ETF:BUSA | ETF Holdings | Brandes U.S. Value ETF

BUSA 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
FundBrandes U.S. Value ETF
Report date2026-03-31
Reported holdings65
SEC series IDS000081644

Positions 1–65 of 65

TickerIssuerWeightValue (USD)Balance
MRKMerck & Co., Inc2.858494%7,856,380.4865,312 NS
CCitigroup Inc.2.772206%7,619,224.0367,183 NS
TXTTextron Inc.2.512174%6,904,543.878,855 NS
PFEPfizer Inc.2.395568%6,584,058234,475 NS
FDXFedEx Corporation2.394764%6,581,850.2218,479 NS
BACBank of America Corp.2.380161%6,541,713.75134,189 NS
HALHalliburton Company2.371901%6,519,011.03167,197 NS
CVXCHEVRON CORP2.32643%6,394,037.630,904 NS
CIThe Cigna Group2.23266%6,136,31723,004 NS
BDXBecton, Dickinson and Company2.176388%5,981,658.1238,044 NS
SNYSanofi SA2.099356%5,769,940.44119,758 NS
WFCWells Fargo & Co.2.0912%5,747,523.5672,196 NS
PNCPNC Financial Services Group Inc.2.063991%5,672,741.4927,261 NS
SLBSLB LTD1.989235%5,467,279.32106,388 NS
DOXAMDOCS LTD1.983586%5,451,755.1483,539 NS
GOOGAlphabet Inc.1.936835%5,323,261.0218,557 NS
ACGLArch Capital Group Ltd.1.928962%5,301,623.6955,231 NS
WLKWestlake Corporation1.904656%5,234,821.0244,811 NS
JNJJohnson & Johnson1.809442%4,973,131.820,345 NS
EMREmerson Electric Co.1.800573%4,948,756.4237,771 NS
CTSHCognizant Technology Solutions Corp.1.738913%4,779,287.777,902 NS
KNXKNIGHT-SWIFT TRANSPORTATION HOLDINGS INC1.731066%4,757,720.2482,628 NS
OMCOmnicom Group Inc1.729144%4,752,437.5563,105 NS
CMCSAComcast Corporation1.717847%4,721,388.21164,451 NS
WTWWILLIS TOWERS WATSON PLC1.717483%4,720,386.616,238 NS
SSNCSS&C Technologies Holdings Inc.1.642936%4,515,500.3966,827 NS
HCAHCA Healthcare Inc1.616132%4,441,830.649,386 NS
UNHUnitedHealth Group Inc.1.560077%4,287,769.1415,846 NS
EPAMEPAM Systems Inc.1.536016%4,221,636.631,179 NS
LHLabcorp Holdings Inc1.472854%4,048,041.3215,172 NS
CVSCVS Health Corp1.451643%3,989,744.6455,552 NS
CTVACorteva Inc1.431739%3,935,039.6847,008 NS
ICLRIcon PLC1.428851%3,927,102.0835,488 NS
PGRThe Progressive Corporation1.425761%3,918,610.0819,767 NS
MCKMckesson Corp.1.404886%3,861,236.324,462 NS
NGGNational Grid PLC1.37718%3,785,088.644,741 NS
IFFInternational Flavors & Fragrances Inc.1.354211%3,721,960.151,302 NS
HXLHexcel Corporation1.347796%3,704,327.9645,772 NS
ALSNAllison Transmission Holdings Inc1.347767%3,704,246.6431,644 NS
SYYSysco Corporation1.335955%3,671,783.0851,476 NS
TGTTarget Corp.1.30953%3,599,155.229,696 NS
ARWArrow Electronics, Inc.1.294087%3,556,711.4124,801 NS
MUMicron Technology Inc.1.287228%3,537,860.4810,472 NS
EFXEquifax Inc.1.278636%3,514,246.1219,516 NS
AJGGallagher Aj &Co1.247424%3,428,461.415,830 NS
ETREntergy Corporation1.206412%3,315,743.629,510 NS
CAHCardinal Health, Inc.1.186086%3,259,879.3715,427 NS
FLEXFLEX LTD1.17969%3,242,299.2649,531 NS
EVRGEvergy Inc1.169233%3,213,557.7639,228 NS
LKQLKQ Corporation1.099545%3,022,026.15102,895 NS
BKThe Bank of New York Mellon Corp.1.064912%2,926,839.3624,672 NS
AZOAutozone, Inc.1.047094%2,877,868.56852 NS
MHKMohawk Industries, Inc.1.037393%2,851,204.6828,958 NS
STTState Street Corp.1.034469%2,843,170.422,465 NS
INGRIngredion Incorporated0.994965%2,734,596.1824,273 NS
KVUEKenvue Inc.0.972997%2,674,217.08155,117 NS
JPMJPMorgan Chase & Co.0.961328%2,642,145.128,982 NS
FISVFiserv Inc.0.949912%2,610,770.446,788 NS
TFCTruist Financial Corp.0.939376%2,581,813.1156,163 NS
WKCWorld Kinect Corporation0.793448%2,180,737.8994,527 NS
WRBW.R. Berkley Corporation0.736489%2,024,191.230,540 NS
JP Morgan Trust IiJP Morgan Trust Ii0.679972%1,868,858.871,868,858.87 NS
QRVOQorvo Inc0.673144%1,850,092.223,903 NS
CAECAE Inc0.66418%1,825,453.7570,075 NS
WATWaters Corporation0.458223%1,259,396.24,229 NS

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