ETF:KNO | ETF Holdings | AXS Knowledge Leaders ETF

KNO 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
FundAXS Knowledge Leaders ETF
Report date2026-03-31
Reported holdings65
SEC series IDS000083575

Positions 1–65 of 65

TickerIssuerWeightValue (USD)Balance
MUMicron Technology Inc.8.618413%3,221,980.089,537 NS
TELTE Connectivity PLC3.752144%1,402,733.226,711 NS
TTTrane Technologies PLC3.11567%1,164,788.32,795 NS
GRMNGarmin Ltd2.891992%1,081,166.64,660 NS
LHLabcorp Holdings Inc2.627788%982,394.423,682 NS
SUSuncor Energy Inc.2.604096%973,537.0714,766 NS
SYKStryker Corporation2.31161%864,191.72,630 NS
CNHCNH Industrial N.V.2.035678%761,03569,185 NS
GEHCGE Healthcare Technologies Inc.1.931588%722,121.110,145 NS
KYOCFKYOCERA Corp.1.887189%705,522.6647,200 NS
MEBUFMebuki Financial Group Inc1.813303%677,900.5690,400 NS
ALKSAlkermes PLC1.782904%666,53618,850 NS
BAMXFBayerische Motoren Werke AG1.716907%641,862.967,142 NS
ORKLFOrkla ASA1.712959%640,386.9151,257 NS
ENBEnbridge Inc.1.686926%630,654.6611,671 NS
HLBZFHeidelberg Materials AG1.673758%625,731.873,045 NS
JAZZJazz Pharmaceuticals PLC1.654605%618,571.63,272 NS
MIELFMitsubishi Electric Corp.1.652168%617,660.4419,700 NS
BSXBoston Scientific Corporation1.623601%606,980.759,673 NS
IMIAFIMI PLC1.594939%596,265.4917,872 NS
BLIDFBoliden AB1.493906%558,494.4510,954 NS
ASGLFAGC Inc.1.469817%549,488.9715,900 NS
CNSWFConstellation Software Inc.1.450991%542,450.58310 NS
KXSCFKinaxis Inc1.43246%535,523.065,323 NS
SUSuncor Energy Inc.1.345548%503,030.997,609 NS
TOKCFTokyo Ohka Kogyo Co., Ltd.1.326266%495,822.4910,700 NS
CCHBFCoca-Cola HBC AG1.292082%483,042.998,627 NS
EPWDFElectric Power Development Co Ltd.1.288911%481,857.4417,700 NS
SHLAFSchindler Holding AG1.243897%465,028.931,435 NS
SKSUFSekisui Chemical Co Ltd.1.231475%460,38528,100 NS
KMTUFKomatsu Ltd.1.223314%457,334.2112,100 NS
FANUFFanuc Corp.1.203469%449,915.1413,500 NS
HRIBFHoriba Ltd.1.201502%449,179.714,000 NS
RCDTFRecordati Industria Chimica e Farmaceutica S.p.A.1.200968%448,979.897,946 NS
GBERFGeberit AG1.163045%434,802.56656 NS
SOMMFSumitomo Chemical Co Ltd.1.132106%423,235.9134,800 NS
AZNAstraZeneca PLC1.065876%398,475.922,057 NS
CVVTFCovestro AG1.024583%383,038.665,576 NS
SNNUFSmith & Nephew PLC1.014301%379,194.9524,266 NS
SKLYFSkylark Holdings Co Ltd0.933182%348,868.5616,300 NS
FSVFirstService Corp.0.910989%340,571.92,456 NS
HOYFFHuhtamaki Oyj0.900549%336,668.8310,458 NS
ASBRFAsahi Group Holdings Ltd0.874107%326,783.5832,800 NS
THCLYToho Co Ltd.0.84085%314,350.3730,000 NS
NCBDFBandai Namco Holdings Inc.0.832234%311,129.5512,800 NS
FUJHFSubaru Corp.0.822606%307,530.0119,700 NS
EBCOFEbara Corp.0.815387%304,831.2311,400 NS
TPGTFTPG Telecom Ltd.0.810276%302,920.57110,021 NS
SOHGFAlsok Co Ltd.0.809156%302,501.7338,500 NS
DNPCFDai Nippon Printing Co Ltd.0.808189%302,140.317,000 NS
MDAMDA Space Ltd0.791901%296,050.8511,724 NS
ARLUFAristocrat Leisure Ltd.0.774484%289,539.799,326 NS
SAPGFSAP SE0.74205%277,414.151,639 NS
MNODFMondi PLC0.732554%273,864.2524,618 NS
COENFContact Energy Ltd0.7264%271,563.3851,465 NS
NURAFNomura Research Institute Ltd0.713799%266,852.729,800 NS
ADDTFAddtech AB0.711649%266,048.867,980 NS
SIEVFD'Ieteren Group0.672362%251,361.421,379 NS
SKFOFSika AG0.628731%235,050.211,454 NS
LFABFLifco AB0.609197%227,747.357,699 NS
FUJIFFUJIFILM Holdings Corp.0.603519%225,624.812,100 NS
GVDBFGivaudan SA0.589682%220,451.7566 NS
BRDCFBridgestone Corp.0.505357%188,927.029,200 NS
3626Tisi Inc.0.305157%114,082.595,400 NS
TMICFTrend Micro Inc.0.193828%72,462.132,200 NS

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