Stock Taper
EXCHANGE TRADED FUND

PRMR

PeakShares RMR Prime Equity ETF
$29.25 ▲ 0.79%
+$0.23 TODAY

FUND FACTS

Manager PeakShares
Assets $93.11M
Expense ratio 2.88%
Inception Dec 8, 2025
Asset class Equity
Holdings 50
Volume 19.05K
Avg volume 15.98K

ABOUT THIS FUND

PRMR endeavors to provide sector allocation similar to the S&P 500, with an ultimate objective of surpassing its performance. The fund typically maintains a focused portfolio of 20 to 80 holdings, strategically blending established S&P 500 constituents with handpicked ETFs and companies not included in the index. This diverse approach is utilized to leverage market strengths, prudently manage associated risks, and remain responsive to shifting market conditions. Its investment selection process is comprehensive, marrying a top-down assessment of macroeconomic and sector trends with rigorous bottom-up company analysis. A sophisticated multi-factor model further informs security choices, weighing aspects such as valuation, growth prospects, quality indicators, and market momentum. Additionally, the strategy incorporates both fundamental and technical analysis, bolstered by quantitative models that scrutinize financial robustness, earnings potential, industry dynamics, and leadership quality. Although primarily concentrated in U.S. large-capitalization equities, the fund retains the flexibility to invest in companies of any market size. Sector weightings undergo a quarterly evaluation. Individual holdings are under constant review and are adjusted if valuations become unappealing, underlying fundamentals deteriorate, or more attractive investment opportunities emerge.

PRICE

$29.25 ▲ UP 0.79% (+$0.23)
$29.10$29.17$29.259:31 AM10:36 AM11:40 AM12:45 PM1:49 PM2:54 PM3:58 PM29.25

HOLDINGS

TOP 20 OF 50 · 41.24% OF THE FUND
RANK STOCK WEIGHT SHARES VALUE
03 CSCO Cisco Systems, Inc. 2.13% 16.8K $1.97M
04 DELL Dell Technologies Inc. 2.09% 3.35K $1.94M
05 AVGO Broadcom Inc. 2.09% 5.15K $1.94M
06 GLW Corning Inc 2.07% 11.78K $1.92M
07 TSLA Tesla, Inc. 2.07% 5.09K $1.92M
08 ANET Arista Networks, Inc. 2.06% 8.88K $1.92M
09 TJX The TJX Companies, Inc. 2.05% 13.74K $1.91M
11 AMZN Amazon.com, Inc. 2.04% 7.27K $1.89M
13 WMT Walmart Inc. 2.03% 17.4K $1.88M
14 MU Micron Technology, Inc. 2.03% 1.73K $1.88M
15 MO Altria Group, Inc. 2.02% 27K $1.87M
16 NVDA NVIDIA Corporation 2.02% 7.88K $1.87M
18 LLY Eli Lilly and Company 2.01% 1.57K $1.87M
19 PANW Palo Alto Networks, Inc. 2.01% 4.6K $1.86M
20 CVS CVS Health Corp. 2.00% 21.15K $1.86M

SECTOR HOLDINGS

TECHNOLOGY IS 1.00% OF THE FUND

BY REGION

UNITED STATES IS 99.79% OF THE FUND
United States 99.79%
— Other 0.21%