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SEC Form N-PORT · 2026-03-31

SURE ETF Holdings

AdvisorShares Insider Advantage ETF reported 102 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
0000940400-26-020581
Series ID
S000031813
Source
SEC Form N-PORT

All reported holdings

TickerIssuerWeightValue (USD)Balance
DSVXXDREY INST PREF GOV MM-M1.525295%737,642.88737,642.88 NS
DVADavita Inc1.357004%656,256.34,270 NS
FTITechnipFMC PLC1.293811%625,695.639,051 NS
XOMExxon Mobil Corp.1.276292%617,223.083,638 NS
ECPGEncore Capital Group Inc.1.268696%613,5508,750 NS
ODFLOld Dominion Freight Line Inc.1.227496%593,625.23,038 NS
MUSAMurphy USA Inc.1.226737%593,257.971,201 NS
MPCMarathon Petroleum Corp.1.186549%573,8232,350 NS
ALSNAllison Transmission Holdings Inc1.180024%570,667.54,875 NS
KLACKLA Corp.1.175233%568,350.26386 NS
IRDMIridium Communications, Inc.1.164192%563,011.0420,296 NS
VALVALARIS LTD1.163652%562,749.65,740 NS
FLNGFLEX LNG Ltd.1.14882%555,57718,700 NS
COPConocoPhillips1.142292%552,4204,185 NS
STGWStagwell Inc1.140665%551,63387,700 NS
ONON Semiconductor Corp.1.139538%551,0888,900 NS
AMATApplied Materials Inc.1.103947%533,875.981,562 NS
TPRTapestry Inc1.0942%529,162.53,750 NS
CATCaterpillar Inc1.085529%524,968.86741 NS
WHWyndham Hotels & Resorts Inc1.075997%520,359.386,406 NS
DVNDevon Energy Corporation1.059348%512,307.9210,181 NS
MRVLMarvell Technology Inc1.056847%511,0985,160 NS
RNRRenaissancere Holdings Ltd.1.05037%507,966.071,709 NS
FLSFlowserve Corporation1.048826%507,2196,900 NS
ITWIllinois Tool Works Inc.1.044698%505,222.891,941 NS
HLTHilton Worldwide Holdings Inc1.04251%504,164.641,658 NS
CNXCNX Resources Corporation1.036276%501,15013,000 NS
CSLCarlisle Companies Inc.1.034787%500,4301,500 NS
TXTTextron Inc.1.032021%499,0925,700 NS
PHParker-Hannifin Corp.1.029253%497,753.44556 NS
MCRIMonarch Casino & Resort Inc1.021617%494,060.85,168 NS
MCKMckesson Corp.1.019951%493,255.2570 NS
AINAlbany International Corp.1.014821%490,7749,400 NS
FTNTFortinet Inc1.013882%490,3206,000 NS
ORLYO'Reilly Automotive Inc.1.011655%489,2435,300 NS
VLOValero Energy Corp.1.011604%489,218.41,980 NS
TALOTalos Energy Inc1.004703%485,880.830,830 NS
TOLToll Brothers, Inc.1.004604%485,833.23,560 NS
MGYMAGNOLIA OIL & GAS CORP1.002706%484,915.215,360 NS
HCAHCA Healthcare Inc1.000092%483,651.281,022 NS
LRCXLam Research Corporation0.999806%483,512.582,263 NS
LMTLockheed Martin Corporation0.999804%483,512800 NS
AWKAmerican Water Works Company, Inc.0.996179%481,758.63,540 NS
SWXSouthwest Gas Holdings Inc0.993694%480,5575,530 NS
CVXCHEVRON CORP0.992559%480,0082,320 NS
MCDMcDonald's Corp.0.989682%478,616.61,540 NS
NVDANVIDIA Corp.0.984503%476,1122,730 NS
KMXCarmax Inc0.98016%474,01211,400 NS
CTSCTS Corporation0.977704%472,8249,900 NS
KFRCKforce Inc0.977072%472,518.416,160 NS
AOSSmith(Ao)Corp0.97327%470,679.727,138 NS
VVisa Inc0.968705%468,4721,550 NS
ELVElevance Health Inc.0.968556%468,4001,600 NS
PHMPULTEGROUP INC0.965965%467,146.923,972 NS
VNTVontier Corporation0.96485%466,607.8513,155 NS
HNRGHallador Energy Co0.962783%465,60828,600 NS
SAICScience Applications International Corp.0.961749%465,1084,900 NS
CROXCrocs Inc0.961343%464,9125,600 NS
EXPDExpeditors International Of Washington Inc.0.959592%464,065.23,240 NS
MTCHMatch Group Inc0.958881%463,72115,100 NS
QCOMQUALCOMM Inc.0.955718%462,191.423,589 NS
ADBEAdobe Inc0.955016%461,8521,900 NS
SEICSEI Investments Co0.952628%460,697.375,871 NS
MORNMorningstar Inc0.950806%459,8162,720 NS
HIGThe Hartford Insurance Group Inc.0.949897%459,376.313,397 NS
DHID.R. Horton, Inc.0.946567%457,765.923,336 NS
CHDNChurchill Downs Inc0.943611%456,336.45,080 NS
DXCMDexCom Inc0.940169%454,6727,240 NS
TKOTKO GROUP HOLDINGS INC0.938185%453,712.52,250 NS
MCOMoodys Corp.0.938159%453,7001,040 NS
CRMSalesforce Inc.0.937969%453,608.12,430 NS
CDECoeur Mining Inc0.931501%450,48024,000 NS
ABNBAirbnb Inc0.926981%448,2943,550 NS
APAMArtisan Partners Asset Management Inc.0.925539%447,59712,300 NS
AAPLApple Inc.0.925198%447,431.771,763 NS
MSCIMSCI Inc.0.925087%447,378.3830 NS
KBHKB Home0.920273%445,0508,600 NS
KBRKBR Inc0.914628%442,32012,000 NS
BAHBooz Allen Hamilton Holding Corp.0.911628%440,869.55,650 NS
GOOGAlphabet Inc.0.911106%440,616.961,536 NS
UHSUniversal Health Services, Inc.0.90668%438,476.52,450 NS
JPMJPMorgan Chase & Co.0.906312%438,298.41,490 NS
MSFTMicrosoft Corp.0.906276%438,281.281,184 NS
JBGSJBG SMITH PROPERTIES LP0.897252%433,91729,700 NS
DBXDropbox Inc0.892626%431,68019,000 NS
OKLOOKLO INC0.890065%430,441.28,680 NS
HGVHilton Grand Vacations Inc0.889814%430,32011,000 NS
ESNTEssent Group Ltd.0.88408%427,547.047,316 NS
MAMasterCard Incorporated0.878216%424,711850 NS
FCNCAFirst Citizens BancShares Inc (Delaware)0.869052%420,279.18223 NS
ADSKAutodesk Inc0.866303%418,9501,750 NS
URIUnited Rentals, Inc.0.864739%418,193.44574 NS
TTEKTetra Tech Inc0.86298%417,342.7213,856 NS
BKNGBooking Holdings Inc0.861902%416,821.6899 NS
CMGChipotle Mexican Grill Inc0.860472%416,13013,000 NS
DPZDominos Pizza Inc.0.85319%412,608.51,150 NS
WFCWells Fargo & Co.0.852882%412,459.415,181 NS
ENVAEnova International Inc.0.842606%407,4903,000 NS
OPCHOption Care Health Inc0.840543%406,49215,100 NS
VRSKVerisk Analytics, Inc.0.829851%401,321.252,115 NS
ONONOn Holding AG0.801949%387,82811,400 NS
BLACKROCK TREASURY TRUSTBLACKROCK TREASURY TRUST0.140996%68,186.4268,186.42 NS