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SIFI | Harbor Scientific Alpha Income ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
TUH5 US 2YR NOTE (CBT) Mar25 13.87%
FVH5 US 5YR NOTE (CBT) Mar25 13.05%
B21850350 CDS USD P F 1 P21850350FEE CC... 9.67%
HESM Hess Midstream LP 9.20B 0.60%
40.64 -1.50% 26.85% 49.11%
GRUB GRUBHUB HOLDINGS INC 0.53%
ISPIM INTESA SANPAOLO SPA 0.52%
CABO Cable One, Inc. 1.56B 0.50%
277.14 -1.29% N/A N/A
CRM Salesforce, Inc. 296.48B 0.50%
309.80 -2.71% 48.05% 78.25%
TPC Tutor Perini Corporation 1.16B 0.50%
22.04 -5.33% 59.15% 76.70%
RAKUTN RAKUTEN GROUP INC 0.49%
GEO The GEO Group, Inc. 3.54B 0.49%
25.34 -5.24% 85.18% 49.17%
RCOLIN RAIN CARBON INC 0.47%
ARLP Alliance Resource Partners, L.P. 3.42B 0.47%
26.70 -1.07% 43.36% 45.87%
OTEXCN OPEN TEXT CORP 0.47%
WFRD Weatherford International plc 4.77B 0.47%
65.48 -6.42% 47.34% 68.56%
ALACN ALTAGAS LTD 0.45%
XPO XPO Logistics, Inc. 14.61B 0.45%
124.58 -5.91% 52.85% 42.63%
CHRD Chord Energy Corporation 6.83B 0.45%
111.67 -3.46% 36.76% 79.09%
MCHP Microchip Technology Incorporated 32.84B 0.45%
61.07 -5.02% 46.01% 56.33%
BIIB Biogen Inc. 20.59B 0.45%
140.64 2.59% 37.81% 56.88%
MO Altria Group, Inc. 93.30B 0.45%
55.05 1.33% 21.04% 51.99%
ATGE Adtalem Global Education Inc. 3.64B 0.44%
97.67 -7.22% 56.08% 31.69%
EPC Edgewell Personal Care Company 1.48B 0.44%
30.75 1.08% 57.65% 32.51%
FTAI FTAI Aviation Ltd 13.26B 0.44%
129.31 -10.09% 83.32% 70.94%
IT Gartner, Inc. 37.48B 0.44%
487.90 -3.03% 35.05% 31.42%
UIS Unisys Corporation 326.00M 0.44%
4.70 -7.66% 95.40% 46.65%
UPBD Upbound Group, Inc. 1.52B 0.44%
26.56 -3.91% 37.02% 45.07%
IMGCN IAMGOLD CORP 0.44%
APU AMERIGAS PART/FIN CORP 0.44%
DLX Deluxe Corporation 753.96M 0.44%
17.03 -1.84% 34.33% 83.83%
IEP Icahn Enterprises L.P. 5.26B 0.44%
10.43 0.48% 91.36% 70.88%
PRG PROG Holdings, Inc. 1.20B 0.44%
29.39 0.58% 59.04% 27.42%
RELLN RELX CAPITAL INC 0.43%
HCA HCA Healthcare, Inc. 78.58B 0.43%
316.42 -1.58% 26.09% 52.05%
HLT Hilton Worldwide Holdings Inc. 62.43B 0.43%
259.49 -3.05% 27.86% 31.00%
WLSC WILLIAMS SCOTSMAN INC 0.43%
BHCCN BAUSCH HEALTH COS INC 0.43%
CTREV CTR PARTNERSHIP/CARETRST 0.43%
CVI CVR Energy, Inc. 2.05B 0.43%
20.35 0.79% 49.89% 56.56%
FAIRIC FAIR ISAAC CORP 0.43%
CCL Carnival Corporation & plc 30.01B 0.43%
23.22 -5.46% 57.45% 89.06%
IBM International Business Machines Corporat... 241.78B 0.43%
261.48 -1.23% 24.18% 31.74%
ORCL Oracle Corporation 469.36B 0.42%
167.81 -4.65% 51.21% 104.91%
AVGO Broadcom Inc. 1.02T 0.41%
218.66 -3.56% 55.40% 66.29%
DTMINC DT MIDSTREAM INC 0.41%
WNC Wabash National Corporation 514.49M 0.41%
12.12 -3.58% 57.85% 88.44%
TNET TriNet Group, Inc. 3.29B 0.41%
66.51 -4.65% 49.24% 73.02%
HOLX Hologic, Inc. 14.47B 0.41%
64.50 0.28% 27.88% 31.23%
GAP GAP INC/THE 0.41%
MRK Merck & Co., Inc. 226.40B 0.41%
89.50 2.08% 29.16% 71.04%
XRX Xerox Holdings Corporation 981.31M 0.39%
7.89 0.51% 54.26% 66.57%
ASH Ashland Inc. 3.07B 0.39%
64.98 -0.69% 34.82% 52.84%
KO The Coca-Cola Company 307.36B 0.37%
71.35 1.87% 18.40% 46.62%
LGF LIONS GATE CAPITAL HOLD 0.36%
CVNA Carvana Co. 47.60B 0.33%
223.30 -9.86% 64.87% 29.74%
TYH5 US 10YR NOTE (CBT)Mar25 0.33%
HLX Helix Energy Solutions Group, Inc. 1.20B 0.32%
7.89 -2.59% 52.63% 64.77%
HLF Herbalife Nutrition Ltd. 837.58M 0.31%
8.31 3.62% 86.91% 39.93%
ENVA Enova International, Inc. 2.65B 0.31%
102.75 -2.77% 46.75% 31.38%
DKL Delek Logistics Partners, LP 2.15B 0.31%
40.02 -1.06% 31.02% 62.27%
GSYCN GOEASY LTD 0.31%
CRC California Resources Corporation 4.33B 0.31%
47.35 -2.93% 31.04% 45.66%
EFNCN ELEMENT FLEET MANAGEMENT 0.31%
LII Lennox International Inc. 21.84B 0.30%
613.96 -4.28% 32.18% 58.72%
LKQ LKQ Corporation 10.53B 0.30%
40.49 -3.02% 36.66% 48.02%
LYV Live Nation Entertainment, Inc. 34.45B 0.30%
149.40 -1.92% 33.65% 37.03%
BALN BAE SYSTEMS PLC 0.30%
PM Philip Morris International Inc. 240.07B 0.30%
154.40 1.87% 21.64% 49.97%
SBGI Sinclair Broadcast Group, Inc. 963.10M 0.30%
14.50 -2.09% 67.08% 42.14%
MPC Marathon Petroleum Corporation 48.58B 0.30%
153.74 -2.86% 33.09% 33.32%
WRLD World Acceptance Corporation 804.19M 0.30%
139.94 -3.34% 48.72% 36.22%
RITM Rithm Capital Corp. 6.19B 0.30%
11.89 -0.75% 20.05% 31.36%
MSI Motorola Solutions, Inc. 70.43B 0.30%
421.90 -2.90% 26.76% 60.60%
SYK Stryker Corporation 146.06B 0.30%
382.78 -0.94% 28.94% 34.52%
UNFI United Natural Foods, Inc. 1.90B 0.30%
31.71 -1.83% 52.74% 55.21%
PBI Pitney Bowes Inc. 1.88B 0.30%
10.32 -2.92% 58.53% 23.96%
FERGLN FERGUSON FINANCE PLC 0.29%
SPRNTS SPRINT SPECTRUM / SPEC I 0.29%
AMETRA VM CONSOLIDATED INC 0.29%
CSL Carlisle Companies Incorporated 14.92B 0.29%
334.82 -2.42% 36.20% 54.65%
LVS Las Vegas Sands Corp. 31.52B 0.29%
44.02 -2.11% 39.10% 69.07%
VICI VICI Properties Inc. 32.97B 0.29%
31.28 1.69% 23.62% 38.12%
UCGIM UNICREDIT SPA 0.29%
WEIRLN WEIR GROUP PLC (THE) 0.29%
MOGA MOOG INC 0.29%
IRM Iron Mountain Incorporated 26.96B 0.29%
91.78 -1.84% 35.97% 57.99%
LDOS Leidos Holdings, Inc. 16.63B 0.29%
126.82 -2.48% 41.67% 75.79%
PCG PG&E Corporation 35.08B 0.29%
15.99 1.91% 36.59% 39.28%
SLGN Silgan Holdings Inc. 5.81B 0.29%
54.40 -2.02% 39.49% 59.58%
BAH Booz Allen Hamilton Holding Corporation 14.22B 0.29%
112.30 -1.16% 45.29% 106.07%
BCULC 1011778 BC / NEW RED FIN 0.29%
TDG TransDigm Group Incorporated 72.36B 0.28%
1,290.13 -1.71% 31.48% 40.31%
ACA Arcosa, Inc. 4.53B 0.28%
92.96 -3.87% 33.18% 64.99%
HWM Howmet Aerospace Inc. 52.58B 0.28%
129.83 -6.22% 33.82% 52.04%
CDW CDW Corporation 24.85B 0.28%
186.50 -3.27% 36.55% 44.31%
DVA DaVita Inc. 11.39B 0.28%
142.40 -2.41% 40.62% 19.22%
GNL Global Net Lease, Inc. 1.67B 0.28%
7.25 -0.14% 92.56% 77.92%
NVDA NVIDIA Corporation 3.29T 0.27%
134.40 -4.08% 65.21% 51.45%
TMUS T-Mobile US, Inc. 302.76B 0.27%
265.17 -0.09% 24.91% 65.95%
BR Broadridge Financial Solutions, Inc. 27.54B 0.27%
235.33 -0.41% 23.96% 42.54%
Total holdings: 139 Recognized Stocks: 103 Others: 36
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