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CDC Holdings Changes

VictoryShares US EQ Income Enhanced Volatility Wtd ETF
1W: -0.9% 1M: -6.2% 3M: -4.7% YTD: +8.6% 1Y: +8.9% 3Y: +40.2% 5Y: +28.6%
$71.86
+0.18 (+0.25%)
 
Weekly Expected Move ±1.1%
$70 $71 $72 $73 $73
ETF NASDAQ · AUM $677.9M
Total Changes (90d)
509
New Holdings
20
Removed Holdings
20
2623 changes · Page 1 of 53
Date Holding Name Ticker Change Type Old Value New Value
2026-09-21 0Y6X.L 0Y6X.L shares 93792 86562
2026-09-21 SBUX SBUX Removed 61832 shares —
2026-09-21 STZ STZ shares 35822 46249
2026-09-21 D D Removed 144984 shares —
2026-09-21 EOG EOG shares 55798 43504
2026-09-21 CG CG shares 89452 104927
2026-09-21 TFC TFC shares 151961 161791
2026-09-21 OWL OWL shares 384666 331187
2026-09-21 RF RF shares 240864 275074
2026-09-21 WMG WMG shares 214242 190232
2026-09-21 VNOM VNOM New — 154070 shares
2026-09-21 SJM SJM New — 49138 shares
2026-09-21 ZTS ZTS New — 64464 shares
2026-09-21 WMB WMB shares 97787 108274
2026-09-21 GPC GPC shares 48909 39168
2026-09-21 HSY HSY New — 38489 shares
2026-09-21 KR KR New — 113852 shares
2026-09-21 SNA SNA New — 24780 shares
2026-09-21 SYY SYY New — 81389 shares
2026-09-21 MCD MCD New — 38335 shares
2026-09-21 CME CME New — 26238 shares
2026-09-21 DTM DTM New — 66335 shares
2026-09-21 PPG PPG New — 53158 shares
2026-09-21 HON HON New — 31790 shares
2026-09-21 LMT LMT New — 11319 shares
2026-09-21 SRE SRE New — 114801 shares
2026-09-21 TSCO TSCO New — 158498 shares
2026-09-21 HAS HAS New — 62794 shares
2026-09-21 BG BG New — 55780 shares
2026-09-21 LVS LVS New — 136917 shares
2026-09-21 STT STT Removed 52429 shares —
2026-09-21 WSO WSO Removed 13669 shares —
2026-09-21 MRK MRK Removed 50043 shares —
2026-09-21 KO KO Removed 131912 shares —
2026-09-21 GIS GIS Removed 158837 shares —
2026-09-21 CNA CNA Removed 189042 shares —
2026-09-21 HRL HRL Removed 233145 shares —
2026-09-21 QCOM QCOM Removed 36475 shares —
2026-09-21 MCHP MCHP New — 51460 shares
2026-09-21 TXN TXN Removed 23621 shares —
2026-09-21 FNF FNF Removed 127015 shares —
2026-09-21 BF-B BF-B Removed 180061 shares —
2026-09-21 AMGN AMGN Removed 15224 shares —
2026-09-21 0U96.L 0U96.L Removed 21038 shares —
2026-09-21 DKS DKS Removed 23281 shares —
2026-09-21 UNH UNH Removed 13554 shares —
2026-09-21 CLX CLX Removed 58310 shares —
2026-09-21 ADP ADP Removed 37947 shares —
2026-09-21 PSX PSX Removed 39589 shares —
2026-09-21 PAG PAG New — 31307 shares
1 2 3 ... 53 Next →

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