ETF:AMID | ETF Holdings | Argent Mid Cap ETF

AMID ETF holdings

Weights reproduce the dated portfolio and may not sum to exactly 100% because of cash, derivatives, rounding, liabilities, or other positions. Provenance stays internal.

Snapshot fieldReported value
FundArgent Mid Cap ETF
Report date2026-02-27
Reported holdings43
SEC series IDS000076459

Positions 1–43 of 43

TickerIssuerWeightValue (USD)Balance
HCAHCA Healthcare Inc4.87%5,276,871.49,962 NS
FIXComfort Systems USA Inc4.09%4,435,335.113,103 NS
MEDPMedpace Holdings Inc3.48%3,769,033.688,343 NS
NRGNRG Energy Inc3.34%3,620,002.8820,228 NS
VCTRVictory Capital Holdings Inc3.27%3,545,959.2651,257 NS
FNFabrinet3.13%3,394,364.236,221 NS
HLIHoulihan Lokey Inc2.99%3,245,757.6319,819 NS
FTNTFortinet Inc2.93%3,180,720.4140,247 NS
LPLALPL Financial Holdings Inc2.87%3,115,841.7410,373 NS
BLDTopBuild Corp2.8%3,036,335.96,773 NS
USFDUS Foods Holding Corp2.71%2,934,818.5830,378 NS
SGISomnigroup International Inc2.7%2,924,470.7232,672 NS
AMEAMETEK Inc2.57%2,783,324.711,635 NS
MPWRMonolithic Power Systems Inc2.54%2,750,575.182,407 NS
VRTVertiv Holdings Co2.54%2,754,596.2310,807 NS
CTASCintas Corp2.49%2,694,136.3513,395 NS
DHIDR Horton Inc2.46%2,670,172.7216,648 NS
URIUnited Rentals Inc2.43%2,636,7603,139 NS
AXAxos Financial Inc2.35%2,545,215.1229,316 NS
FSSFederal Signal Corp2.32%2,511,395.121,570 NS
FERGFerguson Enterprises Inc2.27%2,458,445.289,428 NS
WWDWoodward Inc2.27%2,461,727.46,365 NS
FTITechnipFMC PLC2.26%2,454,928.8237,022 NS
HLTHilton Worldwide Holdings Inc2.21%2,398,211.767,692 NS
ULSUL Solutions Inc2.21%2,394,908.3728,521 NS
AAgilent Technologies Inc2.08%2,251,356.2418,548 NS
MUSAMurphy USA Inc2.04%2,212,369.885,662 NS
IFFInternational Flavors & Fragrances Inc2.02%2,194,389.7826,686 NS
PATKPatrick Industries Inc2.01%2,176,228.217,580 NS
FSVFirstService Corp1.98%2,149,885.0813,644 NS
CACICACI International Inc1.92%2,086,171.233,419 NS
CIGIColliers International Group Inc1.91%2,068,157.8717,419 NS
CWSTCasella Waste Systems Inc1.88%2,036,198.1221,857 NS
ADUSAddus HomeCare Corp1.86%2,021,112.6619,522 NS
HEI/AHEICO Corp1.84%1,992,9138,300 NS
RLIRLI Corp1.81%1,960,961.1231,466 NS
OMFOneMain Holdings Inc1.72%1,866,938.6433,932 NS
DSGXDescartes Systems Group Inc/The1.66%1,798,223.7527,143 NS
FGXXXFirst American Government Obligations Fund1.42%1,538,699.751,538,699.75 PA
HLNEHamilton Lane Inc1.4%1,522,994.2214,513 NS
TYLTyler Technologies Inc1.18%1,279,366.833,607 NS
CRVLCorVel Corp0.72%777,465.3415,073 NS
COINCoinbase Global Inc0.44%481,125.62,736 NS

Research interface only. Not investment advice. Prices are a checked-in snapshot, not live quotes.