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HSUN Holdings Changes

Hartford Sustainable Income ETF
1W: +0.3% 1M: +2.9% 3M: -0.3% 1Y: +8.4% 3Y: +16.3%
$33.53
Last traded 2025-05-12 — delisted
ETF CBOE · AUM $120.8M
Total Changes (90d)
4
New Holdings
3
Removed Holdings
1
141 changes · Page 1 of 3
Date Holding Name Ticker Change Type Old Value New Value
2026-09-21 SOJF SOJF New — 3825 shares
2026-09-21 CRBD CRBD New — 2750 shares
2026-08-07 BDX BDX Removed 17 shares —
2026-08-07 BDXA BDXA New — 17 shares
2026-06-24 0YCP.L 0YCP.L New — 83 shares
2026-06-24 MS-PO MS-PO New — 1825 shares
2026-06-24 APTV APTV Removed 83 shares —
2026-06-24 MS MS Removed 1825 shares —
2026-06-08 MS-PQ MS-PQ New — 2650 shares
2026-03-14 MET-PF MET-PF New — 1625 shares
2026-03-14 GCGM5931306 GCGM5931306 Removed 110000 shares —
2026-03-14 EZPW6037457 EZPW6037457 Removed 105000 shares —
2026-03-14 JPM5946800 JPM5946800 Removed 43000 shares —
2026-03-14 MSpQ MSpQ Removed 2650 shares —
2026-03-14 CTL5779041 CTL5779041 Removed 64000 shares —
2026-03-14 TRLT6000685 TRLT6000685 Removed 105000 shares —
2026-03-14 SE5196398 SE5196398 Removed 149000 shares —
2026-03-14 SNPS6020494 SNPS6020494 Removed 50000 shares —
2026-03-14 FGBMM5 FGBMM5 Removed -1600000 shares —
2026-03-14 CHAN5937596 CHAN5937596 Removed 65000 shares —
2026-03-14 IONS5835891 IONS5835891 Removed 212000 shares —
2026-03-14 REXR5782158 REXR5782158 Removed 138000 shares —
2026-03-14 PODD6033744 PODD6033744 Removed 150000 shares —
2026-03-14 TUM25 TUM25 Removed 3000000 shares —
2026-03-14 FSLM5745030 FSLM5745030 Removed 200000 shares —
2026-03-14 JACG5903110 JACG5903110 Removed 39753 shares —
2026-03-14 PSA-PK PSA-PK New — 1700 shares
2026-03-14 SAN6032671 SAN6032671 Removed 125000 shares —
2026-03-14 RSFT5121862 RSFT5121862 Removed 25000 shares —
2026-03-14 D5807368 D5807368 Removed 45000 shares —
2026-03-14 UNIFINA MM UNIFINA MM Removed 33932 shares —
2026-03-14 SEN5894195 SEN5894195 Removed 84000 shares —
2026-03-14 ORLY5871711 ORLY5871711 Removed 45000 shares —
2026-03-14 IVPAF5983617 IVPAF5983617 Removed 400000 shares —
2026-03-14 LNDM5259263 LNDM5259263 Removed 100000 shares —
2026-03-14 SNOW5901128 SNOW5901128 Removed 183000 shares —
2026-03-14 D5807367 D5807367 Removed 36000 shares —
2026-03-14 USM25 USM25 Removed -200000 shares —
2026-03-14 CLYX6041438 CLYX6041438 Removed 80000 shares —
2026-03-14 PCG5888937 PCG5888937 Removed 280000 shares —
2026-03-14 FPFX5807494 FPFX5807494 Removed 157000 shares —
2026-03-14 OKE5890649 OKE5890649 Removed 13000 shares —
2026-03-14 ALIN5892533 ALIN5892533 Removed 155000 shares —
2026-03-14 CRBD CRBD Removed 2750 shares —
2026-03-14 MCHP5821252 MCHP5821252 Removed 143000 shares —
2026-03-14 RIVN5776027 RIVN5776027 Removed 30000 shares —
2026-03-14 BApA BApA Removed 3493 shares —
2026-03-14 ADS6022794 ADS6022794 Removed 725000 shares —
2026-03-14 FGBLM5 FGBLM5 Removed -600000 shares —
2026-03-14 JBT5423388 JBT5423388 Removed 80000 shares —

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