ETF Components for SXQG - 6 Meridian Quality Growth 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 0.31 6.28
NVDA B 4.57 6.24
AAPL A 0.58 5.79
V D 0.28 4.51
COST A 0.38 4.50
AMAT B 1.02 4.06
MA D 0.79 3.99
ISRG B -0.91 3.83
HD C -0.40 3.75
ADBE B 0.43 3.62
NOW B -1.03 3.36
INTU B 0.56 3.36
VRTX B -0.74 3.29
REGN B -1.97 3.02
ACN C 0.63 2.99
SNPS B -0.44 2.35
CRWD A 0.55 2.16
CDNS B -0.41 2.15
ANET A 2.36 2.12
MSI B -0.25 1.68
CTAS B -0.24 1.59
EW B -0.16 1.33
CPRT C -1.46 1.24
KMB B -0.34 1.22
IDXX D 0.05 1.06
GWW C -0.27 1.06
DDOG B -0.19 1.00
MNST F -0.36 0.99
FAST F -0.11 0.95
LULU F -0.45 0.95
MPWR A 1.26 0.94
ODFL D -0.16 0.90
DASH D 0.16 0.90
PINS B -0.32 0.80
VEEV F -0.83 0.69
DECK C -0.53 0.66
RKT C 3.98 0.66
WST F -0.53 0.61
NVR D -0.05 0.53
ULTA D -0.85 0.50
EXPD B 2.17 0.47
ROL A 2.32 0.38
TPL B 1.74 0.37
MANH B 0.23 0.37
NBIX C 0.54 0.35
GGG D 0.64 0.34
APO A -0.20 0.33
TOST C -2.62 0.33
AOS D 0.19 0.31
INCY C -2.30 0.30
MUSA C -1.52 0.23
APPF B 1.14 0.21
TREX F -2.27 0.21
CHE D -0.31 0.20
LSCC D 3.57 0.19
EXEL C -0.86 0.18
LSTR B -0.03 0.17
SPSC B -1.20 0.17
HALO B 1.38 0.17
MLI C -0.23 0.16
COKE B -1.20 0.16
VVV B 0.33 0.15
AAON B 0.33 0.15
BMI C 0.98 0.14
LNTH C 1.35 0.14
QLYS D -0.13 0.13
CVLT A -0.49 0.13
ALKS D 0.17 0.11
CSWI A 0.50 0.10
BLKB D 0.48 0.10
LOPE C 1.45 0.10
AXNX B 0.10 0.09
LANC C -0.07 0.09
YETI F 0.03 0.09
WDFC F -2.03 0.08
LBRT D 3.16 0.08
HIMS C -3.39 0.08
DV F 1.57 0.07
CALM B 0.55 0.07
CORT C -3.36 0.07
CRVL B -1.23 0.06
AGYS A 0.36 0.06
YELP F -0.17 0.06
DOCN D -0.97 0.05
NSSC A 0.75 0.05
CPRX D -3.10 0.04
FIZZ B -2.29 0.03
KFRC D 0.00 0.03

Recent News for 6 Meridian Quality Growth ETF & its Holdings

The investment seeks capital appreciation. The fund is an actively managed exchange-traded fund (ETF) that seeks to achieve its investment objective primarily by investing in equity securities. It invests mainly in common stocks and may invest in the securities of companies of any capitalization. Currently, the Sub-Adviser expects to invest a significant portion of the fund's assets in the securities of companies in the health care and information technology sectors, although this may change from time to time. It is non-diversified.
Exchange Traded Funds Index Fund Investment Management Stock Fund Information Technology Sector
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