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CVRD · Madison Covered Call ETF ETF

Madison ETFs Trust

SEC fund profile
$18.84 -0.78% At close · Sep 4
Net assets $31,952,955
Holdings70
1 month
+0.88%
Year to date
+5.71%
52-week range
$17.56–$22.40
30-session avg volume
2,635

Market performance

Adjusted close · up to five years

Since Aug 2023

Fund profile

Structure
Open-end / ETF
SEC series
S000081094
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings39.66%

Calculated only when the SEC filing is stored with complete portfolio coverage.

Asset allocation

EC99.28%
STIV3.84%
DE-3.24%

Country allocation

US94.92%
CH2.91%
IE2.06%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Palo Alto Networks Inc$1,534,5904.80%
Archer-Daniels-Midland Co$1,451,6004.54%
Danaher Corp$1,371,4564.29%
Amazon.com Inc$1,287,0364.03%
Agilent Technologies Inc$1,261,8853.95%
Microsoft Corp$1,230,9663.85%
US BANK MMDA - USBGFS 9$1,228,5223.84%
Visa Inc$1,166,5063.65%
Broadcom Inc$1,133,2503.55%
Union Pacific Corp$1,006,4003.15%
PepsiCo Inc$974,8803.05%
Blackrock Inc$961,5603.01%
American Tower Corp$948,7062.97%
Lowe's Cos Inc$948,1072.97%
Matador Resources Co$945,8202.96%
Transocean Ltd$929,1002.91%
T-Mobile US Inc$905,7422.83%
Adobe Inc$902,0882.82%
Marsh & McLennan Cos Inc$900,0182.82%
Meta Platforms Inc$844,9352.64%
Constellation Brands Inc$806,7222.52%
Synopsys Inc$802,9262.51%
NextEra Energy Inc$789,9302.47%
Salesforce Inc$783,3002.45%
Fiserv Inc$760,2752.38%
Comcast Corp$743,8652.33%
PayPal Holdings Inc$734,0602.30%
Illinois Tool Works Inc$703,2222.20%
Newmont Corp$700,5002.19%
Labcorp Holdings Inc$700,0002.19%
Accenture PLC$659,5322.06%
QUALCOMM Inc$646,7652.02%
Stryker Corp$629,6801.97%
Las Vegas Sands Corp$623,5651.95%
Honeywell International Inc$470,1901.47%
Honeywell Aerospace Inc$464,2681.45%
$4130.00%
$4320.00%
$5780.00%
$1,0800.00%
$1,0800.00%
$2,250-0.01%
$4,270-0.01%
$6,165-0.02%
$7,250-0.02%
$9,275-0.03%
$9,280-0.03%
$12,133-0.04%
$12,390-0.04%
$12,650-0.04%