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SIXS | ETC 6 Meridian Small Cap Equity ETF Holdings

(Stock Exchange: AMEX)
Symbol Name Market Cap Weight Valuation Profitability Growth Health 200SMA Price Change IV IV Rank
INVA Innoviva, Inc. 1.20B 2.35%
19.16 0.05% 94.63% 51.35%
AMPH Amphastar Pharmaceuticals, Inc. 2.14B 1.78%
44.60 1.16% 71.38% 53.47%
SJI SOUTH JERSEY INDUSTRIES 1.67%
MANT MANTECH INTERNATIONAL CORP-A 1.55%
WIRE ENCORE WIRE CORP 1.53%
NWN Northwest Natural Holding Company 1.73B 1.41%
43.23 2.64% 49.68% 50.29%
CALM Cal-Maine Foods, Inc. 4.68B 1.40%
95.91 1.19% 30.57% 34.45%
ABG Asbury Automotive Group, Inc. 5.07B 1.38%
259.00 3.40% 38.69% 54.37%
ASIX AdvanSix Inc. 826.79M 1.37%
30.93 3.41% 81.70% 60.95%
UTL Unitil Corporation 986.08M 1.36%
60.91 2.77% 39.55% 58.58%
LTC LTC Properties, Inc. 1.75B 1.35%
38.71 1.39% 29.34% 33.92%
COKE Coca-Cola Consolidated, Inc. 10.94B 1.34%
1,248.57 0.86% N/A N/A
GPI Group 1 Automotive, Inc. 5.46B 1.33%
410.00 2.06% 34.11% 38.62%
AJRD AEROJET ROCKETDYNE HOLDINGS 1.32%
SXC SunCoke Energy, Inc. 1.07B 1.32%
12.73 1.27% 48.88% 15.50%
THS TreeHouse Foods, Inc. 1.79B 1.32%
35.03 2.32% 35.63% 23.21%
VGR VECTOR GROUP LTD 1.32%
SAFT Safety Insurance Group, Inc. 1.26B 1.31%
85.07 1.69% 17.63% 48.26%
SHEN Shenandoah Telecommunications Company 689.62M 1.31%
12.63 1.36% 63.60% 36.26%
OSIS OSI Systems, Inc. 2.76B 1.30%
165.41 3.91% 28.21% 33.73%
TTMI TTM Technologies, Inc. 2.39B 1.30%
23.45 0.62% 63.96% 39.25%
CSGS CSG Systems International, Inc. 1.60B 1.27%
55.15 1.23% 33.08% 39.24%
EGRX EAGLE PHARMACEUTICALS INC 1.27%
MLI Mueller Industries, Inc. 10.45B 1.26%
91.87 0.96% 31.27% 25.77%
BCC Boise Cascade Company 5.44B 1.25%
141.58 3.03% 38.49% 33.80%
PRDO Perdoceo Education Corporation 1.76B 1.24%
26.83 1.51% 97.27% 45.38%
XPER Xperi Holding Corporation 390.25M 1.23%
8.71 0.64% 72.04% 14.29%
CPK Chesapeake Utilities Corporation 2.96B 1.22%
129.90 0.68% 10.66% 14.25%
GIII G-III Apparel Group, Ltd. 1.29B 1.22%
29.31 2.63% 66.58% 72.56%
HTLD Heartland Express, Inc. 955.31M 1.22%
12.17 -0.16% 58.80% 40.29%
RGR Sturm, Ruger & Company, Inc. 628.90M 1.22%
37.46 0.23% 36.52% 45.81%
TR Tootsie Roll Industries, Inc. 2.57B 1.22%
32.71 0.93% 36.54% 62.40%
TWNK HOSTESS BRANDS INC 1.22%
MATX Matson, Inc. 5.04B 1.20%
151.80 0.03% 26.90% 28.02%
AVA Avista Corporation 3.09B 1.17%
39.05 1.36% 29.14% 18.38%
IRT Independence Realty Trust, Inc. 4.87B 1.17%
21.63 1.29% 183.89% 29.48%
BKU BankUnited, Inc. 3.14B 1.16%
42.02 2.49% 75.78% 42.92%
HVT Haverty Furniture Companies, Inc. 381.01M 1.16%
23.23 2.77% 78.49% 75.90%
GCO Genesco Inc. 327.12M 1.15%
29.15 1.00% 70.12% 61.35%
GTY Getty Realty Corp. 1.81B 1.15%
32.94 0.73% 7.44% 42.37%
DEA Easterly Government Properties, Inc. 1.32B 1.13%
12.48 2.42% 46.76% 21.50%
ETD Ethan Allen Interiors Inc. 745.86M 1.13%
29.33 1.24% 50.88% 69.02%
NXRT NexPoint Residential Trust, Inc. 1.17B 1.13%
46.04 0.59% 74.82% 15.94%
STBA S&T Bancorp, Inc. 1.63B 1.13%
42.72 1.81% 73.77% -0.79%
MOV Movado Group, Inc. 300.76M 1.12%
19.08 1.76% 69.32% 61.98%
JBSS John B. Sanfilippo & Son, Inc. 959.61M 1.11%
82.70 0.80% 19.81% 16.68%
PBH Prestige Consumer Healthcare Inc. 4.14B 1.11%
83.85 1.42% 39.85% 30.68%
VSTO Vista Outdoor Inc. 2.58B 1.11%
44.22 0.16% 14.95% 6.71%
CWT California Water Service Group 3.05B 1.10%
51.27 0.37% 46.81% 37.24%
KREF KKR Real Estate Finance Trust Inc. 804.96M 1.10%
11.57 0.96% 7.60% 40.54%
AWR American States Water Company 3.18B 1.09%
84.22 -0.22% 38.34% 43.42%
MSEX Middlesex Water Company 1.17B 1.09%
65.72 0.05% 46.75% 46.06%
TSE Trinseo PLC 123.55M 1.09%
3.49 7.38% 174.42% 55.53%
CSR Centerspace 1.22B 1.08%
73.34 1.09% 45.76% 24.58%
BKE The Buckle, Inc. 2.40B 1.07%
47.32 0.21% 46.34% 78.51%
COLL Collegium Pharmaceutical, Inc. 984.44M 1.07%
30.53 1.75% 65.50% 64.89%
HZO MarineMax, Inc. 666.09M 1.07%
29.48 1.80% 54.26% 16.88%
HSTM HealthStream, Inc. 967.49M 1.04%
31.81 1.63% 88.61% 70.86%
PIPR Piper Sandler Companies 6.10B 1.04%
343.01 2.66% 27.90% 55.85%
SCVL Shoe Carnival, Inc. 930.56M 1.04%
34.25 2.28% 49.86% 35.13%
WDFC WD-40 Company 3.78B 1.04%
278.65 0.37% 31.76% 43.97%
JJSF J&J Snack Foods Corp. 3.24B 1.02%
166.66 0.97% 17.76% 18.73%
CHCT Community Healthcare Trust Incorporated 523.90M 1.01%
18.55 0.87% 50.95% 66.64%
CCS Century Communities, Inc. 2.75B 1.00%
87.83 1.60% 43.11% 25.21%
ENVA Enova International, Inc. 2.68B 1.00%
102.25 2.38% 27.97% 39.00%
THRY Thryv Holdings, Inc. 602.08M 1.00%
14.32 4.22% 32.27% 50.52%
HMST HomeStreet, Inc. 215.54M 0.99%
11.43 1.51% 39.98% 25.22%
PRAA PRA Group, Inc. 831.11M 0.97%
21.08 0.76% 34.08% 31.03%
HSII Heidrick & Struggles International, Inc. 939.24M 0.96%
46.02 2.29% 42.09% 24.04%
USNA USANA Health Sciences, Inc. 760.67M 0.96%
39.91 0.99% 30.56% 49.33%
VRTS Virtus Investment Partners, Inc. 1.68B 0.95%
239.00 1.93% 34.25% N/A
AMBC Ambac Financial Group, Inc. 587.35M 0.94%
12.38 0.00% 44.84% 34.12%
MLAB Mesa Laboratories, Inc. 549.61M 0.94%
101.19 2.64% N/A N/A
LGIH LGI Homes, Inc. 2.44B 0.92%
103.78 1.96% 42.91% 30.19%
STC Stewart Information Services Corporation 2.06B 0.92%
74.34 2.75% 31.39% 21.77%
OMCL Omnicell, Inc. 2.03B 0.91%
43.87 4.90% 46.46% 20.35%
CATO The Cato Corporation 93.08M 0.90%
4.95 -18.59% 191.07% 27.20%
LXP LXP Industrial Trust 2.73B 0.90%
9.28 1.03% 73.11% 80.09%
RLGY REALOGY HOLDINGS CORP 0.89%
CASH Pathward Financial, Inc. 2.03B 0.88%
81.14 2.04% 27.54% 64.27%
BGS B&G Foods, Inc. 503.09M 0.87%
6.36 1.36% 46.01% 59.28%
ZUMZ Zumiez Inc. 423.98M 0.85%
22.15 3.17% 68.03% 85.55%
CUBI Customers Bancorp, Inc. 1.75B 0.84%
55.76 3.43% 54.36% 28.06%
ILPT Industrial Logistics Properties Trust 242.09M 0.79%
3.66 0.00% 189.03% 59.18%
GHL GREENHILL & CO INC 0.76%
ITOS iTeos Therapeutics, Inc. 295.19M 0.69%
8.08 2.93% 111.18% 32.81%
CONN CONN'S INC 0.56%
N/A CASH & OTHER 0.38%
Total holdings: 88 Recognized Stocks: 77 Others: 11
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