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FLDOX

Meeder Moderate Allocation Retail
1W: -0.8% 1M: -1.9% 3M: -1.5% YTD: +3.8% 1Y: +3.4% 3Y: +27.6% 5Y: +11.0%
$13.57
+0.05 (+0.37%)
 
Weekly Expected Move ±1.0%
$13 $13 $14 $14 $14
ETF NASDAQ · AUM $198.7M
Total Changes (90d)
0
New Holdings
0
Removed Holdings
0
148 changes · Page 1 of 3
Date Holding Name Ticker Change Type Old Value New Value
2026-02-28 OVV OVV New — 898 shares
2026-02-28 KR KR New — 2187 shares
2026-02-28 NFG NFG New — 3570 shares
2026-02-28 AMZN AMZN New — 5594 shares
2026-02-28 DAL DAL New — 4766 shares
2026-02-28 AMAT AMAT New — 1294 shares
2026-02-28 MOH MOH New — 811 shares
2026-02-28 GD GD New — 3920 shares
2026-02-28 XEL XEL New — 3351 shares
2026-02-28 ALLY ALLY New — 2527 shares
2026-02-28 PLAB PLAB New — 15667 shares
2026-02-28 NTAP NTAP New — 244 shares
2026-02-28 STT STT New — 11181 shares
2026-02-28 DAVE DAVE New — 283 shares
2026-02-28 COKE COKE New — 1331 shares
2026-02-28 SFM SFM New — 1195 shares
2026-02-28 CUBI CUBI New — 5145 shares
2026-02-28 EA EA New — 1270 shares
2026-02-28 ATKR ATKR New — 571 shares
2026-02-28 MORN MORN New — 2724 shares
2026-02-28 NVDA NVDA New — 31736 shares
2026-02-28 BCOIX BCOIX New — 1892612 shares
2026-02-28 NOC NOC New — 1334 shares
2026-02-28 HUBB HUBB New — 1686 shares
2026-02-28 COST COST New — 1875 shares
2026-02-28 BBY BBY New — 1873 shares
2026-02-28 PSTG PSTG New — 615 shares
2026-02-28 ORCL ORCL New — 3739 shares
2026-02-28 BK BK New — 14217 shares
2026-02-28 BOKF BOKF New — 795 shares
2026-02-28 CMCSA CMCSA New — 2707 shares
2026-02-28 DODIX DODIX New — 650132 shares
2026-02-28 PKG PKG New — 826 shares
2026-02-28 VMI VMI New — 98 shares
2026-02-28 AMGN AMGN New — 3711 shares
2026-02-28 ORLY ORLY New — 4803 shares
2026-02-28 DBX DBX New — 3490 shares
2026-02-28 ALLE ALLE New — 1944 shares
2026-02-28 TJX TJX New — 2064 shares
2026-02-28 SWKS SWKS New — 2372 shares
2026-02-28 BFAM BFAM New — 1011 shares
2026-02-28 FDX FDX New — 319 shares
2026-02-28 STC STC New — 66 shares
2026-02-28 AVGO AVGO New — 5049 shares
2026-02-28 UNH.BA UNH.BA New — 1414 shares
2026-02-28 TSLA TSLA New — 742 shares
2026-02-28 EAT EAT New — 1144 shares
2026-02-28 PNRG PNRG New — 117 shares
2026-02-28 TT TT New — 1272 shares
2026-02-28 PRG PRG New — 150 shares

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