Stock Taper
EXCHANGE TRADED FUND

SWP

Manager Directed Portfolios - SWP Growth & Income ETF
$28.24 ▲ 1.13%
+$0.32 TODAY

FUND FACTS

Manager SWP Investment Management
Assets $146.71M
Expense ratio 0.99%
Inception Sep 24, 2024
Asset class Equity
Holdings 41
Volume 4.04K
Avg volume 8.38K

ABOUT THIS FUND

SWPs objective is to provide long-term capital appreciation with the secondary goal of providing income. It does so by actively investing in income-producing companies in the US equity market. The fund focuses on companies that have consistent profit margins and earnings growth while providing a history of paying stable dividends. The securities are actively managed but are selected using macroeconomic, fundamental, and technical analysis. The fund will primarily hold US companies, but it may invest in foreign issuers including ADRs and foreign securities traded on US exchanges. It may also hold companies of any size but is expected to substantially invest in large-caps. Note that the fund may tilt to certain sectors due to greater value stock exposure. Approximately 30-70 stocks will comprise the fund, all capped at 10% in weighting.

PRICE

$28.24 ▲ UP 1.13% (+$0.32)
$28.00$28.10$28.209:30 AM10:15 AM11:00 AM11:45 AM12:30 PM1:15 PM2:00 PM28.24

HOLDINGS

TOP 20 OF 41 · 60.84% OF THE FUND
RANK STOCK WEIGHT SHARES VALUE
01 MSFT Microsoft Corporation 5.34% 15.86K $7.83M
02 AAPL Apple Inc. 4.79% 20.92K $7.03M
03 NVDA NVIDIA Corporation 4.29% 28.3K $6.29M
04 AVGO Broadcom Inc. 3.81% 15.67K $5.59M
05 META Meta Platforms, Inc. 3.66% 8.08K $5.37M
06 GOOGL Alphabet Inc. 3.61% 15.17K $5.3M
09 JPM JPMorgan Chase & Co. 2.85% 11.95K $4.18M
10 PLD Prologis, Inc. 2.67% 29.07K $3.92M
11 BX Blackstone Inc. 2.60% 30.5K $3.81M
12 URI United Rentals, Inc. 2.57% 3.72K $3.77M
13 ABBV AbbVie Inc. 2.40% 13.35K $3.52M
14 EMR Emerson Electric Co. 2.37% 23.15K $3.47M
15 AZN AstraZeneca PLC 2.35% 20.76K $3.45M
16 C Citigroup Inc. 2.27% 25.25K $3.33M
17 LLY Eli Lilly and Company 2.23% 2.84K $3.28M
19 RTX RTX Corporation 2.16% 16.35K $3.17M
20 MDT Medtronic plc 2.15% 34.2K $3.15M

SECTOR HOLDINGS

TECHNOLOGY IS 23.57% OF THE FUND
Technology 23.57%
Financial Services 16.28%
Healthcare 13.27%
Industrials 10.65%
Communication Services 8.41%
Consumer Cyclical 7.84%
Consumer Defensive 5.86%
Energy 4.35%
Real Estate 4.33%
Basic Materials 2.03%
Utilities 1.96%
Cash & Others 1.44%

BY REGION

UNITED STATES IS 89.15% OF THE FUND
United States 89.15%
Canada 3.03%
United Kingdom 2.29%
Ireland 2.16%
Taiwan 1.97%
Other 1.39%