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VSLU · Applied Finance Valuation Large Cap ETF ETF

ETF Opportunities Trust

SEC fund profile
$49.07 -0.61% At close · Sep 4
Net assets $545,756,586
Holdings460
1 month
-0.24%
Year to date
+10.87%
52-week range
$39.80–$49.46
30-session avg volume
18,925

Market performance

Adjusted close · up to five years

Since Sep 2021

Fund profile

Structure
Open-end / ETF
SEC series
S000071288
Report date
Jun 30, 2026
Holdings coverage
Full reported portfolio

Portfolio concentration

Top 10 holdings49.93%

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

Asset allocation

EC99.10%

Country allocation

US96.23%
IE1.52%
LR0.28%
BM0.27%
CH0.24%
KY0.17%
CA0.10%
Other0.28%

Portfolio holdings

Latest linked SEC Form NPORT-P report.

Export CSV
HoldingValueWeight
NVIDIA CORPORATION$55,563,79210.18%
APPLE INC.$50,946,1689.33%
ALPHABET INC.$40,756,2627.47%
MICROSOFT CORPORATION$33,500,5536.14%
META PLATFORMS, INC.$21,064,7933.86%
ELI LILLY AND COMPANY$20,151,6233.69%
VISA INC.$16,258,3492.98%
BROADCOM INC.$15,592,3872.86%
MASTERCARD INCORPORATED$11,720,8662.15%
BOOKING HOLDINGS INC.$6,948,5081.27%
MERCK & CO., INC.$6,941,1851.27%
JOHNSON & JOHNSON$6,878,2701.26%
ABBVIE INC.$6,653,1101.22%
Philip Morris International Inc.$5,253,0840.96%
THE HOME DEPOT, INC.$4,975,2570.91%
MARRIOTT INTERNATIONAL, INC.$4,839,1640.89%
APPLIED MATERIALS, INC.$4,495,6140.82%
DELL TECHNOLOGIES INC.$4,168,3350.76%
LAM RESEARCH CORPORATION$3,981,0030.73%
HILTON WORLDWIDE HOLDINGS INC.$3,900,7500.71%
O'Reilly Automotive, Inc.$3,881,6860.71%
THE COCA-COLA COMPANY$3,553,3680.65%
CATERPILLAR INC.$3,349,1110.61%
KLA CORPORATION$3,287,4320.60%
THE PROCTER & GAMBLE COMPANY$3,162,8780.58%
AMGEN INC.$3,159,4970.58%
MCDONALD'S CORPORATION$3,047,2050.56%
THE PROGRESSIVE CORPORATION$2,908,6620.53%
CONSTELLATION ENERGY CORPORATION.$2,756,4100.51%
BRISTOL-MYERS SQUIBB COMPANY$2,642,4530.48%
AUTOZONE, INC.$2,556,7520.47%
APPLOVIN CORPORATION$2,515,8680.46%
GILEAD SCIENCES, INC.$2,354,4720.43%
AMERICAN EXPRESS COMPANY$2,349,8230.43%
INTERNATIONAL BUSINESS MACHINES CORPORATION$2,327,2940.43%
MCKESSON CORPORATION$2,251,6880.41%
UNION PACIFIC CORPORATION$2,187,9680.40%
QUALCOMM INCORPORATED$2,105,4970.39%
CISCO SYSTEMS, INC.$2,019,6070.37%
MOODY'S CORPORATION$1,972,9200.36%
Altria Group, Inc.$1,963,0840.36%
YUM! Brands, Inc.$1,929,8300.35%
GENERAL MOTORS COMPANY$1,921,8360.35%
VISTRA CORP.$1,904,9880.35%
T-MOBILE US, INC.$1,888,9750.35%
MARSH & MCLENNAN COMPANIES, INC.$1,866,0370.34%
TRANSDIGM GROUP INCORPORATED$1,812,9060.33%
MICRON TECHNOLOGY, INC.$1,767,2180.32%
AON PUBLIC LIMITED COMPANY$1,678,3510.31%
ADOBE INC.$1,673,9880.31%