
GTES D -1.78 0.05
ROST B 1.08 0.05
WU D -1.06 0.05
MPW F 3.20 0.05
ROKU C -0.34 0.05
TER A -0.33 0.05
OZK D -2.02 0.05
VNT D -0.68 0.05
PK D -0.75 0.05
JHG B -1.13 0.05
JAZZ F -2.18 0.04
HRB B -2.20 0.04
PRGO F -2.86 0.04
CACC B 0.49 0.04
EXP D -1.25 0.04
CWEN D 0.90 0.04
LSTR D -2.10 0.03
PHIN D -1.02 0.03
ADTN D 1.37 0.03
NWS B -0.63 0.03
NYCB D 0.00 0.03
EEFT D -0.84 0.03
KMB B 0.56 0.03
CRI F -0.24 0.03
ALNY A 0.94 0.03
JWN B 1.06 0.03
FOX B -0.86 0.03
KSS F 3.87 0.03
CWEN D 0.90 0.02
INFA B 2.50 0.02
REYN D 0.15 0.02
HE F -4.83 0.02
TNL D -0.69 0.02
FTRE D -0.51 0.02
IART C 0.38 0.02
VIRT C -0.58 0.02
EXAS D 3.20 0.02
LEN D -0.11 0.02
PINC F 0.05 0.02
IONS B 1.07 0.01
SEB F -1.77 0.01
MTCH F -0.34 0.01
EXEL C 0.64 0.01
DBX D -1.33 0.01
LECO F -0.51 0.01
INCY D -0.57 0.01
PATH D 2.16 0.01
CNA B -1.02 0.01
PLTK F 0.13 0.00

Recent News for Columbia Research Enhanced Value ETF & its Holdings

The investment seeks investment results that, before fees and expenses, closely correspond to the performance of the Beta Advantage® Research Enhanced U.S. Value Index. The fund invests at least 80% of its assets in the securities of the index. The index reflects a rules-based strategic beta approach to investing in the companies that comprise the Russell 1000® Value Index, designed to achieve stronger total return when compared to the Russell 1000® Value Index, which is a broad measure of the performance of U.S. large- and mid-cap value companies.
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