Fonds-Portfolio: Eagle Capital Select Equity ETF

Aktien- und Anleihebestände dieses Fonds/ETF der Gesellschaft 2023 ETF Series Trust zum gemeldeten Stichtag 2026-03-31 (SEC Form N-PORT). Erfasst sind Wertpapiere der Klassen Aktie und Anleihe — nicht Derivate, Repos oder Cash. Keine Anlageberatung.
Fonds-Verzeichnis
EmittentGattungTypCUSIP/ISINRichtungBestand ($)% NAVStück / Nennwert
3.446.660.997 $91,4137.572.065
ConocoPhillipsConocoPhillips COMEC20825C104Long295.011.948 $7,822.234.939
London Stock Exchange Group PLCLondon Stock Exchange Group PLC SPONSORED ADSEC54211Y107Long285.999.391 $7,589.587.643
Amazon.com, Inc.Amazon.com, Inc. COMEC023135106Long270.893.873 $7,181.300.686
Taiwan Semiconductor Manufacturing Co., Ltd.Taiwan Semiconductor Manufacturing Co., Ltd. SPONSORED ADSEC874039100Long198.840.993 $5,27588.374
UnitedHealth Group Inc.UnitedHealth Group Inc. COMEC91324P102Long174.824.681 $4,64646.087
Alphabet Inc.Alphabet Inc. CAP STK CL AEC02079K305Long172.668.278 $4,58600.460
Microsoft Corp.Microsoft Corp. COMEC594918104Long163.686.953 $4,34442.194
SAP SESAP SE SPON ADREC803054204Long160.892.885 $4,27939.740
Mercadolibre IncMercadolibre Inc COMEC58733R102Long153.893.154 $4,0889.006
Danaher CorporationDanaher Corporation COMEC235851102Long141.786.862 $3,76747.821
Capital One Financial Corp.Capital One Financial Corp. COMEC14040H105Long133.374.026 $3,54731.097
Workday IncWorkday Inc CL AEC98138H101Long126.067.482 $3,34970.347
Comcast CorporationComcast Corporation CL AEC20030N101Long120.144.919 $3,194.184.776
AERCAP HOLDINGS NVAerCap Holdings N.V. SHSECNL0000687663Long111.674.260 $2,96814.071
Intuit IncIntuit Inc COMEC461202103Long107.660.458 $2,86248.995
Lennar Corp.Lennar Corp. CL AEC526057104Long105.951.487 $2,811.220.077
Woodward Inc.Woodward Inc. COMEC980745103Long104.657.240 $2,78292.404
Alcoa CorporationAlcoa Corporation COMEC013872106Long104.505.170 $2,771.575.534
Shell PLCShell PLC SPON ADSEC780259305Long91.936.917 $2,44988.569
Bayer AGBayer AG SPONSORED ADREC072730302Long84.463.400 $2,247.357.439
Meta Platforms IncMeta Platforms Inc CL AEC30303M102Long82.076.053 $2,18143.457
ASML Holding N.V.ASML Holding N.V. N Y REGISTRY SHSECUSN070592100Long75.324.293 $2,0057.028
The Estee Lauder Companies Inc.The Estee Lauder Companies Inc. CL AEC518439104Long62.081.481 $1,65865.006
Humana Inc.Humana Inc. COMEC444859102Long61.186.210 $1,62352.882
Netflix, Inc.Netflix, Inc. COMEC64110L106Long57.058.583 $1,51593.433
3.446.660.997 $91,4137.572.065
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