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CCSO Holdings Changes

Carbon Collective Climate Solutions U.S. Equity ETF
1W: -0.6% 1M: -4.1% 3M: -9.8% YTD: -1.7% 1Y: -1.1% 3Y: +38.1%
$24.83
+0.30 (+1.24%)
 
Weekly Expected Move ±2.4%
$24 $24 $25 $25 $26
ETF NASDAQ · AUM $45.8M
Total Changes (90d)
8
New Holdings
5
Removed Holdings
3
127 changes · Page 1 of 3
Date Holding Name Ticker Change Type Old Value New Value
2026-08-24 NIO NIO New — 73127 shares
2026-08-24 MYRG MYRG New — 568 shares
2026-08-06 MTUS MTUS New — 1357 shares
2026-08-06 TMST TMST Removed 1357 shares —
2026-07-08 ALCC ALCC Removed 4867 shares —
2026-07-08 LCID LCID New — 105586 shares
2026-07-08 LCHD LCHD Removed 105586 shares —
2026-07-08 OKLO OKLO New — 4867 shares
2026-07-01 DOCU DOCU New — 7220 shares
2026-07-01 VMI VMI New — 706 shares
2026-07-01 NXGPF NXGPF New — 28015 shares
2026-07-01 EVEX EVEX New — 9495 shares
2026-07-01 ZK ZK New — 8888 shares
2026-07-01 HUBB HUBB New — 1897 shares
2026-07-01 IPX IPX New — 998 shares
2026-07-01 OTLY OTLY New — 958 shares
2026-07-01 AUDC AUDC New — 949 shares
2026-07-01 XPEV XPEV New — 33563 shares
2026-07-01 LOT LOT New — 21288 shares
2026-07-01 FSLR FSLR New — 3798 shares
2026-07-01 TMST TMST New — 1357 shares
2026-07-01 ACHR ACHR New — 19047 shares
2026-07-01 LI LI New — 40871 shares
2026-07-01 KULR KULR New — 1260 shares
2026-07-01 SCCO SCCO New — 16285 shares
2026-07-01 LQDT LQDT New — 1098 shares
2026-07-01 WLDN WLDN New — 461 shares
2026-07-01 FF FF New — 1393 shares
2026-07-01 TGLS TGLS New — 1645 shares
2026-07-01 EOSE EOSE New — 8015 shares
2026-07-01 TMC TMC New — 10493 shares
2026-07-01 BLD BLD New — 1046 shares
2026-07-01 EGHT EGHT New — 4184 shares
2026-07-01 VFS VFS New — 82775 shares
2026-07-01 UUUU UUUU New — 7391 shares
2026-07-01 MTAL MTAL New — 2889 shares
2026-07-01 SGML SGML New — 5540 shares
2026-07-01 LAR LAR New — 5602 shares
2026-07-01 STLD STLD New — 5261 shares
2026-07-01 RERE RERE New — 6903 shares
2026-07-01 CSIQ CSIQ New — 1892 shares
2026-07-01 AMPX AMPX New — 4082 shares
2026-07-01 BMI BMI New — 1046 shares
2026-07-01 PLPC PLPC New — 155 shares
2026-07-01 OC OC New — 3011 shares
2026-07-01 LEU LEU New — 555 shares
2026-07-01 LYTS LYTS New — 963 shares
2026-07-01 MVST MVST New — 11317 shares
2026-07-01 RIVN RIVN New — 39865 shares
2026-07-01 GEV GEV New — 4464 shares

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