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미국ETF

BlackRock U.S. Carbon Transition Readiness ETF(LCTU) 정보_미국주식x미국개미

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선요약 : BlackRock U.S. Carbon Transition Readiness ETF(티커:LCTU) 블랙록 미국 저탄소 ETF 관리자산(AUM), 보유종목, 비중, 수수료 정보

 

BlackRock U.S. Carbon Transition Readiness ETF(LCTU) 개요

BlackRock U.S. Carbon Transition Readiness ETF (티커:LCTU)는 저탄소 경제로의 전환으로부터 혜택을받을 수있는 더 나은 위치에있을 수있는 대규모 및 중간기업의 미국 주식에 투자함으로써 장기 자본 상승을 추구합니다.

 

주요사항

관리자산 $1,280,106,905

 

출시일 Apr 06, 2021

 

벤치마크 인덱스 Russell 1000 Index

 

일일거래량 97,675주

 

수수료 0.30%

 

 

보유종목 및 비중

티커

회사명

섹터

시장가치

비중 (%)

AAPL

APPLE INC

Information Technology

65,204,116.60

5.13

MSFT

MICROSOFT CORP

Information Technology

61,549,880.00

4.84

AMZN

AMAZON COM INC

Consumer Discretionary

42,956,886.00

3.38

GOOGL

ALPHABET INC CLASS A

Communication

26,858,882.05

2.11

FB

FACEBOOK CLASS A INC

Communication

26,490,882.60

2.08

GOOG

ALPHABET INC CLASS C

Communication

24,580,024.00

1.93

TSLA

TESLA INC

Consumer Discretionary

18,548,075.00

1.46

BRKB

BERKSHIRE HATHAWAY INC CLASS B

Financials

16,010,867.60

1.26

JPM

JPMORGAN CHASE & CO

Financials

15,484,078.40

1.22

MDT

MEDTRONIC PLC

Health Care

14,530,482.75

1.14

USD

USD CASH

Cash and/or Derivatives

13,004,895.29

1.02

JNJ

JOHNSON & JOHNSON

Health Care

12,731,216.40

1

NVDA

NVIDIA CORP

Information Technology

12,427,156.00

0.98

HD

HOME DEPOT INC

Consumer Discretionary

12,281,635.80

0.97

ADBE

ADOBE INC

Information Technology

11,931,180.80

0.94

V

VISA INC CLASS A

Information Technology

11,733,515.50

0.92

INTU

INTUIT INC

Information Technology

11,603,337.20

0.91

DIS

WALT DISNEY

Communication

11,178,321.00

0.88

MA

MASTERCARD INC CLASS A

Information Technology

11,065,893.30

0.87

PYPL

PAYPAL HOLDINGS INC

Information Technology

10,905,335.00

0.86

KO

COCA-COLA

Consumer Staples

10,604,876.80

0.83

BKNG

BOOKING HOLDINGS INC

Consumer Discretionary

10,537,476.60

0.83

BAC

BANK OF AMERICA CORP

Financials

10,380,954.50

0.82

UNH

UNITEDHEALTH GROUP INC

Health Care

10,293,546.90

0.81

HON

HONEYWELL INTERNATIONAL INC

Industrials

10,257,568.30

0.81

CMCSA

COMCAST CORP CLASS A

Communication

9,549,584.10

0.75

DOV

DOVER CORP

Industrials

9,468,534.60

0.74

PG

PROCTER & GAMBLE

Consumer Staples

9,382,407.30

0.74

KMI

KINDER MORGAN INC

Energy

9,203,317.20

0.72

ACN

ACCENTURE PLC CLASS A

Information Technology

8,949,275.30

0.7

WMT

WALMART INC

Consumer Staples

8,640,364.95

0.68

AVGO

BROADCOM INC

Information Technology

8,427,932.80

0.66

ABT

ABBOTT LABORATORIES

Health Care

8,317,523.20

0.65

MCD

MCDONALDS CORP

Consumer Discretionary

8,244,101.25

0.65

NEE

NEXTERA ENERGY INC

Utilities

8,099,481.60

0.64

INTC

INTEL CORPORATION CORP

Information Technology

8,075,166.75

0.64

JCI

JOHNSON CONTROLS INTERNATIONAL PLC

Industrials

8,067,354.75

0.63

CRM

SALESFORCE.COM INC

Information Technology

8,036,432.25

0.63

T

AT&T INC

Communication

7,519,050.00

0.59

LLY

ELI LILLY

Health Care

7,330,878.45

0.58

PEP

PEPSICO INC

Consumer Staples

7,268,827.30

0.57

NFLX

NETFLIX INC

Communication

7,220,631.60

0.57

TMUS

T MOBILE US INC

Communication

7,058,467.50

0.56

NOW

SERVICENOW INC

Information Technology

6,823,000.80

0.54

BMY

BRISTOL MYERS SQUIBB

Health Care

6,784,407.35

0.53

IQV

IQVIA HOLDINGS INC

Health Care

6,651,267.00

0.52

CVS

CVS HEALTH CORP

Health Care

6,565,096.30

0.52

LOW

LOWES COMPANIES INC

Consumer Discretionary

6,532,253.35

0.51

CSCO

CISCO SYSTEMS INC

Information Technology

6,308,103.20

0.5

IBM

INTERNATIONAL BUSINESS MACHINES CO

Information Technology

6,304,023.60

0.5

UGI

UGI CORP

Utilities

6,147,089.20

0.48

ES

EVERSOURCE ENERGY

Utilities

5,963,290.20

0.47

VZ

VERIZON COMMUNICATIONS INC

Communication

5,812,128.00

0.46

GPC

GENUINE PARTS

Consumer Discretionary

5,775,585.20

0.45

TXN

TEXAS INSTRUMENT INC

Information Technology

5,718,384.00

0.45

MXIM

MAXIM INTEGRATED PRODUCTS INC

Information Technology

5,659,794.00

0.45

MRK

MERCK & CO INC

Health Care

5,651,558.85

0.44

ABBV

ABBVIE INC

Health Care

5,640,806.50

0.44

TMO

THERMO FISHER SCIENTIFIC INC

Health Care

5,627,471.85

0.44

DD

DUPONT DE NEMOURS INC

Materials

5,560,060.80

0.44

WFC

WELLS FARGO

Financials

5,342,203.65

0.42

CHTR

CHARTER COMMUNICATIONS INC CLASS A

Communication

5,339,588.80

0.42

PFE

PFIZER INC

Health Care

5,267,241.00

0.41

DLB

DOLBY LABORATORIES INC CLASS A

Information Technology

5,108,787.60

0.4

YUM

YUM BRANDS INC

Consumer Discretionary

5,100,650.10

0.4

FMC

FMC CORP

Materials

5,080,599.30

0.4

C

CITIGROUP INC

Financials

5,022,595.20

0.4

CAT

CATERPILLAR INC

Industrials

5,001,416.00

0.39

GILD

GILEAD SCIENCES INC

Health Care

4,938,269.00

0.39

APTV

APTIV PLC

Consumer Discretionary

4,866,008.00

0.38

CSX

CSX CORP

Industrials

4,815,316.80

0.38

RTX

RAYTHEON TECHNOLOGIES CORP

Industrials

4,791,750.60

0.38

AMD

ADVANCED MICRO DEVICES INC

Information Technology

4,702,607.00

0.37

CVX

CHEVRON CORP

Energy

4,694,621.40

0.37

UPS

UNITED PARCEL SERVICE INC CLASS B

Industrials

4,505,440.80

0.35

NKE

NIKE INC CLASS B

Consumer Discretionary

4,496,326.80

0.35

GE

GENERAL ELECTRIC

Industrials

4,407,161.50

0.35

BLK

BLACKROCK INC

Financials

4,343,255.00

0.34

UNP

UNION PACIFIC CORP

Industrials

4,300,115.40

0.34

AOS

A O SMITH CORP

Industrials

4,278,122.45

0.34

ESS

ESSEX PROPERTY TRUST REIT INC

Real Estate

4,277,200.20

0.34

AMAT

APPLIED MATERIAL INC

Information Technology

4,233,453.00

0.33

TGT

TARGET CORP

Consumer Discretionary

4,194,327.90

0.33

UDR

UDR REIT INC

Real Estate

4,150,548.15

0.33

QCOM

QUALCOMM INC

Information Technology

4,111,260.30

0.32

AXP

AMERICAN EXPRESS

Financials

3,988,460.00

0.31

CDNS

CADENCE DESIGN SYSTEMS INC

Information Technology

3,945,602.50

0.31

ILMN

ILLUMINA INC

Health Care

3,942,521.10

0.31

SQ

SQUARE INC CLASS A

Information Technology

3,924,640.30

0.31

EL

ESTEE LAUDER INC CLASS A

Consumer Staples

3,887,511.60

0.31

LHX

L3HARRIS TECHNOLOGIES INC

Industrials

3,827,153.05

0.3

SYK

STRYKER CORP

Health Care

3,795,525.30

0.3

EW

EDWARDS LIFESCIENCES CORP

Health Care

3,743,857.60

0.29

MS

MORGAN STANLEY

Financials

3,741,731.00

0.29

DE

DEERE

Industrials

3,652,793.55

0.29

KNX

KNIGHT-SWIFT TRANSPORTATION HOLDIN

Industrials

3,596,221.65

0.28

GS

GOLDMAN SACHS GROUP INC

Financials

3,592,869.00

0.28

SPGI

S&P GLOBAL INC

Financials

3,570,181.65

0.28

ADI

ANALOG DEVICES INC

Information Technology

3,518,004.00

0.28

MCHP

MICROCHIP TECHNOLOGY INC

Information Technology

3,510,843.00

0.28

WST

WEST PHARMACEUTICAL SERVICES INC

Health Care

3,483,587.80

0.27

LNG

CHENIERE ENERGY INC

Energy

3,482,633.00

0.27

SBUX

STARBUCKS CORP

Consumer Discretionary

3,434,155.20

0.27

LEG

LEGGETT & PLATT INC

Consumer Discretionary

3,430,770.00

0.27

BDX

BECTON DICKINSON

Health Care

3,425,681.35

0.27

EIX

EDISON INTERNATIONAL

Utilities

3,403,818.60

0.27

MMM

3M

Industrials

3,397,699.20

0.27

STLD

STEEL DYNAMICS INC

Materials

3,305,778.00

0.26

RGLD

ROYAL GOLD INC

Materials

3,250,573.20

0.26

POOL

POOL CORP

Consumer Discretionary

3,131,396.80

0.25

SCHW

CHARLES SCHWAB CORP

Financials

3,118,420.20

0.25

WMB

WILLIAMS INC

Energy

3,108,828.80

0.24

ORCL

ORACLE CORP

Information Technology

3,103,794.40

0.24

AMCR

AMCOR PLC

Materials

3,100,702.15

0.24

LUV

SOUTHWEST AIRLINES

Industrials

3,029,580.40

0.24

SHW

SHERWIN WILLIAMS

Materials

3,025,283.80

0.24

KHC

KRAFT HEINZ

Consumer Staples

3,010,961.80

0.24

CL

COLGATE-PALMOLIVE

Consumer Staples

2,937,919.60

0.23

EQR

EQUITY RESIDENTIAL REIT

Real Estate

2,880,805.20

0.23

BXP

BOSTON PROPERTIES REIT INC

Real Estate

2,817,473.75

0.22

NWL

NEWELL BRANDS INC

Consumer Discretionary

2,796,696.00

0.22

PNR

PENTAIR

Industrials

2,771,111.70

0.22

HAIN

HAIN CELESTIAL GROUP INC

Consumer Staples

2,755,075.40

0.22

TFC

TRUIST FINANCIAL CORP

Financials

2,700,022.50

0.21

AMGN

AMGEN INC

Health Care

2,678,648.00

0.21

NLOK

NORTONLIFELOCK INC

Information Technology

2,660,409.15

0.21

USB

US BANCORP

Financials

2,649,070.90

0.21

MLM

MARTIN MARIETTA MATERIALS INC

Materials

2,595,059.60

0.2

VRTX

VERTEX PHARMACEUTICALS INC

Health Care

2,509,691.80

0.2

WBA

WALGREEN BOOTS ALLIANCE INC

Consumer Staples

2,496,780.30

0.2

MSA

MSA SAFETY INC

Industrials

2,473,962.75

0.19

MMC

MARSH & MCLENNAN INC

Financials

2,437,929.90

0.19

ICUI

ICU MEDICAL INC

Health Care

2,434,859.35

0.19

CME

CME GROUP INC CLASS A

Financials

2,419,701.90

0.19

EXPD

EXPEDITORS INTERNATIONAL OF WASHIN

Industrials

2,354,233.00

0.19

YUMC

YUM CHINA HOLDINGS INC

Consumer Discretionary

2,351,021.40

0.18

BR

BROADRIDGE FINANCIAL SOLUTIONS INC

Information Technology

2,344,880.30

0.18

PNC

PNC FINANCIAL SERVICES GROUP INC

Financials

2,318,992.20

0.18

ATVI

ACTIVISION BLIZZARD INC

Communication

2,302,500.20

0.18

CLX

CLOROX

Consumer Staples

2,301,903.45

0.18

INCY

INCYTE CORP

Health Care

2,280,214.30

0.18

DOW

DOW INC

Materials

2,262,517.95

0.18

PSTG

PURE STORAGE INC CLASS A

Information Technology

2,255,064.00

0.18

XOM

EXXON MOBIL CORP

Energy

2,248,120.00

0.18

KRC

KILROY REALTY REIT CORP

Real Estate

2,246,818.00

0.18

EQIX

EQUINIX REIT INC

Real Estate

2,238,430.95

0.18

WDAY

WORKDAY INC CLASS A

Information Technology

2,231,107.20

0.18

LDOS

LEIDOS HOLDINGS INC

Industrials

2,177,378.00

0.17

TJX

TJX INC

Consumer Discretionary

2,172,028.95

0.17

XRAY

DENTSPLY SIRONA INC

Health Care

2,157,685.25

0.17

ZM

ZOOM VIDEO COMMUNICATIONS INC CLAS

Information Technology

2,156,632.80

0.17

ESI

ELEMENT SOLUTIONS INC

Materials

2,140,108.25

0.17

HPE

HEWLETT PACKARD ENTERPRISE

Information Technology

2,134,737.50

0.17

OLED

UNIVERSAL DISPLAY CORP

Information Technology

2,108,111.60

0.17

TAP

MOLSON COORS BREWING CLASS B

Consumer Staples

2,070,679.10

0.16

AON

AON PLC CLASS A

Financials

2,039,800.00

0.16

VMC

VULCAN MATERIALS

Materials

2,033,127.25

0.16

COF

CAPITAL ONE FINANCIAL CORP

Financials

2,016,168.70

0.16

DELL

DELL TECHNOLOGIES INC CLASS C

Information Technology

2,008,986.00

0.16

VEEV

VEEVA SYSTEMS INC CLASS A

Health Care

2,000,371.10

0.16

APH

AMPHENOL CORP CLASS A

Information Technology

1,993,817.70

0.16

TT

TRANE TECHNOLOGIES PLC

Industrials

1,988,132.30

0.16

MRVL

MARVELL TECHNOLOGY GROUP LTD

Information Technology

1,967,842.80

0.15

PPG

PPG INDUSTRIES INC

Materials

1,927,611.00

0.15

ANTM

ANTHEM INC

Health Care

1,914,428.25

0.15

SLB

SCHLUMBERGER NV

Energy

1,908,406.50

0.15

SPG

SIMON PROPERTY GROUP REIT INC

Real Estate

1,860,720.75

0.15

PGR

PROGRESSIVE CORP

Financials

1,854,959.40

0.15

FRT

FEDERAL REALTY INVESTMENT TRUST RE

Real Estate

1,825,924.80

0.14

AYI

ACUITY BRANDS INC

Industrials

1,814,771.00

0.14

MET

METLIFE INC

Financials

1,796,076.45

0.14

COP

CONOCOPHILLIPS

Energy

1,779,052.80

0.14

FIS

FIDELITY NATIONAL INFORMATION SERV

Information Technology

1,776,882.80

0.14

POST

POST HOLDINGS INC

Consumer Staples

1,767,465.00

0.14

HWM

HOWMET AEROSPACE INC

Industrials

1,760,206.35

0.14

UBER

UBER TECHNOLOGIES INC

Industrials

1,756,875.40

0.14

MRNA

MODERNA INC

Health Care

1,743,117.60

0.14

CERN

CERNER CORP

Health Care

1,723,414.00

0.14

THS

TREEHOUSE FOODS INC

Consumer Staples

1,722,220.50

0.14

CTXS

CITRIX SYSTEMS INC

Information Technology

1,703,959.95

0.13

REG

REGENCY CENTERS REIT CORP

Real Estate

1,699,695.90

0.13

MCO

MOODYS CORP

Financials

1,698,567.50

0.13

AN

AUTONATION INC

Consumer Discretionary

1,690,299.80

0.13

WAT

WATER CORP

Health Care

1,649,905.25

0.13

BKR

BAKER HUGHES CLASS A

Energy

1,640,335.55

0.13

ICE

INTERCONTINENTAL EXCHANGE INC

Financials

1,636,744.20

0.13

FANG

DIAMONDBACK ENERGY INC

Energy

1,631,840.00

0.13

IDXX

IDEXX LABORATORIES INC

Health Care

1,626,393.30

0.13

PRGO

PERRIGO PLC

Health Care

1,614,230.45

0.13

ADSK

AUTODESK INC

Information Technology

1,591,857.75

0.13

JNPR

JUNIPER NETWORKS INC

Information Technology

1,583,232.00

0.12

IR

INGERSOLL RAND INC

Industrials

1,583,318.80

0.12

HRC

HILL ROM HOLDINGS INC

Health Care

1,571,014.90

0.12

GM

GENERAL MOTORS

Consumer Discretionary

1,564,743.60

0.12

CI

CIGNA CORP

Health Care

1,551,007.50

0.12

SPOT

SPOTIFY TECHNOLOGY SA

Communication

1,524,099.50

0.12

WHR

WHIRLPOOL CORP

Consumer Discretionary

1,523,014.50

0.12

PRU

PRUDENTIAL FINANCIAL INC

Financials

1,513,086.75

0.12

EXC

EXELON CORP

Utilities

1,510,211.50

0.12

AWK

AMERICAN WATER WORKS INC

Utilities

1,481,252.85

0.12

STZ

CONSTELLATION BRANDS INC CLASS A

Consumer Staples

1,459,607.10

0.11

KR

KROGER

Consumer Staples

1,454,203.80

0.11

MSCI

MSCI INC

Financials

1,449,418.95

0.11

BIIB

BIOGEN INC

Health Care

1,441,585.25

0.11

BBY

BEST BUY INC

Consumer Discretionary

1,427,664.70

0.11

HPP

HUDSON PACIFIC PROPERTIES REIT INC

Real Estate

1,426,840.10

0.11

CHD

CHURCH AND DWIGHT INC

Consumer Staples

1,420,970.25

0.11

AMH

AMERICAN HOMES RENT REIT CLASS A

Real Estate

1,410,066.00

0.11

ETSY

ETSY INC

Consumer Discretionary

1,402,188.90

0.11

CMI

CUMMINS INC

Industrials

1,393,899.50

0.11

GPN

GLOBAL PAYMENTS INC

Information Technology

1,385,393.10

0.11

ANET

ARISTA NETWORKS INC

Information Technology

1,350,825.00

0.11

TROW

T ROWE PRICE GROUP INC

Financials

1,339,985.85

0.11

IAC

IAC INTERACTIVE

Communication

1,302,488.25

0.1

AIG

AMERICAN INTERNATIONAL GROUP INC

Financials

1,299,352.60

0.1

DFS

DISCOVER FINANCIAL SERVICES

Financials

1,295,750.40

0.1

STE

STERIS

Health Care

1,290,021.60

0.1

WLTW

WILLIS TOWERS WATSON PLC

Financials

1,286,104.75

0.1

MAA

MID AMERICA APARTMENT COMMUNITIES

Real Estate

1,270,925.60

0.1

MKSI

MKS INSTRUMENTS INC

Information Technology

1,269,775.50

0.1

GIS

GENERAL MILLS INC

Consumer Staples

1,256,484.25

0.1

ARW

ARROW ELECTRONICS INC

Information Technology

1,249,160.50

0.1

ROST

ROSS STORES INC

Consumer Discretionary

1,244,549.25

0.1

DGX

QUEST DIAGNOSTICS INC

Health Care

1,236,834.90

0.1

SWKS

SKYWORKS SOLUTIONS INC

Information Technology

1,234,686.60

0.1

HCA

HCA HEALTHCARE INC

Health Care

1,224,140.40

0.1

ED

CONSOLIDATED EDISON INC

Utilities

1,222,578.00

0.1

AGR

AVANGRID INC

Utilities

1,219,279.60

0.1

TEAM

ATLASSIAN PLC CLASS A

Information Technology

1,215,796.75

0.1

ROKU

ROKU INC CLASS A

Communication

1,213,073.40

0.1

PTON

PELOTON INTERACTIVE CLASS A INC

Consumer Discretionary

1,207,149.30

0.09

BWA

BORGWARNER INC

Consumer Discretionary

1,197,840.00

0.09

TWLO

TWILIO INC CLASS A

Information Technology

1,194,812.85

0.09

VRT

VERTIV HOLDINGS CLASS A

Industrials

1,189,149.15

0.09

PLD

PROLOGIS REIT INC

Real Estate

1,176,574.00

0.09

NKTR

NEKTAR THERAPEUTICS

Health Care

1,169,022.40

0.09

MRCY

MERCURY SYSTEMS INC

Industrials

1,167,351.50

0.09

SUI

SUN COMMUNITIES REIT INC

Real Estate

1,165,073.00

0.09

MKTX

MARKETAXESS HOLDINGS INC

Financials

1,153,311.60

0.09

TRV

TRAVELERS COMPANIES INC

Financials

1,141,984.20

0.09

PKI

PERKINELMER INC

Health Care

1,141,940.80

0.09

CTAS

CINTAS CORP

Industrials

1,125,318.60

0.09

AFL

AFLAC INC

Financials

1,117,333.00

0.09

PANW

PALO ALTO NETWORKS INC

Information Technology

1,117,278.75

0.09

PCAR

PACCAR INC

Industrials

1,108,045.40

0.09

SYF

SYNCHRONY FINANCIAL

Financials

1,100,190.00

0.09

BRX

BRIXMOR PROPERTY GROUP REIT INC

Real Estate

1,096,262.30

0.09

TWTR

TWITTER INC

Communication

1,081,831.80

0.09

FISV

FISERV INC

Information Technology

1,077,622.00

0.08

SIVB

SVB FINANCIAL GROUP

Financials

1,063,473.60

0.08

CPB

CAMPBELL SOUP

Consumer Staples

1,057,875.00

0.08

BSX

BOSTON SCIENTIFIC CORP

Health Care

1,050,280.00

0.08

CTLT

CATALENT INC

Health Care

1,048,956.30

0.08

HOLX

HOLOGIC INC

Health Care

1,037,845.90

0.08

XYL

XYLEM INC

Industrials

1,032,453.45

0.08

AMP

AMERIPRISE FINANCE INC

Financials

1,028,840.40

0.08

TRN

TRINITY INDUSTRIES INC

Industrials

1,020,442.50

0.08

LULU

LULULEMON ATHLETICA INC

Consumer Discretionary

1,017,382.80

0.08

CARR

CARRIER GLOBAL CORP

Industrials

1,015,191.10

0.08

TRIP

TRIPADVISOR INC

Communication

1,009,310.40

0.08

XLNX

XILINX INC

Information Technology

1,008,388.15

0.08

STT

STATE STREET CORP

Financials

1,007,433.35

0.08

QRTEA

QURATE RETAIL INC SERIES A

Consumer Discretionary

1,001,172.90

0.08

PFG

PRINCIPAL FINANCIAL GROUP INC

Financials

999,447.75

0.08

VRSK

VERISK ANALYTICS INC

Industrials

983,064.25

0.08

ELAN

ELANCO ANIMAL HEALTH INC

Health Care

963,480.00

0.08

FITB

FIFTH THIRD BANCORP

Financials

951,783.70

0.07

CSGP

COSTAR GROUP INC

Industrials

948,756.55

0.07

HIG

HARTFORD FINANCIAL SERVICES GROUP

Financials

938,828.80

0.07

AVT

AVNET INC

Information Technology

935,704.00

0.07

FDX

FEDEX CORP

Industrials

925,852.20

0.07

DOCU

DOCUSIGN INC

Information Technology

921,295.20

0.07

EQT

EQT CORP

Energy

903,631.40

0.07

EXR

EXTRA SPACE STORAGE REIT INC

Real Estate

895,645.80

0.07

HUM

HUMANA INC

Health Care

883,515.50

0.07

PFPT

PROOFPOINT INC

Information Technology

856,716.00

0.07

FTNT

FORTINET INC

Information Technology

853,157.20

0.07

ROK

ROCKWELL AUTOMATION INC

Industrials

849,685.20

0.07

JWN

NORDSTROM INC

Consumer Discretionary

842,589.30

0.07

VTR

VENTAS REIT INC

Real Estate

834,082.90

0.07

BK

BANK OF NEW YORK MELLON CORP

Financials

833,280.00

0.07

MPWR

MONOLITHIC POWER SYSTEMS INC

Information Technology

821,062.90

0.06

STNE

STONECO LTD CLASS A

Information Technology

809,789.75

0.06

DRI

DARDEN RESTAURANTS INC

Consumer Discretionary

790,639.50

0.06

COST

COSTCO WHOLESALE CORP

Consumer Staples

783,847.40

0.06

SGEN

SEAGEN INC

Health Care

783,749.75

0.06

VIAC

VIACOMCBS INC CLASS B

Communication

780,039.05

0.06

TNL

TRAVEL LEISURE

Consumer Discretionary

769,091.40

0.06

LNC

LINCOLN NATIONAL CORP

Financials

751,546.95

0.06

DHR

DANAHER CORP

Health Care

748,454.70

0.06

AAL

AMERICAN AIRLINES GROUP INC

Industrials

744,147.25

0.06

COTY

COTY INC CLASS A

Consumer Staples

743,051.40

0.06

FRC

FIRST REPUBLIC BANK

Financials

738,754.80

0.06

JBHT

JB HUNT TRANSPORT SERVICES INC

Industrials

727,427.40

0.06

DVN

DEVON ENERGY CORP

Energy

727,167.00

0.06

OC

OWENS CORNING

Industrials

719,018.65

0.06

GBT

GLOBAL BLOOD THERAPEUTICS INC

Health Care

715,579.20

0.06

EOG

EOG RESOURCES INC

Energy

704,935.35

0.06

DAL

DELTA AIR LINES INC

Industrials

702,570.05

0.06

ULTA

ULTA BEAUTY INC

Consumer Discretionary

694,465.10

0.05

COMM

COMMSCOPE HOLDING INC

Information Technology

691,850.25

0.05

KIM

KIMCO REALTY REIT CORP

Real Estate

674,262.40

0.05

KKR

KKR AND CO INC

Financials

671,962.20

0.05

ALXN

ALEXION PHARMACEUTICALS INC

Health Care

670,399.80

0.05

BLL

BALL CORP

Materials

665,549.85

0.05

MTB

M&T BANK CORP

Financials

663,412.40

0.05

CRWD

CROWDSTRIKE HOLDINGS INC CLASS A

Information Technology

662,229.75

0.05

INFO

IHS MARKIT LTD

Industrials

655,361.70

0.05

PINS

PINTEREST INC CLASS A

Communication

653,018.10

0.05

ACGL

ARCH CAPITAL GROUP LTD

Financials

651,976.50

0.05

RMD

RESMED INC

Health Care

642,016.20

0.05

KEY

KEYCORP

Financials

639,683.45

0.05

ALL

ALLSTATE CORP

Financials

634,996.25

0.05

CFG

CITIZENS FINANCIAL GROUP INC

Financials

630,634.55

0.05

PAYX

PAYCHEX INC

Information Technology

625,220.40

0.05

UI

UBIQUITI INC

Information Technology

624,960.00

0.05

ALGN

ALIGN TECHNOLOGY INC

Health Care

624,688.75

0.05

ALNY

ALNYLAM PHARMACEUTICALS INC

Health Care

618,450.00

0.05

LIN

LINDE PLC

Materials

612,374.00

0.05

ESRT

EMPIRE STATE REALTY REIT INC TRUST

Real Estate

610,865.85

0.05

EFX

EQUIFAX INC

Industrials

598,073.70

0.05

AIRC

APARTMENT INCOME REIT CORP

Real Estate

596,782.55

0.05

IPHI

INPHI CORP

Information Technology

594,623.40

0.05

RCL

ROYAL CARIBBEAN GROUP LTD

Consumer Discretionary

584,532.90

0.05

LEA

LEAR CORP

Consumer Discretionary

582,384.60

0.05

UAL

UNITED AIRLINES HOLDINGS INC

Industrials

580,333.95

0.05

MPC

MARATHON PETROLEUM CORP

Energy

578,956.00

0.05

NTRS

NORTHERN TRUST CORP

Financials

577,816.75

0.05

AJG

ARTHUR J GALLAGHER

Financials

574,485.80

0.05

WRK

WESTROCK

Materials

572,337.50

0.05

RF

REGIONS FINANCIAL CORP

Financials

570,981.25

0.04

KSU

KANSAS CITY SOUTHERN

Industrials

568,974.00

0.04

SEDG

SOLAREDGE TECHNOLOGIES INC

Information Technology

568,735.30

0.04

CINF

CINCINNATI FINANCIAL CORP

Financials

567,021.00

0.04

GWRE

GUIDEWIRE SOFTWARE INC

Information Technology

563,766.00

0.04

ALLY

ALLY FINANCIAL INC

Financials

561,780.45

0.04

K

KELLOGG

Consumer Staples

554,304.80

0.04

VLO

VALERO ENERGY CORP

Energy

553,523.60

0.04

VTRS

VIATRIS INC

Health Care

547,946.70

0.04

ZBRA

ZEBRA TECHNOLOGIES CORP CLASS A

Information Technology

545,646.50

0.04

HBAN

HUNTINGTON BANCSHARES INC

Financials

539,841.75

0.04

MAS

MASCO CORP

Industrials

533,993.60

0.04

EHC

ENCOMPASS HEALTH CORP

Health Care

533,103.90

0.04

CONE

CYRUSONE REIT INC

Real Estate

532,333.55

0.04

MIDD

MIDDLEBY CORP

Industrials

521,613.75

0.04

TRU

TRANSUNION

Industrials

519,986.25

0.04

REGN

REGENERON PHARMACEUTICALS INC

Health Care

516,850.60

0.04

DLTR

DOLLAR TREE INC

Consumer Discretionary

507,259.20

0.04

TREE

LENDINGTREE INC

Financials

489,769.00

0.04

SBNY

SIGNATURE BANK

Financials

487,642.40

0.04

ALB

ALBEMARLE CORP

Materials

475,783.35

0.04

XTSLA

BLK CSH FND TREASURY SL AGENCY

Cash and/or Derivatives

40,000.00

0

 

 

 

 

 

 

 

# 본 글은 주식 매수 매도 추천글이 아닙니다. 또한, 단순한 정보 정리를 위함이며, 투자 권유를 위한 글은 아닙니다.

# 본 글에서 거론된 주식의 매수, 매도는 투자자 본인의 판단이며, 그 결과 또한 투자자 본인의 책임입니다.

 

 

 

 

 

 

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