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QMOM Holdings Changes

Alpha Architect U.S. Quantitative Momentum ETF
1W: +1.4% 1M: +1.5% 3M: -3.3% YTD: +11.2% 1Y: +15.1% 3Y: +76.3% 5Y: +47.1%
$73.95
+1.09 (+1.50%)
 
Weekly Expected Move ±2.0%
$71 $72 $74 $75 $77
ETF NASDAQ · AUM $362.7M
Total Changes (90d)
482
New Holdings
85
Removed Holdings
35
482 changes · Page 1 of 10
Date Holding Name Ticker Change Type Old Value New Value
2026-10-01 GH GH shares 51970 47683
2026-10-01 MUSA MUSA Removed 16039 shares —
2026-10-01 FTI FTI shares 108812 122483
2026-10-01 NUE NUE shares 33987 35484
2026-10-01 RNG RNG shares 123113 114333
2026-10-01 TWLO TWLO shares 37604 28890
2026-10-01 DAR DAR shares 128472 139858
2026-10-01 ROIV ROIV shares 247755 233679
2026-10-01 LQDA LQDA shares 127056 120321
2026-10-01 VLO VLO shares 23610 21750
2026-10-01 JBHT JBHT shares 33324 36927
2026-10-01 MTSI MTSI shares 32813 29754
2026-10-01 DELL DELL shares 19780 15596
2026-10-01 ATI ATI shares 42543 45159
2026-10-01 STLD STLD shares 36396 37609
2026-10-01 CNC CNC shares 131375 136006
2026-10-01 PANW PANW shares 23863 21890
2026-10-01 LFUS LFUS Removed 20891 shares —
2026-10-01 RVMD RVMD shares 40992 41656
2026-10-01 CRS CRS shares 18278 21672
2026-10-01 JAZZ JAZZ shares 34983 36716
2026-10-01 CRL CRL New — 28845 shares
2026-10-01 AU AU New — 89846 shares
2026-10-01 FIX FIX New — 5070 shares
2026-10-01 SANM SANM New — 38008 shares
2026-10-01 MPC MPC shares 22552 21472
2026-10-01 HNGE HNGE New — 90154 shares
2026-10-01 DK DK New — 122930 shares
2026-10-01 TRGP TRGP New — 30655 shares
2026-10-01 RIG RIG New — 1624589 shares
2026-10-01 PR PR New — 397519 shares
2026-10-01 NTRA NTRA New — 20502 shares
2026-10-01 MSGS MSGS New — 20312 shares
2026-10-01 PSX PSX New — 33448 shares
2026-10-01 MRK MRK New — 56681 shares
2026-10-01 FDX FDX New — 29372 shares
2026-10-01 MTZ MTZ Removed 36153 shares —
2026-10-01 BTSG BTSG Removed 144271 shares —
2026-10-01 TGT TGT New — 53680 shares
2026-10-01 CASY CASY Removed 11026 shares —
2026-10-01 CORT CORT Removed 76381 shares —
2026-10-01 PRAX PRAX Removed 24367 shares —
2026-10-01 VIAV VIAV Removed 244879 shares —
2026-10-01 VSXY VSXY Removed 101959 shares —
2026-10-01 ARWR ARWR Removed 102952 shares —
2026-10-01 AGX AGX Removed 21189 shares —
2026-10-01 KGS KGS Removed 143169 shares —
2026-10-01 KRYS KRYS Removed 23741 shares —
2026-10-01 SNX SNX Removed 34119 shares —
2026-10-01 SCCO SCCO shares 42162 41687
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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms