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First Trust BuyWrite Income ETF Holdings

FTHI was created on 2014-01-06 by First Trust. The fund's investment portfolio concentrates primarily on total market equity. The ETF currently has 1133.93m in AUM and 228 holdings. FTHI is an actively managed portfolio of US-listed stocks, with an overlay of short calls on the S&P 500.

Last Updated: 4 days, 22 hours ago

Last reported holdings - First Trust BuyWrite Income ETF

Ticker Name Est. Value
None
Dreyfus Govt Cm Inst 289 $76.8 million
MSFT
Microsoft Corp $62.8 million
NVDA
NVIDIA Corp $60.2 million
AAPL
Apple Inc $60.2 million
AMZN
Amazon.com Inc $37.0 million
META
Meta Platforms Inc Class A $31.4 million
JNJ
Johnson & Johnson $23.8 million
AVGO
Broadcom Inc $23.6 million
BRK.B
Berkshire Hathaway Inc Class B $22.7 million
GOOGL
Alphabet Inc Class A $21.9 million
JPM
JPMorgan Chase & Co $17.5 million
GOOG
Alphabet Inc Class C $17.3 million
LLY
Eli Lilly and Co $16.1 million
V
Visa Inc Class A $14.0 million
CCEP
Coca-Cola Europacific Partners PLC $13.7 million
TSLA
Tesla Inc $13.2 million
NFLX
Netflix Inc $11.9 million
MA
Mastercard Inc Class A $11.4 million
CSCO
Cisco Systems Inc $10.7 million
COST
Costco Wholesale Corp $10.5 million
SAP
SAP SE ADR $10.3 million
MO
Altria Group Inc $10.0 million
XOM
Exxon Mobil Corp $9.7 million
SLG
SL Green Realty Corp $9.5 million
WMT
Walmart Inc $9.3 million
MCD
McDonald's Corp $9.0 million
PG
Procter & Gamble Co $8.8 million
PLTR
Palantir Technologies Inc Ordinary Shares - Class A $8.7 million
HD
The Home Depot Inc $8.5 million
VST
Vistra Corp $8.3 million
ABBV
AbbVie Inc $8.1 million
MDLZ
Mondelez International Inc Class A $8.0 million
JXN
Jackson Financial Inc $7.9 million
UL
Unilever PLC ADR $7.5 million
CALM
Cal-Maine Foods Inc $7.2 million
BRBR
BellRing Brands Inc Class A $7.2 million
BSX
Boston Scientific Corp $7.2 million
SLM
SLM Corp $7.1 million
IDA
Idacorp Inc $7.1 million
ACN
Accenture PLC Class A $7.0 million
KO
Coca-Cola Co $6.6 million
SFM
Sprouts Farmers Market Inc $6.6 million
NVSN.MX
Novartis AG ADR $6.6 million
GILD
Gilead Sciences Inc $6.4 million
CVLT
CommVault Systems Inc $6.2 million
IDCC
InterDigital Inc $6.1 million
PM
Philip Morris International Inc $6.0 million
BAC
Bank of America Corp $6.0 million
WFC
Wells Fargo & Co $5.9 million
BA
Boeing Co $5.9 million
RACE.MI
Ferrari NV $5.8 million
C
Citigroup Inc $5.8 million
BP
BP PLC ADR $5.7 million
PPC
Pilgrims Pride Corp $5.5 million
EHC
Encompass Health Corp $5.5 million
T
AT&T Inc $5.3 million
BMTA.DE
British American Tobacco PLC ADR $5.1 million
CRM
Salesforce Inc $5.1 million
ORCL
Oracle Corp $5.1 million
INGR
Ingredion Inc $5.0 million
CME
CME Group Inc Class A $5.0 million
RPRX
Royalty Pharma PLC Class A $5.0 million
AM
Antero Midstream Corp $5.0 million
MDT
Medtronic PLC $4.9 million
MMC
Marsh & McLennan Companies Inc $4.9 million
IBM
International Business Machines Corp $4.9 million
LIN
Linde PLC $4.9 million
NOW
ServiceNow Inc $4.8 million
GE
GE Aerospace $4.8 million
USFD
US Foods Holding Corp $4.8 million
BMY
Bristol-Myers Squibb Co $4.7 million
LANC
Lancaster Colony Corp $4.6 million
ISRG
Intuitive Surgical Inc $4.5 million
UBER
Uber Technologies Inc $4.5 million
BDX
Becton Dickinson & Co $4.5 million
HESM
Hess Midstream LP Class A $4.5 million
BKNG
Booking Holdings Inc $4.5 million
VZ
Verizon Communications Inc $4.4 million
SBUX
Starbucks Corp $4.4 million
ASML
ASML Holding NV ADR $4.4 million
FNF
Fidelity National Financial Inc $4.3 million
TMO
Thermo Fisher Scientific Inc $4.3 million
INTU
Intuit Inc $4.3 million
DTM
DT Midstream Inc Ordinary Shares $4.2 million
ABT
Abbott Laboratories $4.2 million
TJX
TJX Companies Inc $4.1 million
RTX
RTX Corp $4.1 million
GS
The Goldman Sachs Group Inc $4.0 million
DUK
Duke Energy Corp $4.0 million
QCOM
Qualcomm Inc $4.0 million
SPOT
Spotify Technology SA $3.9 million
VEEV
Veeva Systems Inc Class A $3.9 million
LOPE
Grand Canyon Education Inc $3.9 million
ITW
Illinois Tool Works Inc $3.8 million
SPGI
S&P Global Inc $3.8 million
ADP
Automatic Data Processing Inc $3.8 million
ALSN
Allison Transmission Holdings Inc $3.8 million
TMUS
T-Mobile US Inc $3.8 million
HLI
Houlihan Lokey Inc Class A $3.8 million
SONY
Sony Group Corp ADR $3.7 million
ARES
Ares Management Corp Ordinary Shares - Class A $3.6 million
TXN
Texas Instruments Inc $3.6 million
AMGN
Amgen Inc $3.5 million
WSO
Watsco Inc Ordinary Shares $3.5 million
MGEE
MGE Energy Inc $3.4 million
HON
Honeywell International Inc $3.4 million
FTI
TechnipFMC PLC $3.4 million
UMBF
UMB Financial Corp $3.4 million
URBN
Urban Outfitters Inc $3.4 million
EWBC
East West Bancorp Inc $3.3 million
DRS
Leonardo DRS Inc $3.2 million
AZN
AstraZeneca PLC ADR $3.2 million
GAP
Gap Inc $3.1 million
UNP
Union Pacific Corp $3.1 million
GGG
Graco Inc $3.1 million
ALK
Alaska Air Group Inc $3.1 million
AMT
American Tower Corp $3.0 million
TD.TO
The Toronto-Dominion Bank $3.0 million
LOW
Lowe's Companies Inc $3.0 million
CVX
Chevron Corp $2.9 million
CAT
Caterpillar Inc $2.8 million
HBC2.DE
HSBC Holdings PLC ADR $2.8 million
CNA
CNA Financial Corp $2.8 million
TTE
TotalEnergies SE ADR $2.7 million
DELL
Dell Technologies Inc Ordinary Shares - Class C $2.7 million
CHKP
Check Point Software Technologies Ltd $2.6 million
BLK
BlackRock Inc $2.6 million
MATX
Matson Inc $2.6 million
AU
Anglogold Ashanti PLC $2.5 million
DECK
Deckers Outdoor Corp $2.5 million
LSCC
Lattice Semiconductor Corp $2.5 million
GEV
GE Vernova Inc $2.4 million
PFGC
Performance Food Group Co $2.4 million
SBRA
Sabra Health Care REIT Inc $2.4 million
WAY
Waystar Holding Corp $2.4 million
NEU
NewMarket Corp $2.3 million
SSNC
SS&C Technologies Holdings Inc $2.3 million
BKU
BankUnited Inc $2.3 million
SO
Southern Co $2.3 million
NET
Cloudflare Inc $2.2 million
KNSL
Kinsale Capital Group Inc $2.1 million
PSTG
Pure Storage Inc Class A $2.1 million
SCCO
Southern Copper Corp $2.0 million
SLVM
Sylvamo Corp Ordinary Shares When Issued $2.0 million
AXP
American Express Co $2.0 million
LOGN.SW
Logitech International SA $2.0 million
EXP
Eagle Materials Inc $2.0 million
PFE
Pfizer Inc $2.0 million
TRI.TO
Thomson Reuters Corp $2.0 million
ONC
BeiGene Ltd ADR $2.0 million
EQIX
Equinix Inc $1.9 million
DOCS
Doximity Inc Class A $1.9 million
TSM
Taiwan Semiconductor Manufacturing Co Ltd ADR $1.9 million
OSIS
OSI Systems Inc $1.9 million
CVBF
CVB Financial Corp $1.9 million
AGI.TO
Alamos Gold Inc Class A $1.9 million
MSI
Motorola Solutions Inc $1.8 million
NVMI
Nova Ltd $1.8 million
ATR
AptarGroup Inc $1.8 million
HOOD
Robinhood Markets Inc Class A $1.8 million
STM
STMicroelectronics NV ADR $1.8 million
VFC
VF Corp $1.8 million
DHT
DHT Holdings Inc $1.8 million
TOL
Toll Brothers Inc $1.8 million
NTES
NetEase Inc ADR $1.8 million
MPLX
MPLX LP Partnership Units $1.7 million
OPCH
Option Care Health Inc $1.7 million
FI
Fiserv Inc $1.7 million
KRC
Kilroy Realty Corp $1.7 million
EDG.DE
Gold Fields Ltd ADR $1.7 million
KAR
Openlane Inc $1.7 million
DBK.DE
Deutsche Bank AG $1.7 million
PGNY
Progyny Inc $1.6 million
PANW
Palo Alto Networks Inc $1.6 million
SLAB
Silicon Laboratories Inc $1.5 million
NBIS
Nebius Group NV Shs Class-A- $1.5 million
PSA
Public Storage $1.5 million
SCHW
Charles Schwab Corp $1.5 million
PEP
PepsiCo Inc $1.4 million
AMAT
Applied Materials Inc $1.4 million
RBRK
Rubrik Inc Class A Shares $1.4 million
None
Cash $1.4 million
NLY
Annaly Capital Management Inc $1.4 million
BROS
Dutch Bros Inc Class A $1.4 million
MELI
MercadoLibre Inc $1.4 million
TKO
TKO Group Holdings Inc $1.4 million
NHI
National Health Investors Inc $1.4 million
RELX
RELX PLC ADR $1.3 million
OKTA
Okta Inc Class A $1.3 million
RBLX
Roblox Corp Ordinary Shares - Class A $1.3 million
XEL
Xcel Energy Inc $1.3 million
BBWI
Bath & Body Works Inc $1.3 million
SFNC
Simmons First National Corp Class A $1.3 million
PINS
Pinterest Inc Class A $1.3 million
PAYX
Paychex Inc $1.3 million
MUSA
Murphy USA Inc $1.3 million
NXT
NEXTracker Inc Ordinary Shares - Class A $1.2 million
VSH
Vishay Intertechnology Inc $1.2 million
WEC
WEC Energy Group Inc $1.2 million
IRTC
iRhythm Technologies Inc $1.2 million
EQH
Equitable Holdings Inc $1.2 million
VNOM
Viper Energy Inc Ordinary Shares - Class A $1.2 million
ROKU
Roku Inc Class A $1.2 million
UGI
UGI Corp $1.2 million
PRMB
Primo Brands Corp Ordinary Shares - Class A $1.2 million
FERG
Ferguson Enterprises Inc $1.2 million
O
Realty Income Corp $1.2 million
CLS.TO
Celestica Inc Ordinary Shares (Subordinate Voting) $1.2 million
MS
Morgan Stanley $1.2 million
BX
Blackstone Inc $1.2 million
WPC
W.P. Carey Inc $1.2 million
DIS
The Walt Disney Co $1.1 million
XPEV
XPeng Inc ADR $1.1 million
PDD
PDD Holdings Inc ADR $1.1 million
CIEN
Ciena Corp $1.1 million
SEDG
SolarEdge Technologies Inc $1.1 million
D
Dominion Energy Inc $1.1 million
COMP
Compass Inc Class A $1.1 million
FUTU
Futu Holdings Ltd ADR $1.0 million
STLAM.MI
Stellantis NV $998031
BB.TO
BlackBerry Ltd $961799
HIMX
Himax Technologies Inc ADR $915376
ALGM
Allegro Microsystems Inc Ordinary Shares $913387
NVO
Novo Nordisk AS ADR $889239
CL
Colgate-Palmolive Co $723498
AJG
Arthur J. Gallagher & Co $673922
SYK
Stryker Corp $577522
SPG
Simon Property Group Inc $521046
None
Spx Us 05/16/25 C5600 $-1.4 million
None
Spx Us 05/16/25 C5550 $-2.0 million
None
Spx Us 05/16/25 C5500 $-2.5 million
None
Spx Us 06/20/25 C5550 $-3.5 million
None
Spx Us 05/16/25 C5350 $-4.4 million
None
Spx Us 06/20/25 C5450 $-4.5 million
None
Spx Us 05/16/25 C5200 $-6.1 million
None
Spx Us 05/16/25 C5450 $-6.7 million

Recent Changes - First Trust BuyWrite Income ETF

Date Ticker Name Change (Shares)
2025-04-02
PTVE
Pactiv Evergreen Inc Ordinary Shares -635,339
2025-03-06
REYN
Reynolds Consumer Products Inc Ordinary Shares -21,664
2025-03-06
IIPR
Innovative Industrial Properties Inc -9,662
2025-03-06
CRNX
Crinetics Pharmaceuticals Inc -144,262
2024-10-02
BLK
BlackRock Inc -2,165
2024-10-02
BLK
Blackrock Fdg 2,165
2024-09-04
VGR
Vector Group Ltd -8,185
2024-09-04
ADI
Analog Devices Inc -1,793
2024-09-04
LPLA
LPL Financial Holdings Inc -1,034
2024-09-04
CHRD
Chord Energy Corp Ordinary Shares - New -3,196
2024-09-04
PBF
PBF Energy Inc Class A -15,488
2024-09-04
AMX
America Movil SAB de CV ADR - Series B -12,790
2024-09-04
LECO
Lincoln Electric Holdings Inc -2,034
2024-09-04
ARCH
Arch Resources Inc Class A -4,512
2024-09-04
DIS
The Walt Disney Co -1,479
2024-09-04
UPS
United Parcel Service Inc Class B -3,036
2024-09-04
STLAM.MI
Stellantis NV -53,727
2024-09-04
CXW
CoreCivic Inc -3,362
2024-08-28
MCHP
Microchip Technology Inc -8,232
2024-08-28
BXMT
Blackstone Mortgage Trust Inc A 24,856
2024-08-28
DINO
HF Sinclair Corp -6,142
2024-08-28
LADR
Ladder Capital Corp Class A 12,790
2024-08-28
PTVE
Pactiv Evergreen Inc Ordinary Shares 12,060
2024-08-28
INSM
Insmed Inc 39,641
2024-05-22
BX
Blackstone Inc 5,359
2024-05-22
MMC
Marsh & McLennan Companies Inc 13,073
2024-05-22
BDX
Becton Dickinson & Co 3,207
2024-05-22
DOX
Amdocs Ltd -26,793
2024-05-22
INTC
Intel Corp -56,227
2024-05-22
SPG
Simon Property Group Inc 2,125
2024-05-22
PLD
Prologis Inc -13,304
2024-05-22
MO
Altria Group Inc 115,226
2024-05-22
GIS
General Mills Inc 11,971
2024-05-22
CCI
Crown Castle Inc 37,614
2024-05-22
UPS
United Parcel Service Inc Class B 23,661
2024-05-22
ADP
Automatic Data Processing Inc 8,690
2024-05-22
CME
CME Group Inc Class A 12,805
2024-05-22
T
AT&T Inc 111,551
2024-05-22
CRI
Carter's Inc -24,951
2024-05-22
APLE
Apple Hospitality REIT Inc -103,966
2024-05-22
TMUS
T-Mobile US Inc 9,179
2024-05-22
ELV
Elevance Health Inc 2,020
2024-05-22
MCD
McDonald's Corp -10,346
2024-05-22
ACN
Accenture PLC Class A -9,064
2024-05-22
AMT
American Tower Corp 10,757
2024-05-22
O
Realty Income Corp 30,749
2024-05-22
LMT
Lockheed Martin Corp 3,885
2024-05-22
TSLA
Tesla Inc 28,174
2024-05-22
MDLZ
Mondelez International Inc Class A 12,205
2024-05-22
ITW
Illinois Tool Works Inc 10,503
2024-05-22
ANDE
Andersons Inc -15,645
2024-05-22
MDT
Medtronic PLC 40,489
2024-05-22
CHKP
Check Point Software Technologies Ltd -9,286
2024-05-22
ELS
Equity Lifestyle Properties Inc -22,918
2024-05-22
WMG
Warner Music Group Corp Ordinary Shares - Class A -58,789
2024-05-22
LRCX
Lam Research Corp -1,832
2024-05-22
CMCSA
Comcast Corp Class A -58,040
2024-05-22
ADI
Analog Devices Inc 12,309
2024-05-22
GILD
Gilead Sciences Inc 37,138
2024-05-22
COTY
Coty Inc Class A -164,370
2024-05-22
UBER
Uber Technologies Inc -29,021
2024-05-22
APLS
Apellis Pharmaceuticals Inc -124,626
2024-05-22
CSCO
Cisco Systems Inc -56,483
2024-05-22
AJG
Arthur J. Gallagher & Co 1,229
2024-05-22
TGT
Target Corp 5,431
2024-05-22
SYK
Stryker Corp 932
2024-05-22
ABT
Abbott Laboratories -24,870
2024-05-22
EXR
Extra Space Storage Inc 6,114
2024-05-22
JNJ
Johnson & Johnson -35,036
2024-05-22
RCI.B.TO
Rogers Communications Inc Shs -B- Non-Voting -69,261
2024-05-22
CVI
CVR Energy Inc -82,823
2024-05-22
EGP
EastGroup Properties Inc -10,441
2024-05-22
NKE
Nike Inc Class B -17,935
2024-05-22
SEIC
SEI Investments Co -21,743
2024-05-22
XEL
Xcel Energy Inc 19,378
2024-05-22
PSA
Public Storage 6,441
2024-05-22
BLK
BlackRock Inc 1,571
2024-05-22
NEE
NextEra Energy Inc 22,083
2024-05-22
PAYX
Paychex Inc 12,205
2024-05-22
SO
Southern Co 15,376
2024-05-22
MSI
Motorola Solutions Inc 2,392
2024-05-22
D
Dominion Energy Inc 15,014
2024-05-22
MCHP
Microchip Technology Inc 8,965
2024-05-22
WEC
WEC Energy Group Inc 10,996
2024-05-22
EQIX
Equinix Inc 1,530
2024-05-22
CL
Colgate-Palmolive Co 15,530
2024-05-22
DUK
Duke Energy Corp 19,134
2024-05-22
BMY
Bristol-Myers Squibb Co 62,976
2024-03-17
TSLA
Tesla Inc -427
2024-03-12
THS
Treehouse Foods Inc -28,321
2024-03-12
RWT
Redwood Trust Inc -90,725
2024-03-12
SBGI
Sinclair Inc Ordinary Shares - Class A -36,478
2024-03-12
IRWD
Ironwood Pharmaceuticals Inc Class A -164,470
2024-03-12
UNFI
United Natural Foods Inc -53,113
2024-03-12
CNA
CNA Financial Corp 28,560
2024-03-12
LNG
Cheniere Energy Inc -4,034
2024-03-12
SBUX
Starbucks Corp -13,657
2024-03-12
FTDR
Frontdoor Inc -43,501
2024-03-12
MDLZ
Mondelez International Inc Class A -16,826
2024-03-12
NUS
Nu Skin Enterprises Inc Class A -44,581
2024-03-12
IDA
Idacorp Inc 29,053
2024-03-12
DLB
Dolby Laboratories Inc Class A -18,177
2024-03-12
MUR
Murphy Oil Corp -34,197
2024-03-12
BMY
Bristol-Myers Squibb Co -26,359
2024-03-12
BXMT
Blackstone Mortgage Trust Inc A -66,986
2024-03-12
EQC
Equity Commonwealth -67,622
2024-03-12
GILD
Gilead Sciences Inc -15,864
2024-03-12
SMPL
The Simply Good Foods Co -34,353
2024-03-12
DBX
Dropbox Inc Class A -45,605
2024-03-12
VOD
Vodafone Group PLC ADR -83,775
2024-03-12
LPG
Dorian LPG Ltd -39,279
2024-03-12
MMC
Marsh & McLennan Companies Inc -7,560
2024-03-12
OGS
ONE Gas Inc -7,564
2024-03-12
VOYA
Voya Financial Inc -21,217
2024-03-12
PAA
Plains All American Pipeline LP -96,265
2024-03-12
T
AT&T Inc -88,847
2024-03-12
JNJ
Johnson & Johnson 28,860
2024-03-12
JJSF
J&J Snack Foods Corp -3,962
2024-03-12
UBER
Uber Technologies Inc 23,902
2024-03-12
LRCX
Lam Research Corp 1,544
2024-03-12
DOX
Amdocs Ltd 22,060
2024-03-12
GS
The Goldman Sachs Group Inc 3,223
2024-03-12
MGEE
MGE Energy Inc 17,411
2024-03-12
PLD
Prologis Inc 10,937
2024-03-12
AMN
AMN Healthcare Services Inc -7,126
2024-03-12
CHKP
Check Point Software Technologies Ltd 7,655
2024-03-12
SEIC
SEI Investments Co 17,934
2024-03-12
PFE
Pfizer Inc 60,478
2024-03-12
ISRG
Intuitive Surgical Inc 4,078
2024-03-12
OGE
OGE Energy Corp -43,033
2024-03-12
IONS
Ionis Pharmaceuticals Inc -40,603
2024-03-12
PDCO
Patterson Companies Inc -62,479
2024-03-12
ATR
AptarGroup Inc 8,804
2024-03-12
TSLA
Tesla Inc 427
2024-03-11
TSLA
Tesla Inc -27,468
2023-11-20
EQH
Equitable Holdings Inc -55,028
2023-11-20
KVUE
Kenvue Inc -81,730
2023-11-20
NXST
Nexstar Media Group Inc -10,187
2023-11-20
LNG
Cheniere Energy Inc 2,785
2023-11-20
OGS
ONE Gas Inc 5,188
2023-11-20
JEF
Jefferies Financial Group Inc -47,748
2023-11-20
EQNR
Equinor ASA ADR -41,546
2023-11-20
AMN
AMN Healthcare Services Inc 4,886
2023-11-20
REYN
Reynolds Consumer Products Inc Ordinary Shares 12,409
2023-11-20
SFM
Sprouts Farmers Market Inc 7,819
2023-11-20
RITM
Rithm Capital Corp -133,050
2023-11-20
DINO
HF Sinclair Corp 5,904
2023-11-20
PFE
Pfizer Inc -44,441
2023-11-20
OGN
Organon & Co Ordinary Shares 33,397
2023-11-20
RWT
Redwood Trust Inc 62,159
2023-11-20
SBGI
Sinclair Inc Ordinary Shares - Class A 24,988
2023-11-20
CXW
CoreCivic Inc 32,616
2023-11-20
AFG
American Financial Group Inc -11,135
2023-11-20
NHI
National Health Investors Inc 6,647
2023-11-20
VNOM
Viper Energy Inc Ordinary Shares - Class A 14,507
2023-11-20
VGR
Vector Group Ltd 32,262
2023-11-20
RELX
RELX PLC ADR -31,550
2023-11-20
PFGC
Performance Food Group Co 9,310
2023-11-20
EQC
Equity Commonwealth 46,326
2023-11-20
UNFI
United Natural Foods Inc 36,400
2023-11-20
IDCC
InterDigital Inc 9,821
2023-11-20
IRWD
Ironwood Pharmaceuticals Inc Class A 112,653
2023-11-20
PPC
Pilgrims Pride Corp 35,200
2023-11-20
NUS
Nu Skin Enterprises Inc Class A 30,572
2023-11-20
HESM
Hess Midstream LP Class A 40,730
2023-11-20
PDCO
Patterson Companies Inc 42,795
2023-11-20
AM
Antero Midstream Corp 98,146
2023-11-20
BAC
Bank of America Corp 53,167
2023-11-20
CRNX
Crinetics Pharmaceuticals Inc 62,598
2023-11-20
CVI
CVR Energy Inc 48,527
2023-11-20
QCOM
Qualcomm Inc 9,265
2023-11-20
MUSA
Murphy USA Inc 1,379
2023-11-20
VLTO
Veralto Corp -1,783
2023-11-20
AGIO
Agios Pharmaceuticals Inc -17,325
2023-11-20
PBF
PBF Energy Inc Class A 58,263
2023-11-20
JXN
Jackson Financial Inc 46,969
2023-11-20
STNG
Scorpio Tankers Inc 28,959
2023-11-20
FLO
Flowers Foods Inc 76,998
2023-11-20
MEDP
Medpace Holdings Inc 5,287
2023-11-20
IONS
Ionis Pharmaceuticals Inc 27,842
2023-11-20
DIS
The Walt Disney Co 14,249
2023-11-20
VZ
Verizon Communications Inc 35,868
2023-11-20
LPG
Dorian LPG Ltd 26,924
2023-11-20
NKE
Nike Inc Class B 10,176
2023-11-20
RTX
RTX Corp 12,470
2023-11-20
T
AT&T Inc 60,859
2023-11-20
SMPL
The Simply Good Foods Co 23,544
2023-11-20
BMY
Bristol-Myers Squibb Co 18,056
2023-11-20
GILD
Gilead Sciences Inc 10,856
2023-11-20
THS
Treehouse Foods Inc 19,394
2023-11-20
ALC.SW
Alcon Inc -5,477
2023-11-20
OLN
Olin Corp -7,966
2023-11-20
MNRO
Monro Inc -14,036
2023-11-20
ANDE
Andersons Inc 8,912
2023-11-20
SITE
SiteOne Landscape Supply Inc -2,919
2023-11-20
KAR
Openlane Inc 28,841
2023-11-20
HIW
Highwoods Properties Inc -20,916
2023-11-20
SFNC
Simmons First National Corp Class A 23,128
2023-11-20
MED
Medifast Inc -5,500
2023-11-20
AY
Atlantica Sustainable Infrastructure PLC -21,718