Noler Stock

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SEC Form N-PORT · 2026-03-31

ECML ETF Holdings

Euclidean Fundamental Value ETF reported 63 holdings. Weights reproduce the source and may not sum to exactly 100 because of cash, derivatives, rounding, liabilities, or other positions.

Report date
2026-03-31
SEC accession
0001592900-26-002738
Series ID
S000079847
Source
SEC Form N-PORT

All reported holdings

TickerIssuerWeightValue (USD)Balance
AAAlcoa Corp3.2%4,306,939.5664,932 NS
MLIMueller Industries Inc2.54%3,418,401.630,852 NS
PLABPhotronics Inc2.53%3,405,673.9884,278 NS
NEMNewmont Corp2.52%3,390,931.2531,325 NS
APAAPA Corp2.45%3,306,160.8877,902 NS
CFCF Industries Holdings Inc2.42%3,257,945.2825,092 NS
PRDOPerdoceo Education Corp2.41%3,240,097.9687,076 NS
OSKOshkosh Corp2.25%3,033,998.120,610 NS
LAURLaureate Education Inc2.23%2,997,772.9686,044 NS
FGXXXFirst American Government Obligations Fund2.19%2,944,621.092,944,621.09 PA
ALSNAllison Transmission Holdings Inc2.17%2,919,476.424,940 NS
MATXMatson Inc2.16%2,915,181.0817,782 NS
CRCCalifornia Resources Corp2.15%2,892,911.4641,793 NS
FOXAFox Corp2.15%2,891,67649,515 NS
HALHalliburton Co2.13%2,869,196.1273,588 NS
FCXFreeport-McMoRan Inc2.1%2,826,671.4248,089 NS
MOAltria Group Inc2.03%2,734,097.6841,432 NS
DVNDevon Energy Corp1.98%2,661,525.4452,892 NS
COPConocoPhillips1.86%2,507,60418,997 NS
BWABorgWarner Inc1.85%2,488,038.0445,854 NS
TPHTRI POINTE GROUP INC1.77%2,382,015.0250,974 NS
CBTCabot Corp1.73%2,332,727.2530,975 NS
BLBDBlue Bird Corp1.65%2,218,671.7239,068 NS
LNGCheniere Energy Inc1.64%2,203,112.647,764 NS
FLRFluor Corp1.61%2,169,831.4546,513 NS
CQPCheniere Energy Partners LP1.59%2,138,089.6633,082 NS
CALMCal-Maine Foods Inc1.56%2,103,015.526,570 NS
BYDBoyd Gaming Corp1.54%2,080,468.8825,316 NS
INGRIngredion Inc1.53%2,059,988.118,285 NS
EOGEOG Resources Inc1.5%2,020,221.1813,974 NS
GIIIG-III Apparel Group Ltd1.5%2,016,255.372,789 NS
VCVisteon Corp1.5%2,022,277.5622,196 NS
PPCPilgrim's Pride Corp1.43%1,922,286.0850,908 NS
BIPCBrookfield Infrastructure Corp1.41%1,895,813.9247,971 NS
GNTXGentex Corp1.41%1,896,645.5586,803 NS
OCOwens Corning1.41%1,903,589.817,590 NS
KFYKorn Ferry1.4%1,888,751.830,004 NS
HESMHess Midstream LP1.39%1,870,502.1448,122 NS
UTHRUnited Therapeutics Corp1.38%1,864,329.123,144 NS
MRKMerck & Co Inc1.32%1,773,555.7614,744 NS
TOLToll Brothers Inc1.26%1,695,093.8712,421 NS
CROXCrocs Inc1.25%1,686,717.3420,317 NS
GRBKGreen Brick Partners Inc1.24%1,676,280.0526,009 NS
YELPYelp Inc1.23%1,654,536.9866,877 NS
INVAInnoviva Inc1.22%1,649,896.370,811 NS
PHMPulteGroup Inc1.2%1,613,256.3713,717 NS
TMHCTaylor Morrison Home Corp1.19%1,601,716.4827,502 NS
TAPMolson Coors Beverage Co1.19%1,602,994.6237,227 NS
MHOM/I Homes Inc1.16%1,561,604.8512,753 NS
DHIDR Horton Inc1.12%1,503,245.110,955 NS
MTHMeritage Homes Corp1.09%1,465,236.9623,694 NS
KBHKB Home1.04%1,397,25027,000 NS
MOHMolina Healthcare Inc1.01%1,358,460.310,191 NS
MDPediatrix Medical Group Inc0.99%1,335,655.7762,443 NS
DALDelta Air Lines Inc0.99%1,333,322.8820,056 NS
ELVELEVANCE HEALTH INC0.98%1,314,154.754,489 NS
THCTenet Healthcare Corp0.97%1,307,005.466,926 NS
PTCTPTC Therapeutics Inc0.96%1,290,382.218,940 NS
CRCTCricut Inc0.94%1,264,093.82337,993 NS
LENLennar Corp0.93%1,247,456.614,365 NS
HRMYHarmony Biosciences Holdings Inc0.86%1,156,392.8541,285 NS
UHSUniversal Health Services Inc0.83%1,115,877.956,235 NS
HUMHumana Inc0.79%1,066,521.896,151 NS