ACIO

Aptus Collared Investment Opportunity ETF

An actively-managed strategy seeking growth and income using covered calls on individual equities.

The strategy invests in stocks and pursues additional income by selling covered calls on those stocks. ACIO has an added goal of minimizing downside using long put options on a broad-based market Index.

Why ACIO?

  • Total return potential through growth, dividends, and stock income
  • Diversified basket of stocks
  • Risk mitigation through ownership of put options
  • Additional pursuit of income by selling covered calls on the underlying basket of stocks

Fund Details

Current as of 05/29/2026

Fund Ticker ACIO
Fund Name Aptus Collared Investment Opportunity ETF
Primary Exchange Cboe
CUSIP 26922A222
ISIN US26922A2226
Net Assets 2,381,675,142.88
Expense Ratio 0.79%
30 Day Median Bid- Ask % 0.13
Inception Date 07/09/2019
Shares Outstanding 50,725,000.00
Distributor Quasar Distributors
Advisor Aptus Capital Advisors
*Premium Discount Disclaimer 

The following Frequency Distribution of Premiums and Discounts chart is provided to show the frequency at which the closing price of the Fund was at a premium (above) or discount (below) to their daily net asset value (NAV). The chart represents past performance and cannot be used to predict future results. Shareholders may pay more than NAV when buying Fund shares and receive less than NAV when those shares are sold because shares are bought and sold at current market prices.

Fund Objectives

The Aptus Collared Investment Opportunity ETF seeks risk-mitigated capital appreciation.

Fund Prices

Current as of 05/29/2026

NAV MARKET PRICE
Net Asset Value 46.95 Closing Price 47.00
Daily Change $ 0.11 Daily Change $ 0.15
Daily Change % 0.23 Daily Change % 0.31
Premium/Discount % 0.10

Fund holdings are subject to change and should not be considered a recommendation to buy or sell any security.

Fund Distributions

EX-DATERECORD
DATE
PAYABLE
DATE
INCOMESHORT TERM
CAPITAL GAIN
LONG TERM
CAPITAL GAIN
03/30/2603/30/2603/31/26$0.0649
12/30/2512/30/2512/31/25$0.0341
09/29/2509/29/2509/30/25$0.0268
06/27/2506/27/2506/30/25$0.0518
03/28/2503/28/2503/31/25$0.0502
12/30/2412/30/2412/31/24$0.0339
09/27/2409/27/2409/30/24$0.0427
06/27/2406/28/2406/29/24$0.0472
03/26/2403/27/2403/28/24$0.0529
12/27/2312/28/2312/29/23$0.0693
09/27/2309/28/2309/29/23$0.0517
06/28/2306/29/2306/30/23$0.0639
03/29/2303/30/2303/31/23$0.0531
12/28/2212/29/2212/30/22$0.0694
12/06/2212/07/2212/08/22$0.1930
09/13/2209/14/2209/15/22$0.0700
06/14/2206/15/2206/16/22$0.0508
03/15/2203/16/2203/17/22$0.0518
12/29/2112/30/2112/31/21$0.0463
09/14/219/15/219/16/21$0.0585
06/15/216/16/216/17/21$0.0258
03/16/213/17/213/18/21$0.0667
12/29/2012/30/2012/31/20$0.0678
09/15/209/16/209/17/20$0.0662
06/16/206/17/206/18/20$0.0478
03/17/203/18/203/19/20$0.1014
12/30/1912/31/191/2/20$0.1954
09/17/199/18/199/19/19$0.1432

This fund is expected to pay at least one more distribution before year end. The figures represent estimates and are subject to change based on portfolio, market, and shareholder activity and tax adjustments. Actual distributions will be based on shares outstanding as of the record date. The net asset value of a fund with a distribution will drop on the ex-date by the amount of the distribution. Keep in mind that market conditions, portfolio changes and/or changes in outstanding fund shares could affect these estimates substantially. This information is NOT FINAL and is subject to change until the ex-dividend date. All data subject to change. Actual distributions will be posted on the aptusetfs.com site after each fund’s ex-dividend date. Aptus does not provide tax, accounting or legal advice. Any tax statements contained herein were not intended or written to be used, and cannot be used for the purpose of avoiding U.S., federal, state or local tax penalties. Clients should consult their advisor as to any tax, accounting or legal statements made herein. Specific questions regarding your clients’ personal income tax situation should be referred to a tax advisor.

Fund Performance

Monthly
as of 04/30/2026
Quarterly
as 03/31/2026
NAV % Market % NAV % Market %
1 Month 7.67 7.79 -3.36 -3.52
3 Month 3.19 3.1 -3.78 -3.83
1 Year 17.9 17.94 9 8.91
3 Year 14.86 14.87 12.23 12.19
5 Year 9.6 9.58 9.03 8.97
YTD 3.6 3.66 -3.78 -3.83
Since Inception 92.76 92.81 79.03 78.87
Since Inception Annualized 10.11 10.12 9.04 9.03

Cumulative return is the aggregate amount that an investment has gained or lost over time. Annualized Return is the average return gained or lost by an investment each year over a given time period. Performance is annualized for periods greater than 1 year.

Performance quoted represents past performance, which is no guarantee of future results. Investment return and principal value will fluctuate, so you may have a gain or loss when shares are sold. Current performance may be higher or lower than that quoted. Short-term performance in particular is not a good indication of the fund’s future performance and an investment should not be made solely on returns.

Market Price: The current price at which shares are bought and sold. Market returns are based upon the last trade price.

NAV: The dollar value of a single share, based on the value of the underlying assets of the fund minus its liabilities, divided by the number of shares outstanding. Calculated at the end of each business day.

Morningstar Rating Methodology

ACIO Fund Holdings

Current as of 05/29/2026

Stock TickerCusipSecurity DescSharesPriceMarket ValueWeightingsEffective Date
AAPL037833100Apple Inc539,410.00312.06168,328,284.607.07%06/01/2026
AAPL 260717C00320000AAPL 260717C00320000AAPL US 07/17/26 C320-2,250.006.95-1,563,750.00-0.07%06/01/2026
AAPL 260717C00330000AAPL 260717C00330000AAPL US 07/17/26 C330-1,000.003.88-387,500.00-0.02%06/01/2026
ABBV00287Y109AbbVie Inc77,712.00217.7216,919,456.640.71%06/01/2026
ABT002824100Abbott Laboratories77,229.0085.606,610,802.400.28%06/01/2026
ACNG1151C101Accenture PLC23,221.00187.074,343,952.470.18%06/01/2026
ADBE00724F101Adobe Inc15,851.00259.214,108,737.710.17%06/01/2026
ADI032654105Analog Devices Inc18,236.00413.857,546,968.600.32%06/01/2026
ADI 260618C00450000ADI 260618C00450000ADI US 06/18/26 C450-90.005.30-47,700.000.00%06/01/2026
ADI 260717C00500000ADI 260717C00500000ADI US 07/17/26 C500-90.004.25-38,250.000.00%06/01/2026
ADM039483102Archer-Daniels-Midland Co67,339.0079.785,372,305.420.23%06/01/2026
ADM 260918C00080000ADM 260918C00080000ADM US 09/18/26 C80-670.005.80-388,600.00-0.02%06/01/2026
ADP053015103Automatic Data Processing Inc25,682.00221.845,697,294.880.24%06/01/2026
AMAT038222105Applied Materials Inc28,207.00450.0612,694,842.420.53%06/01/2026
AMAT 260717C00490000AMAT 260717C00490000AMAT US 07/17/26 C490-275.0022.88-629,062.50-0.03%06/01/2026
AMD007903107Advanced Micro Devices Inc62,460.00516.1032,235,606.001.35%06/01/2026
AMD 260618C00650000AMD 260618C00650000AMD US 06/18/26 C650-300.004.25-127,500.00-0.01%06/01/2026
AMGN031162100Amgen Inc24,882.00336.798,380,008.780.35%06/01/2026
AMZN023135106Amazon.com Inc361,618.00270.6497,868,295.524.11%06/01/2026
AMZN 260618C00305000AMZN 260618C00305000AMZN US 06/18/26 C305-1,000.000.60-59,500.000.00%06/01/2026
ANET040413205Arista Networks Inc43,614.00159.476,955,124.580.29%06/01/2026
AONG0403H108Aon PLC12,968.00316.064,098,666.080.17%06/01/2026
APH032095101Amphenol Corp72,350.00148.7610,762,786.000.45%06/01/2026
APH 260717C00150000APH 260717C00150000APH US 07/17/26 C150-200.0010.35-207,000.00-0.01%06/01/2026
APH 260717C00160000APH 260717C00160000APH US 07/17/26 C160-150.006.70-100,500.000.00%06/01/2026
APP03831W108AppLovin Corp10,364.00613.096,354,064.760.27%06/01/2026
AVGO11135F101Broadcom Inc174,416.00446.7777,923,836.323.27%06/01/2026
AVGO 260618C00550000AVGO 260618C00550000AVGO US 06/18/26 C550-200.004.60-92,000.000.00%06/01/2026
AXP025816109American Express Co19,613.00316.476,206,926.110.26%06/01/2026
AXP 260717C00360000AXP 260717C00360000AXP US 07/17/26 C360-196.001.86-36,358.000.00%06/01/2026
AZO053332102AutoZone Inc1,450.002,935.194,256,025.500.18%06/01/2026
BA097023105Boeing Co/The27,300.00231.156,310,395.000.26%06/01/2026
BKNG09857L108Booking Holdings Inc29,177.00167.434,885,105.110.21%06/01/2026
BLK09290D101Blackrock Inc24,498.001,046.8825,646,466.241.08%06/01/2026
BLK 260618C01150000BLK 260618C01150000BLK US 06/18/26 C1150-120.002.60-31,200.000.00%06/01/2026
BMY110122108Bristol-Myers Squibb Co74,378.0057.184,252,934.040.18%06/01/2026
BMY 260717C00060000BMY 260717C00060000BMY US 07/17/26 C60-350.001.01-35,350.000.00%06/01/2026
BRK/B084670702Berkshire Hathaway Inc67,413.00474.4831,986,120.241.34%06/01/2026
BSX101137107Boston Scientific Corp53,394.0048.312,579,464.140.11%06/01/2026
C172967424Citigroup Inc169,812.00125.9021,379,330.800.90%06/01/2026
C 260717C00130000C 260717C00130000C US 07/17/26 C130-800.004.53-362,000.00-0.02%06/01/2026
C 260717C00140000C 260717C00140000C US 07/17/26 C140-700.001.70-118,650.000.00%06/01/2026
CAT149123101Caterpillar Inc32,367.00875.8728,349,284.291.19%06/01/2026
CAT 260717C00650000CAT 260717C00650000CAT US 07/17/26 C650-135.00228.55-3,085,425.00-0.13%06/01/2026
CAT 260717C01060000CAT 260717C01060000CATERPIL CLL OPT 07/26 1060-100.005.80-58,000.000.00%06/01/2026
CBH1467J104Chubb Ltd14,067.00311.734,385,105.910.18%06/01/2026
CDNS127387108Cadence Design Systems Inc10,570.00374.933,963,010.100.17%06/01/2026
CI125523100Cigna Group/The9,831.00277.402,727,119.400.11%06/01/2026
CIEN171779309Ciena Corp9,229.00580.235,354,942.670.22%06/01/2026
CIEN 260618C00840000CIEN 260618C00840000CIEN US 06/18/26 C840-20.005.90-11,800.000.00%06/01/2026
CL194162103Colgate-Palmolive Co50,671.0090.134,566,977.230.19%06/01/2026
CME12572Q105CME Group Inc15,869.00273.544,340,806.260.18%06/01/2026
CME 260717C00320000CME 260717C00320000CME US 07/17/26 C320-100.000.48-4,750.000.00%06/01/2026
CMI231021106Cummins Inc8,285.00646.635,357,329.550.22%06/01/2026
CMI 260717C00750000CMI 260717C00750000CMI US 07/17/26 C750-40.007.15-28,600.000.00%06/01/2026
COF14040H105Capital One Financial Corp24,725.00187.934,646,569.250.20%06/01/2026
COST22160K105Costco Wholesale Corp16,741.00956.3216,009,753.120.67%06/01/2026
COST 260618C01100000COST 260618C01100000COST US 06/18/26 C1100-60.000.75-4,470.000.00%06/01/2026
COST 260717C01140000COST 260717C01140000COST US 07/17/26 C1140-60.001.79-10,710.000.00%06/01/2026
CRHG25508105CRH PLC24,918.00108.792,710,829.220.11%06/01/2026
CRM79466L302Salesforce Inc35,376.00191.106,760,353.600.28%06/01/2026
CRWD22788C105Crowdstrike Holdings Inc22,273.00731.0016,281,563.000.68%06/01/2026
CRWD 260717C00700000CRWD 260717C00700000CRWD US 07/17/26 C700-200.0081.95-1,639,000.00-0.07%06/01/2026
CSCO17275R102Cisco Systems Inc140,259.00120.4216,889,988.780.71%06/01/2026
CSCO 260717C00150000CSCO 260717C00150000CSCO US 07/17/26 C150-350.000.50-17,500.000.00%06/01/2026
CSX126408103CSX Corp480,559.0045.2621,750,100.340.91%06/01/2026
CSX 260717C00050000CSX 260717C00050000CSX US 07/17/26 C50-1,200.000.45-54,000.000.00%06/01/2026
CTAS172908105Cintas Corp71,757.00171.2612,289,103.820.52%06/01/2026
CVS126650100CVS Health Corp44,508.0090.984,049,337.840.17%06/01/2026
CVX166764100Chevron Corp70,568.00182.4612,875,837.280.54%06/01/2026
CVX 260717C00210000CVX 260717C00210000CHEVRON CLL OPT 07/26 210-350.000.95-33,075.000.00%06/01/2026
DAL247361702Delta Air Lines Inc51,297.0082.484,230,976.560.18%06/01/2026
DDOG23804L103Datadog Inc11,642.00247.352,879,648.700.12%06/01/2026
DE244199105Deere & Co9,402.00542.185,097,576.360.21%06/01/2026
DELL24703L202Dell Technologies Inc18,178.00420.917,651,301.980.32%06/01/2026
DELL 260717C00530000DELL 260717C00530000DELL TEC CLL OPT 07/26 530-90.0015.05-135,450.00-0.01%06/01/2026
DIS254687106Walt Disney Co/The68,616.00101.836,987,167.280.29%06/01/2026
DLR253868103Digital Realty Trust Inc77,638.00190.0014,751,220.000.62%06/01/2026
DUK26441C204Duke Energy Corp138,072.00122.7316,945,576.560.71%06/01/2026
DVN25179M103Devon Energy Corp274,875.0044.4912,229,188.750.51%06/01/2026
ELV036752103ELEVANCE HEALTH INC17,881.00393.197,030,630.390.30%06/01/2026
EQIX29444U700Equinix Inc8,802.001,068.049,400,888.080.39%06/01/2026
EQIX 260717C01200000EQIX 260717C01200000EQIX US 07/17/26 C1200-40.004.35-17,400.000.00%06/01/2026
ETNG29183103Eaton Corp PLC30,199.00400.6012,097,719.400.51%06/01/2026
ETN 260717C00480000ETN 260717C00480000ETN US 07/17/26 C480-225.002.93-65,812.500.00%06/01/2026
FANG25278X109Diamondback Energy Inc65,067.00191.4812,459,029.160.52%06/01/2026
FANG 260717C00210000FANG 260717C00210000FANG US 07/17/26 C210-650.003.90-253,500.00-0.01%06/01/2026
FCX35671D857Freeport-McMoRan Inc52,876.0065.713,474,481.960.15%06/01/2026
FDX31428X106FedEx Corp11,464.00411.754,720,302.000.20%06/01/2026
FDXF-W314352105Fedex Freight Holding Co Inc5,732.000.000.000.00%06/01/2026
FTNT34959E109Fortinet Inc24,322.00137.973,355,706.340.14%06/01/2026
GE369604301GE AEROSPACE53,305.00323.7617,258,026.800.72%06/01/2026
GE 260618C00350000GE 260618C00350000GE US 06/18/26 C350-200.002.39-47,700.000.00%06/01/2026
GEV36828A101GE Vernova Inc9,977.00968.329,660,928.640.41%06/01/2026
GILD375558103Gilead Sciences Inc50,211.00134.436,749,864.730.28%06/01/2026
GLW219350105Corning Inc29,080.00181.165,268,132.800.22%06/01/2026
GLW 260717C00270000GLW 260717C00270000CORNING CLL OPT 07/26 270-140.002.18-30,450.000.00%06/01/2026
GLW 260717C00300000GLW 260717C00300000GLW US 07/17/26 C300-140.001.36-18,970.000.00%06/01/2026
GOOG02079K107Alphabet Inc387,937.00376.43146,031,124.916.13%06/01/2026
GOOG 260717C00430000GOOG 260717C00430000GOOG US 07/17/26 C430-1,200.002.91-349,200.00-0.01%06/01/2026
GS38141G104Goldman Sachs Group Inc/The10,955.001,021.0611,185,712.300.47%06/01/2026
GS 260717C01000000GS 260717C01000000GS US 07/17/26 C1000-35.0060.10-210,350.00-0.01%06/01/2026
GS 260821C01100000GS 260821C01100000GS US 08/21/26 C1100-50.0031.68-158,375.00-0.01%06/01/2026
HCA40412C101HCA Healthcare Inc6,142.00378.542,324,992.680.10%06/01/2026
HD437076102Home Depot Inc/The17,357.00317.145,504,598.980.23%06/01/2026
HON438516106Honeywell International Inc38,585.00237.869,177,828.100.39%06/01/2026
HOOD770700102Robinhood Markets Inc51,348.0094.304,842,116.400.20%06/01/2026
IBM459200101International Business Machines Corp37,634.00297.8011,207,405.200.47%06/01/2026
ICE45866F104Intercontinental Exchange Inc91,925.00147.8513,591,111.250.57%06/01/2026
INTC458140100Intel Corp172,615.00114.6819,795,488.200.83%06/01/2026
INTC 260717C00150000INTC 260717C00150000INTC US 07/17/26 C150-850.004.43-376,125.00-0.02%06/01/2026
INTC 260717C00195000INTC 260717C00195000INTEL CO CLL OPT 07/26 195-500.001.33-66,250.000.00%06/01/2026
ISRG46120E602Intuitive Surgical Inc19,943.00424.648,468,595.520.36%06/01/2026
JCIG51502105Johnson Controls International plc25,690.00134.063,444,001.400.14%06/01/2026
JNJ478160104Johnson & Johnson91,130.00225.3320,534,322.900.86%06/01/2026
JNJ 260821C00220000JNJ 260821C00220000JNJ US 08/21/26 C220-900.0014.23-1,280,250.00-0.05%06/01/2026
JPM46625H100JPMORGAN CHASE & CO.123,813.00299.3137,058,469.031.56%06/01/2026
JPM 260717C00340000JPM 260717C00340000JPM US 07/17/26 C340-250.001.17-29,250.000.00%06/01/2026
KEYS49338L103Keysight Technologies Inc6,641.00338.332,246,849.530.09%06/01/2026
KLAC482480100KLA CORP4,913.001,921.719,441,361.230.40%06/01/2026
KLAC 260717C02200000KLAC 260717C02200000KLAC US 07/17/26 C2200-15.0077.35-116,025.000.00%06/01/2026
KLAC 260717C02320000KLAC 260717C02320000KLAC US 07/17/26 C2320-15.0054.15-81,225.000.00%06/01/2026
KVUE49177J102Kenvue Inc128,778.0017.282,225,283.840.09%06/01/2026
LHX502431109L3Harris Technologies Inc9,201.00315.182,899,971.180.12%06/01/2026
LING54950103Linde PLC43,289.00497.6921,544,502.410.90%06/01/2026
LIN 260618C00525000LIN 260618C00525000LIN US 06/18/26 C525-100.002.23-22,250.000.00%06/01/2026
LIN 260717C00550000LIN 260717C00550000LIN US 07/17/26 C550-300.002.70-81,000.000.00%06/01/2026
LLY532457108Eli Lilly & Co29,108.001,105.0032,164,340.001.35%06/01/2026
LMT539830109Lockheed Martin Corp7,279.00527.003,836,033.000.16%06/01/2026
LOW548661107Lowe's Cos Inc54,963.00214.3611,781,868.680.49%06/01/2026
LRCX512807306Lam Research Corp79,071.00318.1825,158,810.781.06%06/01/2026
LRCX 260618C00350000LRCX 260618C00350000LRCX US 06/18/26 C350-100.007.98-79,750.000.00%06/01/2026
LRCX 260717C00400000LRCX 260717C00400000LRCX US 07/17/26 C400-100.007.90-79,000.000.00%06/01/2026
LRCX 260717C00440000LRCX 260717C00440000LRCX US 07/17/26 C440-150.004.33-64,875.000.00%06/01/2026
MAR571903202Marriott International Inc/MD31,012.00375.6011,648,107.200.49%06/01/2026
MAR 260618C00390000MAR 260618C00390000MAR US 06/18/26 C390-100.004.70-47,000.000.00%06/01/2026
MAR 260717C00400000MAR 260717C00400000MAR US 07/17/26 C400-100.006.90-69,000.000.00%06/01/2026
MCD580135101McDonald's Corp62,619.00279.2017,483,224.800.73%06/01/2026
MCD 260717C00310000MCD 260717C00310000MCD US 07/17/26 C310-300.001.05-31,500.000.00%06/01/2026
MCK58155Q103McKesson Corp4,685.00741.623,474,489.700.15%06/01/2026
MDLZ609207105Mondelez International Inc89,278.0061.175,461,135.260.23%06/01/2026
MDLZ 260618C00057500MDLZ 260618C00057500MDLZ US 06/18/26 C57.5-400.004.20-168,000.00-0.01%06/01/2026
META30303M102Meta Platforms Inc80,930.00632.5151,189,034.302.15%06/01/2026
META 260618C00705000META 260618C00705000META US 06/18/26 C705-200.002.99-59,700.000.00%06/01/2026
MO02209S103Altria Group Inc223,393.0069.5815,543,684.940.65%06/01/2026
MO 260717C00060000MO 260717C00060000MO US 07/17/26 C60-2,200.009.55-2,101,000.00-0.09%06/01/2026
MRK58933Y105Merck & Co Inc110,732.00118.7213,146,103.040.55%06/01/2026
MRSH571748102Marsh & McLennan Cos Inc18,297.00159.972,926,971.090.12%06/01/2026
MS617446448Morgan Stanley46,862.00208.009,747,296.000.41%06/01/2026
MS 260618C00190000MS 260618C00190000MS US 06/18/26 C190-150.0019.05-285,750.00-0.01%06/01/2026
MS 260618C00200000MS 260618C00200000MS US 06/18/26 C200-150.0010.50-157,500.00-0.01%06/01/2026
MSFT594918104Microsoft Corp273,016.00450.24122,922,723.845.16%06/01/2026
MSI620076307Motorola Solutions Inc11,540.00403.284,653,851.200.20%06/01/2026
MU595112103Micron Technology Inc42,398.00971.0041,168,458.001.73%06/01/2026
MU 260618C01200000MU 260618C01200000MU US 06/18/26 C1200-200.0027.13-542,500.00-0.02%06/01/2026
MU 260618C01300000MU 260618C01300000MU US 06/18/26 C1300-200.0016.00-320,000.00-0.01%06/01/2026
NEE65339F101NextEra Energy Inc112,523.0087.019,790,626.230.41%06/01/2026
NEM651639106Newmont Corp68,610.00109.817,534,064.100.32%06/01/2026
NFLX64110L106Netflix Inc237,994.0086.0220,472,243.880.86%06/01/2026
NKE654106103NIKE Inc42,403.0045.821,942,905.460.08%06/01/2026
NOC666807102Northrop Grumman Corp20,244.00561.2111,361,135.240.48%06/01/2026
NOW81762P102ServiceNow Inc41,738.00124.375,190,955.060.22%06/01/2026
NVDA67066G104NVIDIA Corp894,749.00211.14188,917,303.867.93%06/01/2026
ORCL68389X105Oracle Corp66,390.00225.7814,989,534.200.63%06/01/2026
PANW697435105Palo Alto Networks Inc31,116.00281.698,765,066.040.37%06/01/2026
PEP713448108PepsiCo Inc146,958.00144.1921,189,874.020.89%06/01/2026
PEP 260717C00160000PEP 260717C00160000PEPSICO CLL OPT 07/26 160-500.000.89-44,250.000.00%06/01/2026
PEP 260821C00165000PEP 260821C00165000PEPSICO CLL OPT 08/26 165-500.001.01-50,250.000.00%06/01/2026
PFE717081103Pfizer Inc206,012.0026.185,393,394.160.23%06/01/2026
PG742718109Procter & Gamble Co/The87,857.00143.5612,612,750.920.53%06/01/2026
PG 260717C00160000PG 260717C00160000PG US 07/17/26 C160-440.000.66-28,820.000.00%06/01/2026
PGR743315103Progressive Corp/The96,653.00190.4018,402,731.200.77%06/01/2026
PH701094104Parker-Hannifin Corp4,799.00844.634,053,379.370.17%06/01/2026
PHM745867101PulteGroup Inc108,276.00118.1812,796,057.680.54%06/01/2026
PKG695156109Packaging Corp of America19,681.00218.914,308,367.710.18%06/01/2026
PLD74340W103Prologis Inc35,991.00143.475,163,628.770.22%06/01/2026
PLTR69608A108Palantir Technologies Inc87,342.00156.5413,672,516.680.57%06/01/2026
PNC693475105PNC Financial Services Group Inc/The83,051.00221.1218,364,237.120.77%06/01/2026
PSA74460D109Public Storage18,764.00303.695,698,439.160.24%06/01/2026
PWR74762E102Quanta Services Inc6,463.00711.734,599,910.990.19%06/01/2026
PWR 260717C00900000PWR 260717C00900000PWR US 07/17/26 C900-32.006.00-19,200.000.00%06/01/2026
QCOM747525103QUALCOMM Inc44,807.00251.0211,247,453.140.47%06/01/2026
QCOM 260618C00300000QCOM 260618C00300000QCOM US 06/18/26 C300-200.006.15-123,000.00-0.01%06/01/2026
QCOM 260717C00370000QCOM 260717C00370000QCOM US 07/17/26 C370-100.006.50-65,000.000.00%06/01/2026
RTX75513E101RTX Corp54,223.00179.669,741,704.180.41%06/01/2026
SBUX855244109Starbucks Corp39,824.0099.163,948,947.840.17%06/01/2026
SBUX 260717C00105000SBUX 260717C00105000SBUX US 07/17/26 C105-200.001.93-38,600.000.00%06/01/2026
SCHW808513105Charles Schwab Corp/The60,783.0087.355,309,395.050.22%06/01/2026
SHW824348106Sherwin-Williams Co/The12,915.00303.843,924,093.600.16%06/01/2026
SLB806857108SLB Ltd117,894.0054.556,431,117.700.27%06/01/2026
SNDK80004C200Sandisk Corp/DE5,076.001,694.988,603,718.480.36%06/01/2026
SNDK 260618C02300000SNDK 260618C02300000SNDK US 06/18/26 C2300-20.0022.20-44,400.000.00%06/01/2026
SNDK 260618C02400000SNDK 260618C02400000SNDK US 06/18/26 C2400-20.0016.65-33,300.000.00%06/01/2026
SNPS871607107Synopsys Inc7,120.00475.623,386,414.400.14%06/01/2026
SNPS 260618C00660000SNPS 260618C00660000SNPS US 06/18/26 C660-35.000.78-2,712.500.00%06/01/2026
SO842587107Southern Co/The265,903.0092.0524,476,371.151.03%06/01/2026
SPX 260717P05800000SPX 260717P05800000SPX US 07/17/26 P58003,300.004.751,567,500.000.07%06/01/2026
SPX 260717P06500000SPX 260717P06500000SPX US 07/17/26 P6500-6,600.0011.85-7,821,000.00-0.33%06/01/2026
SPX 260717P07200000SPX 260717P07200000SPX US 07/17/26 P72003,300.0047.0015,510,000.000.65%06/01/2026
STXG7997R103Seagate Technology Holdings PLC8,277.00879.807,282,104.600.31%06/01/2026
STX 260717C00900000STX 260717C00900000STX US 07/17/26 C900-80.0099.40-795,200.00-0.03%06/01/2026
SYK863667101Stryker Corp33,536.00305.0910,231,498.240.43%06/01/2026
T00206R102AT&T Inc274,459.0024.806,806,583.200.29%06/01/2026
TELG87052109TE Connectivity PLC11,233.00213.412,397,234.530.10%06/01/2026
TJX872540109TJX Cos Inc/The90,807.00154.7514,052,383.250.59%06/01/2026
TMO883556102Thermo Fisher Scientific Inc39,374.00492.5119,392,088.740.81%06/01/2026
TMUS872590104T-Mobile US Inc49,172.00187.539,221,225.160.39%06/01/2026
TRV89417E109Travelers Cos Inc/The11,943.00291.893,486,042.270.15%06/01/2026
TSLA88160R101Tesla Inc104,475.00435.7945,529,160.251.91%06/01/2026
TTG8994E103Trane Technologies PLC7,196.00451.303,247,554.800.14%06/01/2026
TXN882508104Texas Instruments Inc34,050.00305.6810,408,404.000.44%06/01/2026
TXN 260717C00370000TXN 260717C00370000TXN US 07/17/26 C370-225.004.63-104,062.500.00%06/01/2026
UBER90353T100Uber Technologies Inc87,594.0070.406,166,617.600.26%06/01/2026
UNH91324P102UnitedHealth Group Inc46,430.00380.3117,657,793.300.74%06/01/2026
V92826C839Visa Inc120,416.00326.3639,298,965.761.65%06/01/2026
VRT92537N108Vertiv Holdings Co14,283.00315.714,509,285.930.19%06/01/2026
VRTX92532F100Vertex Pharmaceuticals Inc9,147.00447.544,093,648.380.17%06/01/2026
VZ92343V104Verizon Communications Inc158,689.0047.817,586,921.090.32%06/01/2026
VZ 260618C00045000VZ 260618C00045000VZ US 06/18/26 C45-1,500.003.25-486,750.00-0.02%06/01/2026
WDC958102105Western Digital Corp13,242.00531.217,034,282.820.30%06/01/2026
WDC 260618C00750000WDC 260618C00750000WDC US 06/18/26 C750-60.002.30-13,800.000.00%06/01/2026
WDC 260717C00780000WDC 260717C00780000WDC US 07/17/26 C780-60.009.50-57,000.000.00%06/01/2026
WELL95040Q104Welltower Inc39,784.00205.338,168,848.720.34%06/01/2026
WM94106L109Waste Management Inc14,080.00211.462,977,356.800.13%06/01/2026
WMT931142103Walmart Inc220,228.00115.7525,491,391.001.07%06/01/2026
XOM30231G102Exxon Mobil Corp213,733.00145.2631,046,855.581.30%06/01/2026
XOM 260717C00160000XOM 260717C00160000XOM US 07/17/26 C160-625.001.83-114,062.500.00%06/01/2026
Cash&OtherCash&OtherCash & Other9,483,620.591.009,483,620.590.40%06/01/2026

Holdings are subject to change without notice.