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CSSD Holdings Changes

Cohen & Steers Short Duration Preferred and Income Active ETF
1W: -0.5% 1M: -1.9% 3M: -2.8% YTD: -1.7%
$24.54
+0.07 (+0.27%)
 
Weekly Expected Move ±0.5%
$24 $24 $25 $25 $25
ETF AMEX · AUM $369.3M
Total Changes (90d)
10
New Holdings
4
Removed Holdings
2
20 changes · Page 1 of 1
Date Holding Name Ticker Change Type Old Value New Value
2026-10-01 MS-PE MS-PE New — 5500 shares
2026-09-18 TMUSL TMUSL New — 8000 shares
2026-09-14 LNC-PD LNC-PD Removed 7236 shares —
2026-08-19 FGN FGN shares 4000 3637
2026-08-14 MS-PQ MS-PQ New — 1667 shares
2026-08-12 LNC-PD LNC-PD shares 236 7236
2026-08-03 FITB-PM FITB-PM New — 5200 shares
2026-08-03 FITBM FITBM Removed 5200 shares —
2026-07-13 APOS APOS shares 19325 21450
2026-07-09 APOS APOS shares 17988 19325
2026-07-02 RZC RZC New — 23377 shares
2026-07-02 FITBM FITBM New — 5200 shares
2026-07-02 AQNB AQNB New — 4591 shares
2026-07-02 APOS APOS New — 17988 shares
2026-07-02 ATH-PE ATH-PE New — 2900 shares
2026-07-02 FGN FGN New — 4000 shares
2026-07-02 MTB-PJ MTB-PJ New — 9831 shares
2026-07-02 RF-PF RF-PF New — 10007 shares
2026-07-02 LNC-PD LNC-PD New — 236 shares
2026-07-02 MS-PF MS-PF New — 2100 shares

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