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Goose Hollow Tactical Allocation ETF GHTA:Cboe Consolidated Listings

Last Price Today's Change Today's Volume Schwab Report CardSchwab Report Card
$30.56 +0.1375 (0.45%) 21,068 Above Avg. 
As of 2:55 pm ET 05/14/2025

Portfolio Breakdown

Portfolio Holdings Performance Change as of 05/14/2025

Portfolio Holdings PerformanceIGVGHMSAGNCEWZQQQDUSTEWWGXGECH

Portfolio Overview as of 04/30/2025

Total Holdings38
Total Holdings (Long)33
Total Holdings (Short)5
Portfolio Turnover129%
GHTA has a Diversified Portfolio
Holdings Details
22.8% Category Average
68.1% Top Ten Holdings

Top 10 Holdings

Symbol
Description
% of
Net Assets
Sub Industry
 
IGViShares Expanded Tech-Softwar...
  • 15.28%
--
GHMSGoose Hollow Multi-Strategy I...
  • 12.13%
--
AGNCAGNC Investment Corp
  • 9.36%
Mortgage Real Estate Investme...
TFLOiShares Treasury Floating Rat...
  • 8.98%
--
EWZiShares MSCI Brazil ETF
  • 6.90%
--
QQQInvesco QQQ Trust
  • 5.80%
--
DUSTDirexion Daily Gold Miners Be...
  • 5.38%
--
EWWiShares MSCI Mexico ETF
  • 4.98%
--
GXGGlobal X MSCI Colombia ETF
  • 4.07%
--
ECHiShares MSCI Chile ETF
  • 2.90%
--
Portfolio Details data as of 05/12/2025% of portfolio in top 10 holdings: 75.78%

Sector Weightings as of 02/01/2025

Sector
% of Assets
Market Cap
YTD
3 Month
Financials
33.5%
 
$7.9M+4.9%-1.6%
Information Technolo...
26.0%
 
$16.0M-1.8%-2.7%
Consumer Staples
9.6%
 
$3.1M+3.0%-3.2%
Industrials
8.5%
 
$5.2M+5.7%+1.5%
Materials
6.5%
 
$1.2M+1.3%-4.8%
Consumer Discretiona...
6.3%
 
$5.9M-5.4%-6.5%
Communication Servic...
3.3%
 
$4.7M-0.2%-7.8%
Utilities
2.5%
 
$1.3M+5.0%+0.4%
Energy
1.9%
 
$1.7M-0.9%-4.4%
Real Estate
1.1%
 
$1.4M-0.5%-3.5%
Health Care
0.9%
 
$5.3M-4.6%-10.0%
 as of 04/30/2025

Portfolio Assets

Asset Breakdown Chart
 %Long%Short%Net
Domestic Stock
40.590.9139.69
Foreign Stock
32.700.0032.70
U.S. Bonds
14.683.8610.82
Non-U.S. Bonds
7.780.956.83
Preferred
1.730.001.73
Convertible
0.010.000.01
Cash
11.293.807.49
Other
0.740.000.74
Non-U.S. assets may include holdings that do not include a country identifier.

Market Capitalization

Pie Graph
Large Cap
32.39%
Giant Cap
24.79%
Mid Cap
21.51%
Small Cap
20.50%
Micro Cap
0.81%
Avg. Market Cap: $32,553.08M
Market Capitalization is calculated only using the long position holdings of the portfolio.

Sector Weightings – Fixed Income

Pie Graph
Government
52.99%
Cash & Equivalents
23.12%
Future/Forward
7.62%
Preferred Stock
4.93%
Agency Mortgage-Backed
4.17%
Government Related
4.12%
Corporate Bond
2.72%
Covered Bond
0.31%
Non-Agency Residential Mortgage-Backed
0.01%
Asset-Backed
0.01%
Sector Breakdown is calculated only using the long position holdings of the portfolio.

Credit Ratings

Pie Graph
AA
46.86%
AAA
18.12%
BBB
14.42%
A
7.64%
BB
6.41%
Not Rated
4.76%
B
1.14%
Below B
0.64%

Top Ten Countries

United States54.15%
Mexico10.45%
Brazil9.25%
Chile5.13%
Colombia3.21%
Indonesia1.65%
India1.64%
Turkey0.77%
United Kingdom0.71%
Canada0.62%
Top Ten Countries is calculated only using the long position holdings of the portfolio.

Regional Holdings

 
 
 
 
 
 
 
 
 
 
100%0%
55.39%United States
38.25%Latin America
4.00%Asia Emerging
1.47%Europe Emerging
0.49%Canada
0.15%Euro Zone
0.11%United Kingdom
0.06%Japan
0.04%Asia Developed
0.02%Middle East
Regional Holdings is calculated only using the long position holdings of the portfolio.
 
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