RACK holdings

All 50 positions of VanEck Data Center Supply Chain ETF.

Positions
50
Top 10 weight
43.1%
Effective holdings
33.8
1 / sum of squared weights
In stocks
99.9%
In bonds
0.0%
Outside the US
19.3%

Asset mix

  • Equity99.9%

Sectors

89% of stocks classified
  • Technology57.2%
  • Industrials10.7%
  • Utilities10.1%
  • Materials7.0%
  • Real Estate3.5%

Countries

  • United States80.7%
  • Ireland10.0%
  • Canada6.9%
  • Netherlands1.5%
  • United Kingdom0.9%

Holdings

#HoldingTypeWeightValueShares / parCountry
1MUMicron Technology, Inc.Equity5.31%$1.7M1,438US
2APHAmphenol CorporationEquity4.85%$1.5M8,597US
3SNDKSandisk Corporation Common StockEquity4.57%$1.4M628US
4CCJCameco CorporationEquity4.40%$1.4M13,495CA
5Eaton Corp PLCEquity4.23%$1.3M3,098IE
6CEGConstellation Energy Corporation Common StockEquity4.21%$1.3M5,296US
7AVGOBroadcom Inc. Common StockEquity4.17%$1.3M3,447US
8NVDANvidia CorpEquity4.10%$1.3M6,397US
9PEGPublic Service Enterprise Group IncorporatedEquity4.03%$1.3M15,499US
10VRTVertiv Holdings Co Class A Common StockEquity3.25%$1.0M3,034US
11WDCWestern Digital Corp.Equity3.08%$963K1,507US
12Seagate Technology Holdings PLCEquity3.08%$961K996IE
13AMDAdvanced Micro DevicesEquity3.00%$936K1,612US
14ORCLOracle CorpEquity2.99%$934K6,375US
15ANETArista NetworksEquity2.89%$902K5,308US
16PWRQuanta Services, Inc.Equity2.63%$823K1,143US
17CMICummins Inc.Equity2.49%$777K1,090US
18BWXTBWX Technologies, Inc.Equity2.35%$733K3,767US
19DELLDell Technologies Inc.Equity2.28%$712K1,650US
20EMREmerson Electric Co.Equity2.06%$643K4,493US
21Johnson Controls International plcEquity1.96%$612K4,190IE
22EQIXEquinix, Inc. Common Stock REITEquity1.60%$499K479US
23Nebius Group NVEquity1.53%$479K1,735NL
24OKLOOklo Inc.Equity1.47%$459K8,775US
25AMEAmetek, Inc.Equity1.43%$447K1,849US
26NXENexGen Energy Ltd.Equity1.38%$430K45,755CA
27MRVLMarvell Technology, Inc. Common StockEquity1.29%$404K1,355US
28UECUranium Energy Corp.Equity1.20%$374K35,055US
29HPEHewlett Packard Enterprise CompanyEquity1.11%$347K7,696US
30CLSCelestica, Inc.Equity1.11%$347K951CA
31ALABAstera Labs, Inc. Common StockEquity1.11%$347K718US
32LITELumentum Holdings Inc. Common StockEquity1.09%$342K398US
33QCOMQualcomm IncEquity1.05%$328K1,774US
34DLRDigital Realty Trust, Inc.Equity1.00%$312K1,738US
35CRWVCoreWeave, Inc. Class A Common StockEquity0.97%$303K3,039US
36ARMArm Holdings plc American Depositary SharesEquity0.89%$279K786GB
37IRMIron Mountain Inc.Equity0.88%$276K2,185US
38CDNSCadence Design SystemsEquity0.88%$274K731US
39PEverpure, Inc.Equity0.85%$265K3,368US
40SNPSSynopsys IncEquity0.84%$263K590US
41MPWRMonolithic Power Systems, Inc.Equity0.77%$239K173US
42nVent Electric PLCEquity0.70%$219K1,291IE
43HUBBHubbell IncorporatedEquity0.69%$217K414US
44SMCISuper Micro Computer, Inc. Common StockEquity0.69%$216K7,373US
45IONQIonQ, Inc.Equity0.67%$210K3,937US
46MTZMasTec, Inc.Equity0.67%$209K503US
47RMBSRambus IncEquity0.67%$208K1,567US
48NTNXNutanix, Inc. Class A Common StockEquity0.64%$200K3,927US
49GNRCGENERAC HOLDINGS INCEquity0.45%$142K485US
50TLNTalen Energy Corporation Common StockEquity0.38%$118K307US

Find which other funds hold a stock by opening it and choosing "ETFs holding".

Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.