Stock Taper
Porter & Co. Funds
EXCHANGE TRADED FUND

PCPP

ETF Opportunities Trust - Porter & Company Permanent Portfolio Index ETF
$27.08 ▲ 0.77%
+$0.21 TODAY

FUND FACTS

Manager Porter & Co. Funds
Assets $27.11M
Expense ratio 0.75%
Inception Jun 5, 2026
Asset class Equity
Holdings 24
Volume 14.9K
Avg volume 27.81K

ABOUT THIS FUND

PCPP tracks a rules-based multi-asset index that allocates equally across property and casualty insurance companies, capital-efficient equities, hard assets, and short-term fixed income investments. The index assigns a target weight of 25% to each segment and is rebalanced annually. Exposure to Bitcoin and precious metals is obtained through a Cayman subsidiary, while the remaining assets are generally invested in US Treasuries, inflation-protected securities, money market instruments, cash equivalents, and other short-term investments. The portfolio is typically composed of approximately 32 companies and follows predetermined allocations rather than a market-capitalization approach. The fund primarily replicates the holdings and weightings of the underlying index and may use derivatives to manage portfolio exposures.

PRICE

$27.08 ▲ UP 0.77% (+$0.21)
$26.93$27.00$27.079:33 AM10:37 AM11:42 AM12:46 PM1:50 PM2:55 PM3:59 PM27.08

HOLDINGS

TOP 20 OF 24 · 51.20% OF THE FUND
RANK STOCK WEIGHT SHARES VALUE
01 FNV Franco-Nevada Corporation 6.85% 6.97K $1.86M
05 WRB W. R. Berkley Corporation 4.13% 15.96K $1.12M
06 CB Chubb Limited 3.44% 2.73K $932.36K
07 KO The Coca-Cola Company 2.53% 7.78K $684.84K
08 NVR NVR, Inc. 2.33% 101 $630.47K
09 HSY The Hershey Company 2.07% 3.33K $561.04K
10 MKL Markel Corporation 2.00% 303 $540.93K
11 LLY Eli Lilly and Company 1.72% 404 $465.58K
12 WM Waste Management, Inc. 1.51% 1.92K $409.38K
14 MSFT Microsoft Corporation 1.48% 808 $402.18K
15 UNP Union Pacific Corporation 1.47% 1.41K $399.43K
16 AAPL Apple Inc. 1.00% 808 $272.3K
18 EQT EQT Corporation 0.92% 4.95K $249.18K
19 CAT Caterpillar Inc. 0.89% 303 $241.97K

SECTOR HOLDINGS

TECHNOLOGY IS 45.59% OF THE FUND
Financial Services 45.59%
Basic Materials 11.83%
Industrials 11.15%
Consumer Defensive 10.80%
Healthcare 7.24%
Technology 6.50%
Consumer Cyclical 4.12%
Energy 1.73%
Communication Services 1.04%

BY REGION

UNITED STATES IS 58.15% OF THE FUND
United States 58.15%
Other 22.09%
Canada 6.70%
Bermuda 5.18%
Switzerland 5.12%
Netherlands 1.24%
Taiwan (Province of China) 0.94%
China 0.57%