THEMATIC
Alpha Vee Risk Managed SMID Equity and US Treasury

AVTSMID

Index Performance

+9.25%
AVTSMID

Overview

Description

Alpha Vee Risk Managed Top 5 Sector SMID Equity and US Treasury

  • TickerAVTSMID
  • Inception Date12/31/2019
  • WeightingCustom
  • # of holdings51
What's inside?

Holdings

All holdings as of May 3, 2024
CSV download
iShares 7-10 Year Treasury Bond ETF (IEF)9.10%N/AN/AN/AN/A
Jackson Financial, Inc. (JXN)3.96%$5.45B-78.29%N/A2.23
The GEO Group, Inc. (GEO)3.24%$1.87B1.53%22.51%1.30
Merchants Bancorp (Indiana) (MBIN)3.00%$1.99B57.56%N/A3.21
SM Energy Co. (SM)2.85%$5.80B-2.38%42.46%2.91
The Pennant Group, Inc. (PNTG)2.82%$642.27M15.14%11.36%1.37
Amalgamated Financial Corp. (AMAL)2.66%$774.10M17.83%N/A2.27
Preferred Bank (California) (PFBC)2.51%$1.18B19.92%N/A0.61
Encore Wire Corp. (Delaware) (WIRE)2.48%$4.47B-4.21%21.49%1.43
Universal Logistics Holdings, Inc. (ULH)2.47%$1.12B12.46%19.36%0.79
National HealthCare Corp. (NHC)2.42%$1.40B5.71%69.25%1.11
Ryder System, Inc. (R)2.39%$5.46B4.95%17.88%1.17
Matson, Inc. (MATX)2.36%$3.87B2.45%15.22%1.47
International Bancshares Corp. (IBOC)2.34%$3.69B11.30%N/A3.30
PIMCO Dynamic Income Strategy Fund (NRGX)2.32%N/AN/AN/AN/A
MGIC Investment Corp. (MTG)2.24%$5.50B3.66%N/A5.79
Westamerica Bancorporation (WABC)2.20%$1.31B-1.66%N/A3.43
Northern Oil & Gas, Inc. (NOG)2.15%$4.07B24.81%38.19%3.34
CONSOL Energy, Inc. (CEIX)2.15%$2.48B10.79%34.98%1.26
Enact Holdings, Inc. (ACT)2.13%$4.87B3.79%N/A4.93
NMI Holdings, Inc. (NMIH)2.12%$2.61B14.24%N/A5.10
Radian Group Inc. (RDN)2.11%$4.66B2.83%N/A5.58
Deluxe Corp. (DLX)2.08%$947.50M-1.91%53.18%1.11
Bank7 Corp. (BSVN)2.06%$267.35M25.82%N/AN/A
California Resources Corp. (CRC)2.06%$3.55B-13.66%47.14%1.45
Air Lease Corp. (AL)2.05%$5.73B11.52%57.43%9.32
The Western Union Co. (WU)1.95%$4.52B1.18%34.33%1.43
Cathay General Bancorp (CATY)1.95%$2.65B13.16%N/A2.25
Innoviva, Inc. (INVA)1.93%$950.28M28.90%74.10%4.99
Heidrick & Struggles International, Inc. (HSII)1.86%$600.26M-3.91%25.14%0.23
Crane NXT Co. (CR)1.80%$3.50B-58.78%47.01%2.69
Ambac Financial Group, Inc. (AMBC)1.75%$663.45M-29.29%N/A16.17
LendingClub Corp. (LC)1.72%$1.03B-2.20%68.81%0.13
National Fuel Gas Co. (NFG)1.71%$5.04B-22.60%37.47%4.25
Genie Energy Ltd. (GNE)1.71%$408.19M35.87%40.84%1.41
Select Medical Holdings Corp. (SEM)1.69%$4.09B7.44%13.42%1.33
FutureFuel Corp. (FF)1.68%$235.45M-7.01%9.68%0.13
Ennis, Inc. (EBF)1.66%$524.22M-2.72%29.84%1.00
ONE Gas, Inc. (OGS)1.40%$3.70B-7.99%18.94%2.78
Patterson Cos., Inc. (PDCO)1.32%$2.30B0.95%21.72%0.54
Avanos Medical, Inc. (AVNS)1.28%$903.39M-13.35%57.07%1.56
Resources Connection, Inc. (RGP)1.20%$377.63M-18.99%35.59%0.52
Pediatrix Medical Group, Inc. (MD)1.12%$784.87M1.15%19.32%0.65
Embecta Corp. (EMBC)0.81%$584.43M0.58%67.04%2.18
Hawaiian Electric Industries, Inc. (HE)0.55%$1.15B-1.60%9.58%1.34
Assertio Holdings, Inc. (ASRT)0.41%$97.98M-2.67%63.67%0.29
Brookfield Infrastructure Corp. (BIPC)0.24%$4.40B80.96%62.42%N/A
Medifast, Inc. (MED)0.01%$291.92M-49.93%72.85%0.32
Portland General Electric Co. (POR)<0.01%$4.51B17.79%24.85%3.08
Greif, Inc. (GEF)<0.01%$2.99B-5.13%18.38%1.21
BRT Apartments Corp. (BRT)<0.01%$343.41M32.74%24.90%8.22
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