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Fund profile

Total assets
$20.3M
Liabilities
$7.56K
Net assets
$20.29M
Number of holdings
32

32 Holdings

As of Jun 2021
Security $Holding Balance % of Fund Category Position Country
DKNG DraftKings, Inc. 847.19K 16.24K shares 4.18 Common equity Long USA
NKE Nike, Inc. 841.35K 5.45K shares 4.15 Common equity Long USA
AMZN Amazon.com Inc. 815.32K 237 shares 4.02 Common equity Long USA
AAPL Apple Inc 802.31K 5.86K shares 3.95 Common equity Long USA
FB Facebook Inc 799.73K 2.3K shares 3.94 Common equity Long USA
GOOG Alphabet Inc 792K 316 shares 3.90 Common equity Long USA
ALGN Align Technology, Inc. 782.08K 1.28K shares 3.85 Common equity Long USA
ULTA Ulta Beauty Inc 773.14K 2.24K shares 3.81 Common equity Long USA
KLAC KLA Corp. 758.98K 2.34K shares 3.74 Common equity Long USA
CMG Chipotle Mexican Grill 753.47K 486 shares 3.71 Common equity Long USA
SCHW Charles Schwab Corp. 747.98K 10.27K shares 3.69 Common equity Long USA
DIS Walt Disney Co 745.97K 4.24K shares 3.68 Common equity Long USA
SBUX Starbucks Corp. 737.61K 6.6K shares 3.64 Common equity Long USA
FDX Fedex Corp 709.13K 2.38K shares 3.50 Common equity Long USA
JPM JPMorgan Chase & Co. 703.04K 4.52K shares 3.47 Common equity Long USA
ANTM Anthem Inc 698.69K 1.83K shares 3.44 Common equity Long USA
AVGO Broadcom Pte. Ltd. 526.91K 1.11K shares 2.60 Common equity Long USA
MPC Marathon Petroleum Corp 509.04K 8.43K shares 2.51 Common equity Long USA
CVS CVS Health Corp 507.23K 6.08K shares 2.50 Common equity Long USA
PSX Phillips 66 499.64K 5.82K shares 2.46 Common equity Long USA
CAH Cardinal Health, Inc. 494.57K 8.66K shares 2.44 Common equity Long USA
INTC Intel Corp. 487.13K 8.68K shares 2.40 Common equity Long USA
EMR Emerson Electric Co. 485.63K 5.05K shares 2.39 Common equity Long USA
PRU Prudential Financial Inc. 485.3K 4.74K shares 2.39 Common equity Long USA
WFC Wells Fargo & Co. 479.89K 10.6K shares 2.37 Common equity Long USA
GD General Dynamics Corp. 475.54K 2.53K shares 2.34 Common equity Long USA
BMY Bristol-Myers Squibb Co. 475.09K 7.11K shares 2.34 Common equity Long USA
STZ Constellation Brands Inc 474.8K 2.03K shares 2.34 Common equity Long USA
CRM Salesforce.Com Inc 471.69K 1.93K shares 2.32 Common equity Long USA
D Dominion Energy Inc 460.25K 6.26K shares 2.27 Common equity Long USA
LMT Lockheed Martin Corp. 449.1K 1.19K shares 2.21 Common equity Long USA
TSN Tyson Foods, Inc. 431.05K 5.84K shares 2.12 Common equity Long USA