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SPXZ

Morgan Creek - Exos SPAC Originated ETF
1W: +0.1% 1M: +3.9% 3M: -0.8% 1Y: -36.0%
$11.01
Last traded 2025-06-11 — delisted
ETF AMEX · AUM $6.2M
ETF-Level Metrics
AUM$6M
Holdings102
Top 10 Wt15.7%
Beta
% Profitable15%
Coverage95%
Portfolio Valuation
P/E
P/B4.5
P/S4.4
EV/EBITDA0.0
P/FCF46.6
PEG
Profitability & Returns
Gross Margin27.8%
Net Margin89385.1%
ROE91839.1%
ROA29257.7%
ROIC-6417.1%
Div Yield0.74%
Leverage & Liquidity
Debt/Equity0.98
Debt/Assets0.30
Net Debt/EBITDA—x
Interest Cov-683.2x
Current Ratio1.83
Quick Ratio1.65
Growth (YoY)
Revenue+14.9%
Net Income-0.9%
EPS+10.7%
FCF+10.5%
EBITDA+7.0%
Rev CAGR 3Y+15.2%
Quality Scores
Piotroski F3.7
Altman Z-19.92
IS Quality43.2
IS Overall32.2
IS Value39.5
Median P/E0.3

Sector Breakdown

10 sectors
Sector # Holdings Total Weight % Avg P/E
Financial Services 51 37.2% -21.7
Technology 16 20.2% 562.9
Consumer Cyclical 10 12.3% 332.0
Industrials 9 12.2% 8.7
Healthcare 6 7.1% -7.0
Basic Materials 2 3.1% -51.6
Communication Services 2 2.4% -10.3
Real Estate 2 2.2% -1.4
Other 3 1.9%
Consumer Defensive 1 1.4% 841.3

Smart Money Overlap

0 holdings with signals
No holdings with active convergence signals
Showing 50 of 102 holdings · Page 1 of 3
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 PURECYCLE TECHNOLOGIES INC PCT 1.77% 14,883 -5.3 $979M Industrials
2 CHARGEPOINT HOLDINGS INC CHPT 1.65% 7,093 -0.5 $114M Consumer Cyclical
3 HILLMAN SOLUTIONS CORP HLMN 1.59% 11,625 39.3 $1.6B Industrials
4 EMBARK TECHNOLOGY INC EMBK 1.59% 23,520 -1.2 $70M Technology
5 DANIMER SCIENTIFIC INC DNMR 1.58% 22,117 -0.2 $1M Basic Materials
6 MP MATERIALS CORP MP 1.56% 2,620 -102.9 $8.8B Basic Materials
7 HUMACYTE INC HUMA 1.50% 18,609 -2.5 $101M Healthcare
8 Cash & Other Cash Cash&Other 1.50% 119,107
9 JOBY AVIATION INC JOBY 1.48% 20,760 -8.2 $8.3B Industrials
10 CANO HEALTH INC CANO 1.46% 16,520 -0.0 $12M Healthcare
11 E2OPEN PARENT HOLDINGS INC ETWO 1.45% 12,187 -1.7 $1.0B Technology
12 CCC INTELLIGENT SOLUTIONS HLD COM CCCS 1.45% 10,682 8930.1 $5.6B Technology
13 PAYSAFE LIMITED PSFE 1.43% 30,919 -2.1 $393M Technology
14 BLUE OWL CAPITAL INC OWL 1.42% 8,740 73.5 $13.4B Financial Services
15 CYXTERA TECHNOLOGIES INC CYXT 1.41% 9,808 -0.0 Technology
16 THE LION ELECTRIC COMPANY LEV 1.39% 12,567 -0.5 $57M Industrials
17 UTZ BRANDS INC UTZ 1.37% 7,134 841.3 $682M Consumer Defensive
18 ARDAGH METAL PACKAGING S A AMBP 1.36% 12,229 222.0 $2.4B Consumer Cyclical
19 ALIGHT INC ALIT 1.34% 10,920 -0.1 $289M Technology
20 VIRGIN GALACTIC HOLDINGS INC COM SPCE 1.31% 10,971 -0.6 $155M Industrials
21 QUANTUMSCAPE CORP QS 1.31% 6,071 -8.8 $3.9B Consumer Cyclical
22 LUMINAR TECHNOLOGIES INC LAZR 1.30% 7,163 -0.0 $5M Consumer Cyclical
23 FISKER INC FSR 1.30% 8,256 -0.0 $53M Consumer Cyclical
24 BAKKT HOLDINGS INC BKKT 1.29% 17,426 -0.9 $117M Technology
25 JANUS INTERNATIONAL GROUP INC COMMON STOCK JBI 1.29% 10,384 12.7 $683M Industrials
26 MIRION TECHNOLOGIES INC MIR 1.29% 12,213 161.3 $4.6B Industrials
27 ROCKET LAB USA INC RKLB 1.24% 10,858 -195.6 $38.6B Industrials
28 NEXTDOOR HOLDINGS INC KIND 1.24% 16,349 -10.0 $761M Communication Services
29 PAYONEER GLOBAL INC PAYO 1.23% 20,736 24.0 $1.8B Technology
30 AURORA INNOVATION INC AUR 1.23% 18,023 -9.8 $8.1B Technology
31 BUTTERFLY NETWORK INC BFLY 1.22% 17,839 -13.5 $1.0B Healthcare
32 DRAFTKINGS INC DKNG 1.19% 4,809 3041.6 $11.5B Consumer Cyclical
33 STEM INC STEM 1.17% 8,617 0.5 $74M Technology
34 RUSH STREET INTERACTIVE INC RSI 1.16% 9,989 66.8 $5.3B Consumer Cyclical
35 SMARTRENT INC SMRT 1.16% 13,150 -4.7 $292M Technology
36 MATTERPORT INC MTTR 1.16% 11,127 -6.7 $1.8B Technology
37 WEWORK INC WE 1.14% 14,031 -0.0 $44M Real Estate
38 GENIUS SPORTS LIMITED GENI 1.11% 16,687 -10.6 $1.1B Communication Services
39 SKILLZ INC SKLZ 1.11% 27,050 -0.6 $40M Technology
40 GRAB HOLDINGS LIMITED GRAB 1.11% 21,409 55.4 $14.4B Technology
41 IRONSOURCE LTD IS 1.09% 16,176 41.7 Technology
42 LUCID GROUP INC LCID 1.08% 3,341 -1.2 $3.3B Consumer Cyclical
43 ARRIVAL GROUP ARVL 1.07% 22,780 -0.0 $9M Consumer Cyclical
44 OPENDOOR TECHNOLOGIES INC OPEN 1.05% 10,020 -2.8 $3.6B Real Estate
45 ROIVANT SCIENCES LTD ROIV 1.03% 15,724 -24.4 $20.3B Healthcare
46 23ANDME HOLDING CO ME 1.02% 21,636 -0.1 $15M Healthcare
47 SOFI TECHNOLOGIES INC SOFI 0.98% 7,864 40.3 $20.2B Financial Services
48 CORE SCIENTIFIC INC CORZ 0.95% 8,456 -18.0 $5.1B Technology
49 GORES TECHNOLOGY PARTNERS II CLASS A COM GTPB 0.94% 7,597 -80.0 Financial Services
50 CAZOO GROUP LTD CZOO 0.90% 28,377 -0.3 $30M Consumer Cyclical

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