-
Fund Dashboard
- Holdings
S&P 500 2x Strategy Fund
Fund Profile
Security | $Holding | Balance | % of Fund | Category | Position | Country |
---|---|---|---|---|---|---|
AAPL Apple Inc. | 12.25 mm | 52.56 k shares | 5.28 | Common equity | Long | USA |
U.S. Treasury Bills | 11.90 mm | 12.00 mm principal | 5.13 | Debt | Long | USA |
MSFT Microsoft Corporation | 11.06 mm | 25.69 k shares | 4.76 | Common equity | Long | USA |
NVDA NVIDIA Corporation | 10.33 mm | 85.03 k shares | 4.45 | Common equity | Long | USA |
J.P. Morgan Securities LLC | 9.12 mm | 9.12 mm principal | 3.93 | Repurchase agreement | Long | USA |
BofA Securities, Inc. | 7.53 mm | 7.53 mm principal | 3.24 | Repurchase agreement | Long | USA |
AMZN Amazon.com, Inc. | 6.02 mm | 32.29 k shares | 2.59 | Common equity | Long | USA |
U.S. Treasury Bills | 5.30 mm | 5.35 mm principal | 2.28 | Debt | Long | USA |
META Meta Platforms, Inc. | 4.32 mm | 7.55 k shares | 1.86 | Common equity | Long | USA |
U.S. Treasury Bills | 3.85 mm | 3.86 mm principal | 1.66 | Debt | Long | USA |
GOOG Alphabet Inc. | 3.36 mm | 20.25 k shares | 1.45 | Common equity | Long | USA |
BRK-B Berkshire Hathaway Inc. | 2.91 mm | 6.33 k shares | 1.26 | Common equity | Long | USA |
GOOG Alphabet Inc. | 2.78 mm | 16.60 k shares | 1.20 | Common equity | Long | USA |
Broadcom Pte. Ltd. | 2.78 mm | 16.09 k shares | 1.20 | Common equity | Long | USA |
TSLA Tesla, Inc. | 2.51 mm | 9.59 k shares | 1.08 | Common equity | Long | USA |
LLY Eli Lilly and Company | 2.42 mm | 2.73 k shares | 1.04 | Common equity | Long | USA |
JPM JPMorgan Chase & Co. | 2.07 mm | 9.84 k shares | 0.89 | Common equity | Long | USA |
UNH UnitedHealth Group Incorporated | 1.87 mm | 3.19 k shares | 0.80 | Common equity | Long | USA |
XOM Exxon Mobil Corporation | 1.80 mm | 15.36 k shares | 0.78 | Common equity | Long | USA |
V Visa Inc. | 1.59 mm | 5.77 k shares | 0.68 | Common equity | Long | USA |
PG The Procter & Gamble Company | 1.41 mm | 8.14 k shares | 0.61 | Common equity | Long | USA |
MA Mastercard Incorporated | 1.41 mm | 2.85 k shares | 0.61 | Common equity | Long | USA |
HD The Home Depot, Inc. | 1.39 mm | 3.43 k shares | 0.60 | Common equity | Long | USA |
COST Costco Wholesale Corporation | 1.36 mm | 1.53 k shares | 0.59 | Common equity | Long | USA |
JNJ Johnson & Johnson | 1.35 mm | 8.32 k shares | 0.58 | Common equity | Long | USA |
WMT Walmart Inc. | 1.21 mm | 15.01 k shares | 0.52 | Common equity | Long | USA |
ABBV AbbVie Inc. | 1.21 mm | 6.11 k shares | 0.52 | Common equity | Long | USA |
NFLX Netflix, Inc. | 1.05 mm | 1.48 k shares | 0.45 | Common equity | Long | USA |
MRK Merck & Co., Inc. | 995.01 k | 8.76 k shares | 0.43 | Common equity | Long | USA |
KO The Coca-Cola Company | 963.50 k | 13.41 k shares | 0.42 | Common equity | Long | USA |
ORCL Oracle Corporation | 941.46 k | 5.53 k shares | 0.41 | Common equity | Long | USA |
BAC Bank of America Corporation | 925.93 k | 23.34 k shares | 0.40 | Common equity | Long | USA |
AMD Advanced Micro Devices, Inc. | 918.03 k | 5.60 k shares | 0.40 | Common equity | Long | USA |
CRM Salesforce, Inc. | 916.65 k | 3.35 k shares | 0.39 | Common equity | Long | USA |
S&P 500 Index Mini Futures Contracts | 881.87 k | 153.00 contracts | 0.38 | Equity derivative | N/A | USA |
CVX Chevron Corporation | 865.80 k | 5.88 k shares | 0.37 | Common equity | Long | USA |
TMO Thermo Fisher Scientific Inc. | 816.51 k | 1.32 k shares | 0.35 | Common equity | Long | USA |
PEP PepsiCo, Inc. | 807.40 k | 4.75 k shares | 0.35 | Common equity | Long | USA |
S&P 500 Index
Goldman Sachs International
|
805.51 k | 20.32 k contracts | 0.35 | Equity derivative | N/A | USA |
ADBE Adobe Inc. | 793.76 k | 1.53 k shares | 0.34 | Common equity | Long | USA |
Linde plc
|
792.54 k | 1.66 k shares | 0.34 | Common equity | Long | USA |
Accenture plc
|
765.28 k | 2.17 k shares | 0.33 | Common equity | Long | USA |
MCD McDonald's Corporation | 755.18 k | 2.48 k shares | 0.33 | Common equity | Long | USA |
CSCO Cisco Systems, Inc. | 741.14 k | 13.93 k shares | 0.32 | Common equity | Long | USA |
GE General Electric Company | 706.80 k | 3.75 k shares | 0.30 | Common equity | Long | USA |
IBM International Business Machines Corporation | 703.92 k | 3.18 k shares | 0.30 | Common equity | Long | USA |
ABT Abbott Laboratories | 685.66 k | 6.01 k shares | 0.30 | Common equity | Long | USA |
WFC Wells Fargo & Company | 664.66 k | 11.77 k shares | 0.29 | Common equity | Long | USA |
CAT Caterpillar Inc. | 655.52 k | 1.68 k shares | 0.28 | Common equity | Long | USA |
QCOM QUALCOMM Incorporated | 654.86 k | 3.85 k shares | 0.28 | Common equity | Long | USA |
VZ Verizon Communications Inc. | 653.49 k | 14.55 k shares | 0.28 | Common equity | Long | USA |
PM Philip Morris International Inc. | 652.40 k | 5.37 k shares | 0.28 | Common equity | Long | USA |
TXN Texas Instruments Incorporated | 651.93 k | 3.16 k shares | 0.28 | Common equity | Long | USA |
NOW ServiceNow, Inc. | 636.81 k | 712.00 shares | 0.27 | Common equity | Long | USA |
DHR Danaher Corporation | 617.76 k | 2.22 k shares | 0.27 | Common equity | Long | USA |
Walt Disney Co | 603.02 k | 6.27 k shares | 0.26 | Common equity | Long | USA |
ISRG Intuitive Surgical, Inc. | 602.30 k | 1.23 k shares | 0.26 | Common equity | Long | USA |
NEE NextEra Energy, Inc. | 600.33 k | 7.10 k shares | 0.26 | Common equity | Long | USA |
INTU Intuit Inc. | 599.89 k | 966.00 shares | 0.26 | Common equity | Long | USA |
AMGN Amgen Inc. | 598.34 k | 1.86 k shares | 0.26 | Common equity | Long | USA |
AMAT Applied Materials, Inc. | 578.27 k | 2.86 k shares | 0.25 | Common equity | Long | USA |
SPGI S&P Global Inc. | 571.90 k | 1.11 k shares | 0.25 | Common equity | Long | USA |
PFE Pfizer Inc. | 566.88 k | 19.59 k shares | 0.24 | Common equity | Long | USA |
CMCSA Comcast Corporation | 557.75 k | 13.35 k shares | 0.24 | Common equity | Long | USA |
RTX RTX Corporation | 557.09 k | 4.60 k shares | 0.24 | Common equity | Long | USA |
UBER Uber Technologies, Inc. | 545.81 k | 7.26 k shares | 0.24 | Common equity | Long | USA |
T AT&T Inc. | 545.27 k | 24.79 k shares | 0.23 | Common equity | Long | USA |
GS The Goldman Sachs Group, Inc. | 540.66 k | 1.09 k shares | 0.23 | Common equity | Long | USA |
LOW Lowe's Companies, Inc. | 533.57 k | 1.97 k shares | 0.23 | Common equity | Long | USA |
AXP American Express Company | 526.40 k | 1.94 k shares | 0.23 | Common equity | Long | USA |
UNP Union Pacific Corporation | 519.09 k | 2.11 k shares | 0.22 | Common equity | Long | USA |
PGR The Progressive Corporation | 513.61 k | 2.02 k shares | 0.22 | Common equity | Long | USA |
BKNG Booking Holdings Inc. | 488.61 k | 116.00 shares | 0.21 | Common equity | Long | USA |
HON Honeywell International Inc. | 465.30 k | 2.25 k shares | 0.20 | Common equity | Long | USA |
TJX The TJX Companies, Inc. | 459.23 k | 3.91 k shares | 0.20 | Common equity | Long | USA |
BLK BlackRock, Inc. | 456.71 k | 481.00 shares | 0.20 | Common equity | Long | USA |
Eaton Corporation plc
|
456.06 k | 1.38 k shares | 0.20 | Common equity | Long | USA |
MS Morgan Stanley | 448.86 k | 4.31 k shares | 0.19 | Common equity | Long | USA |
LMT Lockheed Martin Corporation | 428.48 k | 733.00 shares | 0.18 | Common equity | Long | USA |
SYK Stryker Corporation | 428.09 k | 1.19 k shares | 0.18 | Common equity | Long | USA |
BSX Boston Scientific Corporation | 426.54 k | 5.09 k shares | 0.18 | Common equity | Long | USA |
COP ConocoPhillips | 422.59 k | 4.01 k shares | 0.18 | Common equity | Long | USA |
ELV Elevance Health Inc. | 417.04 k | 802.00 shares | 0.18 | Common equity | Long | USA |
VRTX Vertex Pharmaceuticals Incorporated | 414.85 k | 892.00 shares | 0.18 | Common equity | Long | USA |
C Citigroup Inc. | 412.85 k | 6.60 k shares | 0.18 | Common equity | Long | USA |
Prologis, L.P. | 404.22 k | 3.20 k shares | 0.17 | Common equity | Long | USA |
Medtronic plc
|
399.10 k | 4.43 k shares | 0.17 | Common equity | Long | USA |
MU Micron Technology, Inc. | 397.52 k | 3.83 k shares | 0.17 | Common equity | Long | USA |
ADI Analog Devices, Inc. | 394.74 k | 1.72 k shares | 0.17 | Common equity | Long | USA |
ADP Automatic Data Processing, Inc. | 390.19 k | 1.41 k shares | 0.17 | Common equity | Long | USA |
REGN Regeneron Pharmaceuticals, Inc. | 385.81 k | 367.00 shares | 0.17 | Common equity | Long | USA |
PANW Palo Alto Networks, Inc. | 382.47 k | 1.12 k shares | 0.16 | Common equity | Long | USA |
SBUX Starbucks Corporation | 381.87 k | 3.92 k shares | 0.16 | Common equity | Long | USA |
BX Blackstone Inc. | 381.14 k | 2.49 k shares | 0.16 | Common equity | Long | USA |
MMC Marsh & McLennan Companies, Inc. | 379.25 k | 1.70 k shares | 0.16 | Common equity | Long | USA |
AMT American Tower Corporation | 375.58 k | 1.62 k shares | 0.16 | Common equity | Long | USA |
Chubb Ltd.
|
374.62 k | 1.30 k shares | 0.16 | Common equity | Long | USA |
DE Deere & Company | 369.75 k | 886.00 shares | 0.16 | Common equity | Long | USA |
LRCX Lam Research Corporation | 368.05 k | 451.00 shares | 0.16 | Common equity | Long | USA |
NKE NIKE, Inc. | 367.13 k | 4.15 k shares | 0.16 | Common equity | Long | USA |
BMY Bristol-Myers Squibb Company | 362.59 k | 7.01 k shares | 0.16 | Common equity | Long | USA |
GILD Gilead Sciences, Inc. | 360.76 k | 4.30 k shares | 0.16 | Common equity | Long | USA |
KLAC KLA Corporation | 360.10 k | 465.00 shares | 0.16 | Common equity | Long | USA |
FI Fiserv, Inc. | 357.50 k | 1.99 k shares | 0.15 | Common equity | Long | USA |
TMUS T-Mobile US, Inc. | 349.57 k | 1.69 k shares | 0.15 | Common equity | Long | USA |
INTC Intel Corporation | 346.01 k | 14.75 k shares | 0.15 | Common equity | Long | USA |
UPS United Parcel Service, Inc. | 345.21 k | 2.53 k shares | 0.15 | Common equity | Long | USA |
ANET Arista Networks, Inc. | 341.60 k | 890.00 shares | 0.15 | Common equity | Long | USA |
SO The Southern Company | 340.88 k | 3.78 k shares | 0.15 | Common equity | Long | USA |
MDLZ Mondelez International, Inc. | 340.13 k | 4.62 k shares | 0.15 | Common equity | Long | USA |
SCHW The Charles Schwab Corporation | 334.68 k | 5.16 k shares | 0.14 | Common equity | Long | USA |
Cigna Holding Co | 334.66 k | 966.00 shares | 0.14 | Common equity | Long | USA |
ICE Intercontinental Exchange, Inc. | 318.87 k | 1.99 k shares | 0.14 | Common equity | Long | USA |
DUK Duke Energy Corporation | 307.74 k | 2.67 k shares | 0.13 | Common equity | Long | USA |
BA The Boeing Company | 307.58 k | 2.02 k shares | 0.13 | Common equity | Long | USA |
SHW The Sherwin-Williams Company | 306.10 k | 802.00 shares | 0.13 | Common equity | Long | USA |
ZTS Zoetis Inc. | 305.97 k | 1.57 k shares | 0.13 | Common equity | Long | USA |
KKR KKR & Co. Inc. | 304.38 k | 2.33 k shares | 0.13 | Common equity | Long | USA |
Trane Technologies plc
|
303.21 k | 780.00 shares | 0.13 | Common equity | Long | USA |
MO Altria Group, Inc. | 301.03 k | 5.90 k shares | 0.13 | Common equity | Long | USA |
S&P 500 Index
BARCLAYS BANK PLC
|
299.78 k | 9.25 k contracts | 0.13 | Equity derivative | N/A | USA |
CL Colgate-Palmolive Company | 293.16 k | 2.82 k shares | 0.13 | Common equity | Long | USA |
EQIX Equinix, Inc. | 291.14 k | 328.00 shares | 0.13 | Common equity | Long | USA |
CEG Constellation Energy Corporation | 281.08 k | 1.08 k shares | 0.12 | Common equity | Long | USA |
PH Parker-Hannifin Corporation | 280.53 k | 444.00 shares | 0.12 | Common equity | Long | USA |
TDG TransDigm Group Incorporated | 276.86 k | 194.00 shares | 0.12 | Common equity | Long | USA |
PYPL PayPal Holdings, Inc. | 275.76 k | 3.53 k shares | 0.12 | Common equity | Long | USA |
CME CME Group Inc. | 274.71 k | 1.25 k shares | 0.12 | Common equity | Long | USA |
CVS CVS Health Corporation | 273.40 k | 4.35 k shares | 0.12 | Common equity | Long | USA |
CMG Chipotle Mexican Grill, Inc. | 272.77 k | 4.73 k shares | 0.12 | Common equity | Long | USA |
APH Amphenol Corporation | 271.26 k | 4.16 k shares | 0.12 | Common equity | Long | USA |
GD General Dynamics Corporation | 269.26 k | 891.00 shares | 0.12 | Common equity | Long | USA |
SNPS Synopsys, Inc. | 268.39 k | 530.00 shares | 0.12 | Common equity | Long | USA |
WM Waste Management, Inc. | 261.99 k | 1.26 k shares | 0.11 | Common equity | Long | USA |
HCA HCA Healthcare, Inc. | 260.93 k | 642.00 shares | 0.11 | Common equity | Long | USA |
Aon plc
|
259.84 k | 751.00 shares | 0.11 | Common equity | Long | USA |
MMM 3M Company | 259.59 k | 1.90 k shares | 0.11 | Common equity | Long | USA |
MSI Motorola Solutions, Inc. | 259.44 k | 577.00 shares | 0.11 | Common equity | Long | USA |
PLTR Palantir Technologies Inc. | 258.95 k | 6.96 k shares | 0.11 | Common equity | Long | USA |
MCO Moody's Corporation | 256.75 k | 541.00 shares | 0.11 | Common equity | Long | USA |
CDNS Cadence Design Systems, Inc. | 256.39 k | 946.00 shares | 0.11 | Common equity | Long | USA |
WELL Welltower Inc. | 256.06 k | 2.00 k shares | 0.11 | Common equity | Long | USA |
PNC The PNC Financial Services Group, Inc. | 253.98 k | 1.37 k shares | 0.11 | Common equity | Long | USA |
NOC Northrop Grumman Corporation | 250.83 k | 475.00 shares | 0.11 | Common equity | Long | USA |
TGT Target Corporation | 249.22 k | 1.60 k shares | 0.11 | Common equity | Long | USA |
FCX Freeport-McMoRan Inc. | 247.95 k | 4.97 k shares | 0.11 | Common equity | Long | USA |
USB U.S. Bancorp | 246.67 k | 5.39 k shares | 0.11 | Common equity | Long | USA |
ITW Illinois Tool Works Inc. | 244.77 k | 934.00 shares | 0.11 | Common equity | Long | USA |
CTAS Cintas Corporation | 243.76 k | 1.18 k shares | 0.11 | Common equity | Long | USA |
GEV GE Vernova Inc. | 242.23 k | 950.00 shares | 0.10 | Common equity | Long | USA |
EOG EOG Resources, Inc. | 241.56 k | 1.97 k shares | 0.10 | Common equity | Long | USA |
BDX Becton, Dickinson and Company | 240.86 k | 999.00 shares | 0.10 | Common equity | Long | USA |
CARR Carrier Global Corporation | 233.58 k | 2.90 k shares | 0.10 | Common equity | Long | USA |
ORLY O'Reilly Automotive, Inc. | 231.47 k | 201.00 shares | 0.10 | Common equity | Long | USA |
CSX CSX Corporation | 231.42 k | 6.70 k shares | 0.10 | Common equity | Long | USA |
APD Air Products and Chemicals, Inc. | 228.66 k | 768.00 shares | 0.10 | Common equity | Long | USA |
CRWD CrowdStrike Holdings, Inc. | 223.82 k | 798.00 shares | 0.10 | Common equity | Long | USA |
ECL Ecolab Inc. | 223.41 k | 875.00 shares | 0.10 | Common equity | Long | USA |
MCK McKesson Corporation | 221.50 k | 448.00 shares | 0.10 | Common equity | Long | USA |
EMR Emerson Electric Co. | 216.55 k | 1.98 k shares | 0.09 | Common equity | Long | USA |
FDX FedEx Corporation | 213.20 k | 779.00 shares | 0.09 | Common equity | Long | USA |
AJG Arthur J. Gallagher & Co. | 213.00 k | 757.00 shares | 0.09 | Common equity | Long | USA |
Newmont Corp.
|
211.98 k | 3.97 k shares | 0.09 | Common equity | Long | USA |
NXP Semiconductor N.V.
|
211.45 k | 881.00 shares | 0.09 | Common equity | Long | USA |
ROP Roper Technologies, Inc. | 206.44 k | 371.00 shares | 0.09 | Common equity | Long | USA |
SLB Schlumberger Limited | 205.89 k | 4.91 k shares | 0.09 | Common equity | Long | USA |
ADSK Autodesk, Inc. | 205.23 k | 745.00 shares | 0.09 | Common equity | Long | USA |
MAR Marriott International, Inc. | 200.87 k | 808.00 shares | 0.09 | Common equity | Long | USA |
TFC Truist Financial Corporation | 197.98 k | 4.63 k shares | 0.09 | Common equity | Long | USA |
PSA Public Storage | 197.95 k | 544.00 shares | 0.09 | Common equity | Long | USA |
COF Capital One Financial Corporation | 197.64 k | 1.32 k shares | 0.09 | Common equity | Long | USA |
HLT Hilton Worldwide Holdings Inc. | 196.39 k | 852.00 shares | 0.08 | Common equity | Long | USA |
AFL Aflac Incorporated | 194.76 k | 1.74 k shares | 0.08 | Common equity | Long | USA |
NSC Norfolk Southern Corporation | 194.33 k | 782.00 shares | 0.08 | Common equity | Long | USA |
DHI D.R. Horton, Inc. | 193.44 k | 1.01 k shares | 0.08 | Common equity | Long | USA |
ABNB Airbnb, Inc. | 192.88 k | 1.52 k shares | 0.08 | Common equity | Long | USA |
WMB The Williams Companies, Inc. | 192.32 k | 4.21 k shares | 0.08 | Common equity | Long | USA |
O Realty Income Corporation | 190.89 k | 3.01 k shares | 0.08 | Common equity | Long | USA |
PSX Phillips 66 | 190.21 k | 1.45 k shares | 0.08 | Common equity | Long | USA |
AEP American Electric Power Company, Inc. | 188.68 k | 1.84 k shares | 0.08 | Common equity | Long | USA |
MPC Marathon Petroleum Corporation | 188.49 k | 1.16 k shares | 0.08 | Common equity | Long | USA |
URI United Rentals, Inc. | 186.24 k | 230.00 shares | 0.08 | Common equity | Long | USA |
AZO AutoZone, Inc. | 185.85 k | 59.00 shares | 0.08 | Common equity | Long | USA |
TRV The Travelers Companies, Inc. | 184.49 k | 788.00 shares | 0.08 | Common equity | Long | USA |
OKE ONEOK, Inc. | 183.99 k | 2.02 k shares | 0.08 | Common equity | Long | USA |
KIOR Kior Inc | 183.31 k | 2.55 k shares | 0.08 | Common equity | Long | USA |
SRE Sempra | 183.07 k | 2.19 k shares | 0.08 | Common equity | Long | USA |
Johnson Controls International plc
|
179.20 k | 2.31 k shares | 0.08 | Common equity | Long | USA |
SPG Simon Property Group, Inc. | 178.99 k | 1.06 k shares | 0.08 | Common equity | Long | USA |
PCAR PACCAR Inc | 178.81 k | 1.81 k shares | 0.08 | Common equity | Long | USA |
CCI Crown Castle Inc. | 178.18 k | 1.50 k shares | 0.08 | Common equity | Long | USA |
GM General Motors Company | 174.20 k | 3.89 k shares | 0.08 | Common equity | Long | USA |
ROST Ross Stores, Inc. | 173.54 k | 1.15 k shares | 0.07 | Common equity | Long | USA |
ALL The Allstate Corporation | 173.15 k | 913.00 shares | 0.07 | Common equity | Long | USA |
DLR Digital Realty Trust, Inc. | 172.19 k | 1.06 k shares | 0.07 | Common equity | Long | USA |
FTNT Fortinet, Inc. | 170.22 k | 2.19 k shares | 0.07 | Common equity | Long | USA |
MET MetLife, Inc. | 167.68 k | 2.03 k shares | 0.07 | Common equity | Long | USA |
D Dominion Energy, Inc. | 167.59 k | 2.90 k shares | 0.07 | Common equity | Long | USA |
KMB Kimberly-Clark Corporation | 165.61 k | 1.16 k shares | 0.07 | Common equity | Long | USA |
FICO Fair Isaac Corporation | 165.20 k | 85.00 shares | 0.07 | Common equity | Long | USA |