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ACIO Holdings Changes

Aptus Collared Income Opportunity ETF
1W: -0.1% 1M: +1.1% 3M: +1.6% YTD: +8.0% 1Y: +8.4% 3Y: +57.0% 5Y: +58.8%
$47.24
+0.28 (+0.60%)
 
Weekly Expected Move ±1.2%
$46 $47 $47 $48 $48
ETF CBOE · AUM $2.4B
Total Changes (90d)
2,961
New Holdings
318
Removed Holdings
290
8113 changes · Page 1 of 163
Date Holding Name Ticker Change Type Old Value New Value
2026-10-02 CMCSA CMCSA New — 131908 shares
2026-10-02 Cash&Other Cash&Other shares 8820326 8516300
2026-10-02 MSFT MSFT shares 270342 268228
2026-10-02 AAPL AAPL shares 530627 526181
2026-10-01 Cash&Other Cash&Other shares 10457765 8820326
2026-10-01 ADM 261016C00090000 ADM 261016C00090000 Removed -340 shares —
2026-10-01 JPM 261009C00360000 JPM 261009C00360000 Removed -250 shares —
2026-10-01 JPM 261016C00370000 JPM 261016C00370000 Removed -350 shares —
2026-10-01 ADM 261218C00090000 ADM 261218C00090000 New — -300 shares
2026-10-01 AAPL 261120C00370000 AAPL 261120C00370000 New — -750 shares
2026-09-28 VIX 261021C00025000 VIX 261021C00025000 shares 20000 10000
2026-09-28 VIX 261021C00050000 VIX 261021C00050000 shares -20000 -10000
2026-09-28 SPXW 260925C08175000 SPXW 260925C08175000 Removed 5700 shares —
2026-09-28 VIX 261118C00050000 VIX 261118C00050000 shares -5000 -10000
2026-09-28 VIX 261118C00025000 VIX 261118C00025000 shares 5000 10000
2026-09-28 Cash&Other Cash&Other shares 10623636 10457765
2026-09-25 BA 261120C00240000 BA 261120C00240000 New — -130 shares
2026-09-25 SLB 261120C00070000 SLB 261120C00070000 Removed -300 shares —
2026-09-25 BRKB 261030C00535000 BRKB 261030C00535000 New — -350 shares
2026-09-25 TRV 261120C00400000 TRV 261120C00400000 New — -80 shares
2026-09-25 CRM 261120C00290000 CRM 261120C00290000 New — -145 shares
2026-09-25 V 261016C00405000 V 261016C00405000 Removed -600 shares —
2026-09-25 PGR 261009C00240000 PGR 261009C00240000 Removed -300 shares —
2026-09-25 FANG 261016C00210000 FANG 261016C00210000 Removed -150 shares —
2026-09-25 FANG 261016C00220000 FANG 261016C00220000 Removed -300 shares —
2026-09-25 CRM 261120C00330000 CRM 261120C00330000 Removed -145 shares —
2026-09-25 CVX 261016C00230000 CVX 261016C00230000 Removed -200 shares —
2026-09-25 ADP 261016C00310000 ADP 261016C00310000 Removed -100 shares —
2026-09-25 SPX 261120P05950000 SPX 261120P05950000 Removed 3270 shares —
2026-09-25 WELL 261016C00260000 WELL 261016C00260000 Removed -190 shares —
2026-09-25 SPX 261120P07250000 SPX 261120P07250000 Removed 3270 shares —
2026-09-25 SBUX 261120C00125000 SBUX 261120C00125000 Removed -100 shares —
2026-09-25 AAPL 260925C00340000 AAPL 260925C00340000 Removed -750 shares —
2026-09-25 BLK 261120C01240000 BLK 261120C01240000 New — -120 shares
2026-09-25 T 261120C00028000 T 261120C00028000 New — -1300 shares
2026-09-25 SPX 261120P06600000 SPX 261120P06600000 Removed -6540 shares —
2026-09-25 HOOD 261030C00160000 HOOD 261030C00160000 shares -250 -400
2026-09-25 VIX 261118C00025000 VIX 261118C00025000 New — 5000 shares
2026-09-25 CVX 261218C00230000 CVX 261218C00230000 New — -200 shares
2026-09-25 SBUX 261120C00110000 SBUX 261120C00110000 New — -300 shares
2026-09-25 SPX 261120P06150000 SPX 261120P06150000 New — 3270 shares
2026-09-25 ABT 261120C00120000 ABT 261120C00120000 New — -350 shares
2026-09-25 CTAS 261016C00215000 CTAS 261016C00215000 New — -250 shares
2026-09-25 FANG 261120C00210000 FANG 261120C00210000 New — -200 shares
2026-09-25 SPX 261120P07350000 SPX 261120P07350000 New — 3270 shares
2026-09-25 ELV 261016C00440000 ELV 261016C00440000 New — -100 shares
2026-09-25 BKNG 261120C00200000 BKNG 261120C00200000 New — -150 shares
2026-09-25 DIS 261016C00110000 DIS 261016C00110000 New — -300 shares
2026-09-25 VIX 261118C00050000 VIX 261118C00050000 New — -5000 shares
2026-09-25 V 261120C00405000 V 261120C00405000 New — -300 shares
1 2 3 ... 163 Next →

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms