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TAOZ · Thornburg American Opportunities Fund ETF

THORNBURG INVESTMENT TRUST

SEC fund profile
$91.83 -0.10% At close · Sep 4
Net assets $490,678,703
Holdings44
1 month
-0.39%
Year to date
52-week range
$80.83–$92.83
30-session avg volume
1,251

Market performance

Adjusted close · up to five years

Since Apr 2026

Fund profile

Structure
Open-end / ETF
SEC series
S000011846
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings40.07%

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

Asset allocation

EC96.17%
EP3.88%

Country allocation

US64.77%
CA9.92%
JP3.96%
GB3.91%
KR3.88%
MX2.72%
KY2.64%
Other8.24%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
Alphabet Inc$27,020,0315.51%
Apple Inc$24,116,1304.91%
Eli Lilly & Co$21,599,3354.40%
Coherent Corp$21,038,2694.29%
Round One Corp$19,425,0503.96%
Samsung Electronics Co Ltd$19,038,1283.88%
Colliers International Group Inc$16,675,7683.40%
Charles Schwab Corp/The$16,512,7313.37%
Meta Platforms Inc$16,272,8853.32%
Citigroup Inc$14,924,2153.04%
Netflix Inc$13,940,2072.84%
Talen Energy Corp$13,672,7392.79%
LPL Financial Holdings Inc$13,587,3982.77%
IQVIA Holdings Inc$13,337,7832.72%
Arca Continental SAB de CV$13,326,1972.72%
Constellation Software Inc/Canada$13,050,1962.66%
SharkNinja Inc$12,975,2312.64%
Marex Group PLC$11,330,1782.31%
Uber Technologies Inc$11,329,6252.31%
Lumine Group Inc$10,127,9442.06%
Thornburg Capital Management Fund$9,997,3682.04%
TransUnion$9,994,6362.04%
Booking Holdings Inc$9,932,0682.02%
Mastercard Inc$9,909,3982.02%
Capital Power Corp$8,838,6611.80%
Medtronic PLC$8,619,4601.76%
Techtronic Industries Co Ltd$8,507,6341.73%
Progressive Corp/The$8,026,0711.64%
Shell PLC$7,868,6821.60%
L3Harris Technologies Inc$7,686,1061.57%
Deutsche Telekom AG$7,349,0521.50%
CCC Intelligent Solutions Holdings Inc$7,225,3671.47%
Builders FirstSource Inc$6,765,9411.38%
TJX Cos Inc/The$6,711,6021.37%
Teleperformance SE$6,522,2791.33%
Somnigroup International Inc$6,424,7231.31%
TotalEnergies SE$6,038,1421.23%
Deckers Outdoor Corp$5,941,6131.21%
Regions Financial Corp$5,450,7381.11%
Capital One Financial Corp$5,225,5491.06%
Raymond James Financial Inc$5,047,8521.03%
Adobe Inc$5,032,6261.03%
SLB Ltd$3,401,3010.69%
T-Mobile US Inc$1,103,1600.22%