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XNAV Holdings Changes

FundX Aggressive ETF
1W: +0.7% 1M: +4.3% 3M: -0.6% YTD: +14.6% 1Y: +19.3% 3Y: +85.9%
$93.95
+1.01 (+1.09%)
 
Weekly Expected Move ±2.6%
$89 $92 $94 $96 $99
ETF AMEX · AUM $34.1M
Total Changes (90d)
32
New Holdings
7
Removed Holdings
7
52 changes · Page 1 of 2
Date Holding Name Ticker Change Type Old Value New Value
2026-09-21 ICLN ICLN Removed 61265 shares —
2026-09-21 CALF CALF New — 24807 shares
2026-09-21 SKYY SKYY New — 6532 shares
2026-09-21 EWT EWT New — 9759 shares
2026-09-21 AVDV AVDV New — 12588 shares
2026-09-21 XBI XBI New — 6861 shares
2026-09-21 PWRD PWRD Removed 12200 shares —
2026-09-21 PBW PBW Removed 28500 shares —
2026-09-21 QCLN QCLN Removed 19750 shares —
2026-09-21 KOMP KOMP Removed 17650 shares —
2026-07-13 VLUE VLUE shares 11784 12142
2026-07-13 ICLN ICLN shares 59458 61265
2026-07-13 PBW PBW shares 27660 28500
2026-07-13 LIT LIT Removed 18468 shares —
2026-07-13 AVDV AVDV Removed 13556 shares —
2026-07-13 SPMO SPMO shares 8701 8965
2026-07-13 EWY EWY shares 5922 6102
2026-07-13 SMH SMH shares 2883 2970
2026-07-13 PWRD PWRD New — 12200 shares
2026-07-13 XNTK XNTK New — 3800 shares
2026-07-13 MTUM MTUM shares 5465 5631
2026-07-13 KOMP KOMP shares 17130 17650
2026-07-13 AVUV AVUV shares 8788 9055
2026-07-13 SOXX SOXX shares 2262 2330
2026-07-13 VUG VUG shares 34851 35910
2026-07-13 XSD XSD shares 3034 3126
2026-07-13 SCHG SCHG shares 73130 75352
2026-07-13 QTEC QTEC shares 3397 3500
2026-07-13 QGRW QGRW shares 27876 28723
2026-07-13 QQQM QQQM shares 3587 3696
2026-07-13 QCLN QCLN shares 19168 19750
2026-07-13 IEZ IEZ shares 38316 39480
2026-07-03 SMH SMH New — 2883 shares
2026-07-03 QTEC QTEC New — 3397 shares
2026-07-03 IEZ IEZ New — 38316 shares
2026-07-03 AVUV AVUV New — 8788 shares
2026-07-03 VLUE VLUE New — 11784 shares
2026-07-03 KOMP KOMP New — 17130 shares
2026-07-03 SPMO SPMO New — 8701 shares
2026-07-03 QCLN QCLN New — 19168 shares
2026-07-03 PBW PBW New — 27660 shares
2026-07-03 SCHG SCHG New — 73130 shares
2026-07-03 EWY EWY New — 5922 shares
2026-07-03 AVDV AVDV New — 13556 shares
2026-07-03 XSD XSD New — 3034 shares
2026-07-03 LIT LIT New — 18468 shares
2026-07-03 MTUM MTUM New — 5465 shares
2026-07-03 QQQM QQQM New — 3587 shares
2026-07-03 ICLN ICLN New — 59458 shares
2026-07-03 SOXX SOXX New — 2262 shares

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