Stock Taper
EXCHANGE TRADED FUND

CTEF

EA Series Trust - Castellan Targeted Equity ETF
$87.74 ▼ 0.18%
−$0.16 TODAY

FUND FACTS

Manager Castellan
Assets $655.18M
Expense ratio 0.45%
Inception Jun 17, 2025
Asset class Equity
Holdings 22
Volume 586
Avg volume 5.72K

ABOUT THIS FUND

CTEF aims for capital appreciation through the GARP investment style, targeting growth at a reasonable price. The portfolio consists of an equity sleeve and an options sleeve. The equity sleeve utilizes a rules-based quantitative screening process that evaluates various factors (e.g., profitability, size, analyst coverage, and earnings estimates). The fund selects 20-25 companies after a qualitative review that screens value traps, which identify potential company or industry challenges (e.g., corporate actions, management changes, or regulatory issues). The options sleeve involves selling covered call options on up to 20% of the equity holdings, if considered advantageous. If options are written, the portfolio manager aims to write out-of-the-money, short-term contracts as a possible way to increase income. As an actively managed ETF, the fund has full discretion to adjust the portfolio at any time.

PRICE

$87.74 ▼ DOWN 0.18% (−$0.16)
$87.90$88.20$88.50$88.809:46 AM10:44 AM11:42 AM12:41 PM1:39 PM2:37 PM3:35 PM87.74

HOLDINGS

TOP 20 OF 22 · 92.26% OF THE FUND
RANK STOCK WEIGHT SHARES VALUE
01 NTAP NetApp, Inc. 6.84% 190.05K $44.81M
02 FTNT Fortinet, Inc. 6.46% 223.66K $42.33M
03 DAVE Dave Inc. 5.74% 109.07K $37.61M
04 VIRT Virtu Financial, Inc. 5.57% 620.28K $36.48M
05 FIX Comfort Systems USA, Inc. 5.31% 19.99K $34.8M
06 LRCX Lam Research Corporation 5.28% 104.97K $34.59M
07 MU Micron Technology, Inc. 4.87% 29.3K $31.88M
08 THC Tenet Healthcare Corporation 4.69% 118.31K $30.74M
09 NVDA NVIDIA Corporation 4.63% 127.69K $30.32M
11 BFH Bread Financial Holdings, Inc. 4.41% 295.66K $28.87M
12 FTDR Frontdoor, Inc. 4.31% 362.6K $28.21M
13 JBL Jabil Inc. 4.18% 91.39K $27.37M
14 ENVA Enova International, Inc. 4.10% 146.03K $26.89M
15 PLMR Palomar Holdings, Inc. 3.90% 201.46K $25.55M
16 EXPE Expedia Group, Inc. 3.76% 95.05K $24.6M
17 MCK McKesson Corporation 3.64% 26.19K $23.85M
18 WDC Western Digital Corporation 3.61% 58.41K $23.68M
19 TPR Tapestry, Inc. 3.28% 189.6K $21.5M
20 BLBD Blue Bird Corporation 3.23% 379.16K $21.17M

SECTOR HOLDINGS

TECHNOLOGY IS 39.33% OF THE FUND
Technology 39.33%
Financial Services 24.61%
Consumer Cyclical 16.98%
Healthcare 8.80%
Industrials 8.52%
Communication Services 1.75%
Cash & Others 0.01%

BY REGION

UNITED STATES IS 97.75% OF THE FUND
United States 97.75%
— Other 2.26%