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HECO Holdings Changes

State Street Galaxy Hedged Digital Asset Ecosystem ETF
1W: -3.9% 1M: +6.7% 3M: -3.2% YTD: +52.1% 1Y: +52.7%
$64.39
-2.35 (-3.53%)
 
Weekly Expected Move ±5.5%
$57 $61 $64 $68 $72
ETF NASDAQ · AUM $87.0M
Total Changes (90d)
279
New Holdings
100
Removed Holdings
107
687 changes · Page 1 of 14
Date Holding Name Ticker Change Type Old Value New Value
2026-10-02 FPS261016P00035000 FPS261016P00035000 New — 5000 shares
2026-10-02 BLK261016P00990000 BLK261016P00990000 New — 600 shares
2026-10-02 CIFR261016P00016000 CIFR261016P00016000 Removed 50000 shares —
2026-10-02 CIFR261016P00013000 CIFR261016P00013000 Removed -50000 shares —
2026-09-28 JPM261016P00335000 JPM261016P00335000 Removed 10000 shares —
2026-09-28 JPM261016P00320000 JPM261016P00320000 New — 10000 shares
2026-09-28 MS261016P00185000 MS261016P00185000 New — 6500 shares
2026-09-28 MS261016P00195000 MS261016P00195000 Removed 6500 shares —
2026-09-24 CIFR261016C00024000 CIFR261016C00024000 New — -50000 shares
2026-09-24 CIFR261016P00013000 CIFR261016P00013000 New — -50000 shares
2026-09-24 CIFR261016P00016000 CIFR261016P00016000 New — 50000 shares
2026-09-22 PANW260918C00360000 PANW260918C00360000 Removed -5000 shares —
2026-09-22 PANW PANW shares 5192 4983
2026-09-22 CRWD260918C00220000 CRWD260918C00220000 Removed -8000 shares —
2026-09-22 BLK260918C01220000 BLK260918C01220000 Removed -500 shares —
2026-09-22 CRWD260918P00175000 CRWD260918P00175000 Removed 8000 shares —
2026-09-22 NVT260918C00175000 NVT260918C00175000 Removed -5000 shares —
2026-09-22 CRWD260918P00155000 CRWD260918P00155000 Removed -8000 shares —
2026-09-22 PANW260918P00320000 PANW260918P00320000 Removed 5000 shares —
2026-09-22 PANW260918P00290000 PANW260918P00290000 Removed -5000 shares —
2026-09-22 CRWD261016P00220000 CRWD261016P00220000 New — 8500 shares
2026-09-22 CRWD261016P00195000 CRWD261016P00195000 New — -8500 shares
2026-09-22 PANW261016P00330000 PANW261016P00330000 New — 5000 shares
2026-09-22 PANW261016P00300000 PANW261016P00300000 New — -5000 shares
2026-09-22 CRWD CRWD shares 10499 9297
2026-09-18 MSFT261016P00455000 MSFT261016P00455000 New — -9000 shares
2026-09-18 JPM261016P00335000 JPM261016P00335000 New — 10000 shares
2026-09-18 MS260918C00230000 MS260918C00230000 Removed -6500 shares —
2026-09-18 BNY260918C00170000 BNY260918C00170000 Removed -9500 shares —
2026-09-18 HOOD260918P00085000 HOOD260918P00085000 Removed -20000 shares —
2026-09-18 HOOD260918P00100000 HOOD260918P00100000 Removed 20000 shares —
2026-09-18 MSFT260918C00510000 MSFT260918C00510000 Removed -9000 shares —
2026-09-18 TSM260918C00470000 TSM260918C00470000 Removed -3000 shares —
2026-09-18 PURR260918C00013000 PURR260918C00013000 Removed -20000 shares —
2026-09-18 HOOD260918C00135000 HOOD260918C00135000 Removed -20000 shares —
2026-09-18 APH260918P00072500 APH260918P00072500 Removed 12000 shares —
2026-09-18 JPM261016C00370000 JPM261016C00370000 New — -10000 shares
2026-09-18 JPM261016P00315000 JPM261016P00315000 New — -10000 shares
2026-09-18 MA261016C00595000 MA261016C00595000 New — -2800 shares
2026-09-18 APH261016C00085000 APH261016C00085000 New — -12000 shares
2026-09-18 APH261016P00072500 APH261016P00072500 New — 12000 shares
2026-09-18 BNY261016C00165000 BNY261016C00165000 New — -9500 shares
2026-09-18 MSFT261016C00520000 MSFT261016C00520000 New — -9000 shares
2026-09-18 MSFT261016P00475000 MSFT261016P00475000 New — 9000 shares
2026-09-18 HOOD261016C00120000 HOOD261016C00120000 New — -20000 shares
2026-09-18 BNY261016P00145000 BNY261016P00145000 New — 9500 shares
2026-09-18 V261016P00355000 V261016P00355000 New — 4500 shares
2026-09-18 MS261016P00195000 MS261016P00195000 New — 6500 shares
2026-09-18 MSFT260918P00465000 MSFT260918P00465000 Removed 9000 shares —
2026-09-18 V260918P00360000 V260918P00360000 Removed 4500 shares —
1 2 3 ... 14 Next →

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