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GSPY · Gotham Enhanced 500 ETF ETF

Tidal Trust I

SEC fund profile
$42.75 -0.28% At close · Sep 4
Net assets $715,486,639
Holdings503
1 month
+0.83%
Year to date
+16.08%
52-week range
$34.35–$42.88
30-session avg volume
4,864

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000069980
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings40.67%

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

Asset allocation

EC99.87%
STIV3.98%

Country allocation

US102.07%
IE1.14%
NL0.26%
CH0.16%
GB0.13%
CA0.05%
BM0.02%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Apple Inc$51,670,7267.22%
NVIDIA Corp$48,052,8146.72%
Microsoft Corp$34,835,2194.87%
Alphabet Inc$34,588,7704.83%
Amazon.com Inc$32,139,4344.49%
Mount Vernon Liquid Assets Portfolio, LLC$27,659,0953.87%
Micron Technology Inc$20,525,5852.87%
Meta Platforms Inc$17,927,2682.51%
Broadcom Inc$12,302,9401.72%
Berkshire Hathaway Inc$11,253,2711.57%
Advanced Micro Devices Inc$9,646,0111.35%
Tesla Inc$9,592,2041.34%
JPMorgan Chase & Co$9,124,6511.28%
Sandisk Corp$8,863,0001.24%
Cisco Systems Inc$8,390,7551.17%
Caterpillar Inc$8,369,0491.17%
Dell Technologies Inc$8,169,2641.14%
Lam Research Corp$8,011,4051.12%
Merck & Co Inc$7,444,5191.04%
Coca-Cola Co/The$7,114,9450.99%
Visa Inc$6,754,0700.94%
Johnson & Johnson$5,664,2930.79%
Exxon Mobil Corp$5,224,0710.73%
Procter & Gamble Co/The$5,142,9580.72%
QUALCOMM Inc$4,921,6970.69%
Netflix Inc$4,898,6110.68%
PepsiCo Inc$4,879,8160.68%
T-Mobile US Inc$4,767,8930.67%
Mastercard Inc$4,760,0450.67%
McDonald's Corp$4,546,3440.64%
Walt Disney Co/The$4,458,4930.62%
Home Depot Inc/The$4,424,3710.62%
Bank of America Corp$4,249,6250.59%
KLA Corp$4,213,3800.59%
Welltower Inc$3,978,3300.56%
Pfizer Inc$3,615,5880.51%
Eli Lilly & Co$3,555,1110.50%
Gilead Sciences Inc$3,520,2110.49%
Morgan Stanley$3,474,2450.49%
CVS Health Corp$3,469,4030.48%
Applied Materials Inc$3,403,1610.48%
UnitedHealth Group Inc$3,322,1310.46%
Prologis Inc$3,320,3700.46%
Goldman Sachs Group Inc/The$3,261,6680.46%
Lowe's Cos Inc$3,258,8420.46%
S&P Global Inc$3,166,0390.44%
Altria Group Inc$3,161,9150.44%
Lockheed Martin Corp$3,087,3280.43%
Bristol-Myers Squibb Co$3,086,8190.43%
Salesforce Inc$2,886,6170.40%