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SEC Form N-PORT · 2026-03-31

UDI ETF Holdings

USCF Dividend Income Fund reported 41 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
0000940400-26-022014
Series ID
S000076071
Source
SEC Form N-PORT

All reported holdings

TickerIssuerWeightValue (USD)Balance
JNJJohnson & Johnson4.557222%377,904.241,546 NS
COPConocoPhillips4.42206%366,6962,778 NS
GSKGSK plc4.162332%345,158.266,254 NS
ABBVAbbVie Inc.3.96036%328,409.91,510 NS
STTState Street Corp.3.586598%297,4162,350 NS
PSXPhillips 663.277841%271,812.561,492 NS
EXCExelon Corp.3.193348%264,806.045,402 NS
EWBCEast West Bancorp Inc3.048658%252,807.682,368 NS
CNQCanadian Natural Resources Limited3.045763%252,567.595,183 NS
ORIOld Republic International Corporation3.013999%249,933.66,264 NS
MDTMedtronic PLC2.857882%236,987.752,735 NS
LAMRLamar Advertising Company2.781428%230,647.861,821 NS
CMECME Group Inc.2.696195%223,579.95757 NS
VZVerizon Communications Inc.2.61339%216,713.44,317 NS
CCitigroup Inc.2.505505%207,767.121,832 NS
GILDGilead Sciences Inc.2.460531%204,037.681,464 NS
SNASnap-On Incorporated2.435359%201,950.32556 NS
GAPThe Gap Inc.2.374934%196,939.68,138 NS
ETREntergy Corporation2.372555%196,742.361,751 NS
ELSEquity Lifestyle Properties Inc2.350039%194,875.243,122 NS
BACBank of America Corp.2.342725%194,268.753,985 NS
PAYXPaychex Inc2.273999%188,569.642,047 NS
EMNEastman Chemical Company2.204257%182,786.42,395 NS
HSTHost Hotels & Resorts Inc2.136559%177,172.529,247 NS
NTRNutrien Ltd2.13028%176,651.862,341 NS
MTBM&T Bank Corporation2.066595%171,370.88829 NS
OMCOmnicom Group Inc2.011615%166,811.652,215 NS
GSGoldman Sachs Group, Inc.2.009786%166,660.03197 NS
BKThe Bank of New York Mellon Corp.1.981357%164,302.551,385 NS
USBU.S. Bancorp.1.978185%164,039.543,154 NS
CSCOCisco Systems, Inc.1.976142%163,870.082,112 NS
RFRegions Financial Corporation1.95008%161,708.926,191 NS
HRLHormel Foods Corp1.87238%155,265.756,855 NS
CMCSAComcast Corporation1.720019%142,631.284,968 NS
TXNTexas Instruments Inc.1.568586%130,073.8670 NS
TRPTC Energy Corp1.545292%128,142.22,047 NS
CMSCMS Energy Corporation1.512789%125,446.861,617 NS
OGEOGE Energy Corporation1.457465%120,859.22,520 NS
DGCXXDreyfus Government Cash Management Funds1.272922%105,556.09105,556.09 NS
KOCoca-Cola Co (The)1.077595%89,358.751,175 NS
STAGSTAG Industrial, Inc.0.955811%79,259.882,198 NS