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KQQQ Holdings Changes

Kurv Technology Titans Select ETF
1W: +0.8% 1M: +5.0% 3M: -1.0% YTD: +9.7% 1Y: +4.8%
$29.74
+0.29 (+0.98%)
 
Weekly Expected Move ±2.3%
$28 $29 $30 $30 $31
ETF NASDAQ · AUM $25.6M
Total Changes (90d)
343
New Holdings
81
Removed Holdings
88
1302 changes · Page 1 of 27
Date Holding Name Ticker Change Type Old Value New Value
2026-10-01 FIGXX FIGXX shares 4488919 4490492
2026-09-28 FIGXX FIGXX shares 5393598 4488919
2026-09-25 SNDK SNDK shares 880 926
2026-09-25 TSLA 260918C00390000 TSLA 260918C00390000 Removed -45 shares —
2026-09-25 AMZN AMZN shares 51920 54634
2026-09-25 GOOGL GOOGL shares 43120 45374
2026-09-25 SHOP SHOP shares 19800 20835
2026-09-25 AMAT AMAT shares 7920 8334
2026-09-25 META META shares 8796 9238
2026-09-25 NVDA NVDA shares 18482 19448
2026-09-25 MSFT MSFT shares 4840 5093
2026-09-25 RTX RTX shares 14520 15279
2026-09-25 CSCO CSCO shares 20240 21298
2026-09-25 TSLP TSLP shares 50216 52476
2026-09-25 AVGO AVGO shares 21740 22720
2026-09-25 LRCX LRCX shares 7040 7408
2026-09-25 INTC INTC shares 77000 76395
2026-09-25 AMD AMD shares 12760 13427
2026-09-25 AAPL AAPL shares 18654 19494
2026-09-25 TSLA TSLA shares 9783 10223
2026-09-25 INTC 260918P00110000 INTC 260918P00110000 Removed 180 shares —
2026-09-25 MAGS 261218P00065000 MAGS 261218P00065000 New — 2000 shares
2026-09-25 NVDA 261002C00232500 NVDA 261002C00232500 New — -245 shares
2026-09-25 MU 261002C01100000 MU 261002C01100000 New — -60 shares
2026-09-25 AMZN 261002C00270000 AMZN 261002C00270000 New — -255 shares
2026-09-25 AVGO 261002C00380000 AVGO 261002C00380000 New — -108 shares
2026-09-25 TSLA 261002C00390000 TSLA 261002C00390000 New — -45 shares
2026-09-25 LQID LQID shares 62973 65813
2026-09-25 MSFT 261002C00520000 MSFT 261002C00520000 New — -110 shares
2026-09-25 INTC 261002C00118000 INTC 261002C00118000 New — -570 shares
2026-09-25 GOOGL 261002C00375000 GOOGL 261002C00375000 New — -210 shares
2026-09-25 AAPL 261002C00352500 AAPL 261002C00352500 New — -210 shares
2026-09-25 AMD 261002C00585000 AMD 261002C00585000 New — -126 shares
2026-09-25 SPOT 260918C00580000 SPOT 260918C00580000 Removed -48 shares —
2026-09-25 AMZN 260918C00275000 AMZN 260918C00275000 Removed -255 shares —
2026-09-25 MSFT 260918C00530000 MSFT 260918C00530000 Removed -110 shares —
2026-09-25 AAPL 260918C00340000 AAPL 260918C00340000 Removed -210 shares —
2026-09-25 MU 260918P00900000 MU 260918P00900000 Removed 12 shares —
2026-09-25 INTC 260918C00110000 INTC 260918C00110000 Removed -380 shares —
2026-09-25 SPOT 261002C00550000 SPOT 261002C00550000 New — -48 shares
2026-09-25 AMD 260918C00510000 AMD 260918C00510000 Removed -126 shares —
2026-09-25 GOOGL 260918C00360000 GOOGL 260918C00360000 Removed -210 shares —
2026-09-25 NVDA 260918C00250000 NVDA 260918C00250000 Removed -245 shares —
2026-09-25 FIGXX FIGXX shares 4485537 5393598
2026-09-25 META 260918C00650000 META 260918C00650000 Removed -38 shares —
2026-09-25 MU 260918C01150000 MU 260918C01150000 Removed -60 shares —
2026-09-25 AVGO 260918C00390000 AVGO 260918C00390000 Removed -81 shares —
2026-09-25 AVGO 260918P00330000 AVGO 260918P00330000 Removed 30 shares —
2026-09-25 NFLX NFLX shares 51040 53708
2026-09-25 SPOT SPOT shares 4840 5093
1 2 3 ... 27 Next →

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