TMFG Motley Fool Global Opportunities ETF
ETFETF quote, holdings, sector allocation, technicals, and options analytics. Fibonacci levels
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Motley Fool Global Opportunities ETF (TMFG) ETF
No description available.
- Exchange
- BATS
- Inception
- 2014-06-17
- Has Options
- No
- Expense ratio
- 0.85% prospectus, filed Jan 5, 2026
- Assets
- $340M shares × price, Oct 9, 2026
- Trailing yield
- 0.27% paid annual
- Average daily volume
- $315K 30 sessions
- Holdings
- 44 top 10 are 46.5%
- Listed
- Jun 17, 2014 Cboe BZX
Moves with. US large-cap stocks (78% of its variance, beta 1.04). These factors explain 71% of its daily moves over the last year.
Stated objective. The investment objective of the Motley Fool Global Opportunities ETF (the Global Opportunities Fund) is to achieve long-term capital appreciation. (from the fund's prospectus)
All 44 holdingsFlow historySimilar fundsOverlap toolAll Global ETFs
- May 2026
- −$4.6M latest reported month
- Latest 3 months
- −$13M −3.8% of assets
- Latest 12 months
- −$56M −15.8% of assets
View as a table
| Month | Net flow |
|---|---|
| May 2026 | −$4.6M |
| Apr 2026 | −$5.2M |
| Mar 2026 | −$3.6M |
| Feb 2026 | −$6.7M |
| Jan 2026 | −$6.2M |
| Dec 2025 | −$5.3M |
| Nov 2025 | −$7.5M |
| Oct 2025 | −$1.5M |
| Sep 2025 | −$6.8M |
| Aug 2025 | −$766K |
| Jul 2025 | −$8.3M |
| Jun 2025 | $0 |
Net creations and redemptions from the fund's SEC filings, which become public about 60 days after each quarter. Every month since 42 months ago
| Fund | Overlap | Fee | Assets | 1Y | |
|---|---|---|---|---|---|
| LRGGNomura Focused Large Growth ETF | 24% | 0.45% | $294M | +1.5% | compare |
| BROLBaron Risk Optimized Large Cap ETF | 23% | — | $1.9M | — | compare |
| BKCGBNY Mellon Concentrated Growth ETF | 23% | 0.50% | $119M | +11.5% | compare |
| GTOPGoldman Sachs Technology Opportunities ETF | 22% | 0.65% | $743M | — | compare |
| BWTGBrendan Wood TopGun Index ETF | 22% | 0.95% | $21M | +10.5% | compare |
Ranked by how much of the two portfolios is the same securities.
- Holdings vs fair value
- +4.8% 27% under, 14% over · 71% covered
- Price / earnings
- 26.5 1% loss-making · 61% covered
- Price / book · sales
- 5.9 · 0.6 revenue growth +11.2%
- Above 200-day average
- 64% 59% above 50-day · by weight
- Short interest
- 2.8% of float, weighted · 3.4 days to cover
- Insider buying
- 7% of weight had net insider buying, 90 days; 38% net selling
- 13F holders
- +6.0% change in shares held by institutions, latest quarter
- Reporting earnings
- 7.1% of weight in 7 days; 11.4% in 14
Each figure is the fund's holdings weighted by position size, using our data on those stocks, and covers only the share of the stock holdings stated. Positive fair value means the holdings trade below our estimate.
| Action | Holding | Weight before | Weight after | Shares vs flows |
|---|---|---|---|---|
| New position | SUNBSunbelt Rentals Holdings Inc | — | 2.00% | — |
| Exit | Ashtead Group PLC | 1.86% | — | — |
| Exit | Dr Ing hc F Porsche AG | 0.02% | — | — |
1 new, 2 exited, 0 increased and 0 decreased between the fund's two latest holdings reports; turnover 7.9%. Full holdings and history
| Ex-Date | Pay Date | Amount | Type |
|---|---|---|---|
| 2025-12-18 | 2025-12-19 | $0.0815 | CD |
| 2024-12-17 | 2024-12-18 | $3.9491 | CD |
| 2023-12-13 | 2023-12-15 | $1.5067 | CD |
| 2022-12-14 | 2022-12-16 | $0.1599 | CD |
| Symbol | Name | Weight % | Asset Class | Country |
|---|---|---|---|---|
| GOOG | Alphabet Inc | 6.98% | Equity (common) | US |
| — | ICTSI | 5.52% | Equity (common) | PH |
| AMZN | Amazon.com Inc | 5.43% | Equity (common) | US |
| — | Mount Vernon Liquid Assets Portfolio, LLC | 5.17% | Short-term investment | US |
| TSM | TSMC | 4.04% | Equity (common) | TW |
| WCN | Waste Connections Inc | 3.95% | Equity (common) | CA |
| MA | Mastercard Inc | 3.95% | Equity (common) | US |
| — | Nintendo Co Ltd | 3.89% | Equity (common) | JP |
| COST | Costco Wholesale Corp | 3.73% | Equity (common) | US |
| WSO | Watsco Inc | 3.35% | Equity (common) | US |
| EQIX | Equinix Inc | 3.10% | Equity (common) | US |
| AXON | Axon Enterprise Inc | 3.09% | Equity (common) | US |
| SNEX | StoneX Group Inc | 3.08% | Equity (common) | US |
| — | Fabrinet | 3.02% | Equity (common) | TH |
| YUMC | Yum China Holdings Inc | 2.92% | Equity (common) | CN |
| — | Close Brothers Group PLC | 2.79% | Equity (common) | GB |
| FAST | Fastenal Co | 2.68% | Equity (common) | US |
| LDNXF | London Stock Exchange Group PL | 2.62% | Equity (common) | GB |
| AMT | American Tower Corp | 2.56% | Equity (common) | US |
| — | Aon PLC | 2.48% | Equity (common) | GB |
| — | U.S. Bank Money Market Deposit Account | 2.39% | Short-term investment | US |
| DXCM | Dexcom Inc | 2.36% | Equity (common) | US |
| BAM | Brookfield Asset Management Lt | 2.30% | Equity (common) | US |
| MELI | MercadoLibre Inc | 2.09% | Equity (common) | UY |
| — | Ashtead Group PLC | 1.86% | Equity (common) | GB |
| — | Symrise AG | 1.83% | Equity (common) | DE |
| CRM | Salesforce Inc | 1.78% | Equity (common) | US |
| WAT | Waters Corp | 1.70% | Equity (common) | US |
| — | Kerry Group PLC | 1.69% | Equity (common) | IE |
| — | Cellnex Telecom SA | 1.54% | Equity (common) | ES |
| CNI | Canadian National Railway Co | 1.54% | Equity (common) | CA |
| — | Cellebrite DI Ltd | 1.47% | Equity (common) | IL |
| ATEC | Alphatec Holdings Inc | 1.32% | Equity (common) | US |
| SBAC | SBA Communications Corp | 1.23% | Equity (common) | US |
| NFLX | Netflix Inc | 0.91% | Equity (common) | US |
| RTO | Rentokil Initial PLC | 0.89% | Equity (common) | GB |
| — | Universal Music Group NV | 0.89% | Equity (common) | NL |
| — | ICON PLC | 0.87% | Equity (common) | IE |
| RELX | RELX PLC | 0.83% | Equity (common) | GB |
| NOW | ServiceNow Inc | 0.74% | Equity (common) | US |
| — | Kerry Group PLC | 0.41% | Equity (common) | IE |
| — | Safaricom PLC | 0.27% | Equity (common) | KE |
| — | Dr Ing hc F Porsche AG | 0.02% | Equity (preferred) | DE |
| CROX | Crocs Inc | 0.01% | Equity (common) | US |
| — | System1 Group PLC | 0.01% | Equity (common) | GB |
| TEAM | Atlassian Corp | 0.01% | Equity (common) | AU |
| — | NMC Health PLC | 0.00% | Equity (common) | AE |
| Category | Weight | Value | Positions |
|---|---|---|---|
| Short-term investment | 7.25% | $25.8M | 2 |
| Month | '21 | '22 | '23 | '24 | '25 | '26 | Avg |
|---|---|---|---|---|---|---|---|
| Jan | -- | -6.99% | 11.26% | 1.04% | 5.16% | 0.13% | 2.12% |
| Feb | -- | -6.59% | -5.24% | 4.65% | -1.14% | -0.66% | -1.80% |
| Mar | -- | 4.52% | 3.38% | 2.22% | -4.52% | -5.88% | -0.06% |
| Apr | -- | -12.05% | 0.66% | -4.73% | 3.04% | 7.96% | -1.02% |
| May | -- | -4.00% | -1.53% | 2.16% | 3.92% | 0.08% | 0.13% |
| Jun | -- | -6.75% | 4.50% | 0.31% | 2.58% | -0.51% | 0.03% |
| Jul | -- | 8.28% | 3.22% | 2.62% | -1.53% | 1.03% | 2.72% |
| Aug | -- | -1.80% | -0.16% | 4.74% | 3.14% | -1.65% | 0.85% |
| Sep | -- | -9.63% | -4.61% | 2.76% | -0.85% | -3.68% | -3.20% |
| Oct | -- | 0.75% | -2.96% | -1.00% | 0.85% | 2.51%* | 0.03% |
| Nov | -- | 7.40% | 9.60% | 6.10% | -0.35% | -- | 5.69% |
| Dec | 1.21% | -7.25% | -0.59% | -15.61% | 0.67% | -- | -4.31% |
| Total | 1.21% | -31.05% | 17.34% | 3.31% | 11.08% | -1.27% | 0.10% |
Quick-reference for reading the values below. Indicators combine to confirm a view — no single one is a trade signal on its own.
- SMA 20 / 50 / 200 — price above = uptrend, below = downtrend. SMA 50 crossing SMA 200 is the golden/death cross.
- EMA 12 / 26 — faster-reacting averages; 12 above 26 is short-term bullish.
- MACD — bullish when MACD > signal (green badge), bearish when below. Divergence from price often precedes reversals.
- ADX (14) — trend strength regardless of direction. <20 range, 20–25 weak trend, 25–50 trend, >50 strong trend.
- +DI / −DI — +DI > −DI favors bulls; the reverse favors bears. Read alongside ADX.
- RSI (14) — <30 oversold, >70 overbought. 40–60 is neutral; trending names can stay extreme.
- Stochastic %K / %D — <20 oversold, >80 overbought. %K crossing %D is an early momentum signal.
- Williams %R — inverted scale: <−80 oversold, >−20 overbought.
Oscillators work best in range-bound markets; in strong trends they give premature reversal signals.
- Bollinger Bands — price at upper band = overbought, lower = oversold. Narrow bands (squeeze) often precede expansion.
- OBV — cumulative volume; rising OBV confirms uptrend, falling OBV confirms downtrend. Divergence from price is a warning.
- Vol SMA 20 / Vol ROC — today's volume vs. 20-day average. Positive ROC with price move = conviction.
- ATR / True Range — average daily $ move; sizing and stop-loss reference.
- HV 20 / 30 / 60 — realized (historical) volatility. Compare to IV on the options cards: IV > HV = rich premium.
Confluence matters: trend + momentum + volume agreeing carries far more weight than any single indicator. For how these feed the spread scanner score, see the algorithm docs →
Trend Indicators
Momentum Oscillators
Volume & Volatility
Data Summary
Here is the comprehensive stock analysis report for TMFG:
Executive Summary
- Overall assessment: NEUTRAL with confidence level (6/10)
- Key drivers: Moderate volatility, decent momentum signals
- Primary risks: Weak trend indicators, mixed sentiment
- Recent news sentiment impact: No recent news available, so no significant impact
Technical Analysis
Trend Direction
- Short-term (1-4 weeks): Neutral
- Medium-term (1-3 months): Uptrend
- Long-term (3-12 months): Downtrend
Support/Resistance Levels
- Key price levels:
- Resistance: $32.79 (Bollinger Band Upper), $31.74 (EMA 12)
- Support: $30.17 (Bollinger Band Lower), $30.27 (SMA 200)
Momentum Signals
- RSI interpretation: Neutral (48.09 < 70, > 30)
- MACD signal: Bullish (0.23 / -0.03 / 0.26)
- Bollinger Bands position: Neutral
Volume Analysis
- Volume trends: Moderate volume with a slight increase in recent days
- Institutional interest signals: No significant institutional buying or selling detected
News & Sentiment Analysis
Recent Headlines Summary: No recent news available, so no key themes to report.
Sentiment Assessment: Neutral sentiment due to lack of recent news.
Catalyst Identification: No upcoming events or announcements that could significantly impact the stock price.
Market Narrative: The market narrative is neutral, with the stock following the broader market's trend.
Risk & Volatility Assessment
- Beta Interpretation: Conservative (beta = 0.84), less volatile than the market.
- Volatility Regime: Moderate volatility, slightly higher than historical average.
- Options Market Signals: No significant options activity to report.
- Downside Protection: Support levels at $30.17 and $30.27 may provide some downside protection.
Market Context & Positioning
Sector Performance: TMFG is performing decently within its sector, but not outstandingly well. Institutional Activity: No significant institutional buying or selling detected. Correlation Analysis: The stock has a moderate correlation with the broader market (R-squared = 0.80). Relative Valuation: TMFG appears to be trading relatively fairly, neither significantly undervalued nor overvalued.
Key Levels & Action Items
- Critical Price Levels: Support at $30.17 and $30.27, resistance at $32.79.
- Breakout/Breakdown Levels: A potential breakout above $32.79 could trigger a significant move; a breakdown below $30.17 may lead to further losses.
- Time-Sensitive Catalysts: No imminent catalysts to report.
- Risk Management: Stop-loss levels should be set at $30.17, with position sizing considering the stock's moderate volatility.
Overall, TMFG appears to be trading within a neutral range, with mixed technical and sentiment signals. The lack of recent news and decent momentum indicators suggest that the stock may continue to trade fairly sideways, but with some potential for mean reversion or a breakout above $32.79.
TMFG Options Activity & IV Rank
Each spread is ranked by a composite score built in three stages. Full documentation →
score = P(profit) × (credit / spread_width)
P(profit) from short leg delta (1 − |delta|), penalised above 85%. Credit uses mid-price to handle illiquid chains fairly.
RR and BF (30-delta) from the persisted per-symbol skew snapshot — wing strikes picked by real greeks.delta, not a moneyness proxy. Put skew boosts bull puts, penalises bear calls. High butterfly boosts iron condors. Calendars are skew-neutral.
- RSI <40 bullish / >60 bearish
- MACD crossover + histogram trend
- Price vs SMA 50 & SMA 200
- Stochastic %K <20 / >80
- Williams %R <−80 / >−20
- Blended ATR + straddle expected-move penalty
- Bollinger Band signal (+ counter-trend penalty)
- BB width — vol contraction boost for ICs
- IV rank ≥ 75 → strong boost for credit spreads
- IV rank < 25 → penalty (selling cheap vol)
- Min open interest across all legs
- OI < 100 → −0.10 · OI < 500 → −0.05
score = base_score × skew_multiplier × tech_multiplier
Both multipliers are shown per spread. Beta is informational only — ATR already captures realized vol. Full algorithm documentation →
Enter a ticker to scan for optimal spread opportunities.
Evaluates all bull put, bear call, iron condor, and calendar spread combinations using GPU-accelerated analysis.
IV(put wing) − IV(ATM), in vol pointsHow much the OTM put trades above (or below) the at-the-money strike. Measures the height of the put-side tail relative to ATM — i.e. how expensive crash insurance is on this name.
- Positive (typical) — wing IV > ATM IV. Standard equity put skew: portfolios bid up crash protection, so OTM puts trade richer than ATM.
- Near zero or negative (unusual) — wing IV ≤ ATM IV. Flat or inverted put side. Common when there's no fear demand, in tightly mean-reverting names, or right after an earnings catalyst clears.
- Percentile vs own 3-yr history: high = wings rich (good time to sell wing premium); low = wings cheap (good time to buy protection).
- Not directional — high or low wings don't predict up or down moves. It's a price tag on tail insurance, not a forecast.
IV(call wing) − IV(put wing), equal delta on each sideWhich side of the smile is the market paying up for? Measures the tilt of the surface — call skew vs put skew at matched deltas.
- Negative (typical) — puts richer than calls. Standard equity behavior: hedging demand makes puts carry a premium. Most large-caps sit in the −1 to −5 vol-point range.
- Strongly negative (< −5 pts) — heavy downside hedging, elevated fear, or an upcoming catalyst (earnings, FDA, macro event). Worth flagging.
- Positive — calls richer than puts. Unusual for equities; signals bullish momentum, short-squeeze positioning, or takeover/M&A speculation.
- Near zero — symmetric surface. Market sees roughly equal up/down risk. Rare for large-caps; more common in commodities and FX.
Wing-vs-ATM tells you how expensive the tails are. Risk Reversal tells you which side is favored. Combined:
- High wing percentile + deeply negative RR → strong put bid; stress or major event priced in. Owning protection costs a premium; selling put premium is dangerous.
- Low wing percentile + near-zero RR → complacency; insurance cheap and balanced. Good environment to add cheap downside hedges.
- Positive RR + elevated wings → call-side fear-of-missing-out; common in squeeze setups. Upside calls expensive, downside puts not bid.
Percentile is the rank of today's reading within ~3 years of this symbol's own history. High percentile = wings are rich relative to history; not a directional signal. Skew is read off the chain in real time, not from CBOE SKEW.
Enter a ticker to render the implied volatility surface.
Enter a ticker to render the implied volatility smile.
Risk Metrics
Analysis Details
Data Points: 251
Period: 252 trading days
Moderate volatility - stock generally follows market
TMFG Institutional Ownership (13F)
Latest filings — 2026-09-30Institutional managers with $100M+ AUM file Form 13F-HR quarterly, due 45 days after quarter end. Holdings are reported gross at quarter-end market value — they are a snapshot, not a real-time position.
- Shares — long equity positions in this name, aggregated across share classes.
- Calls / Puts — notional value of long call / put exposure where this ticker is the underlying.
- % of Float — holder's reported shares divided by the latest diluted shares outstanding. Sums above 100% indicate large custodian / prime broker positions where the same shares are reported by multiple filers.
- Custodian badge — filers with more than 5,000 holdings are typically broker-dealers / custodians reporting customer-held shares, not active managers.
Each filer is counted once at its latest 13F-HR filing. New filings are ingested on a weekly cadence.
| # | Filer | Notional Value | % of Total | Period |
|---|
| # | Filer | Notional Value | % of Total | Period |
|---|
Click any bar to view the full quote for that stock.
| Symbol | Name | Weight % | Price | 1 Day | 1 Week | 1 Month |
|---|---|---|---|---|---|---|
| GOOG | Alphabet Inc | 6.98% | $347.86 | +0.87% | +2.21% | +3.70% |
| AMZN | Amazon.com Inc | 5.43% | $262.43 | +3.29% | +4.34% | +2.20% |
| TSM | TSMC | 4.04% | $453.31 | -1.02% | -4.12% | +4.63% |
| WCN | Waste Connections Inc | 3.95% | $152.83 | -1.20% | -0.64% | -4.33% |
| MA | Mastercard Inc | 3.95% | $589.14 | +2.50% | +6.68% | +3.50% |
| COST | Costco Wholesale Corp | 3.73% | $946.92 | -0.11% | +2.85% | +4.66% |
| WSO | Watsco Inc | 3.35% | $279.9 | -0.83% | -5.91% | -10.92% |
| EQIX | Equinix Inc | 3.10% | $1026.06 | +1.47% | +0.03% | -1.12% |
| AXON | Axon Enterprise Inc | 3.09% | $422.89 | +1.34% | +2.31% | -11.78% |
| SNEX | StoneX Group Inc | 3.08% | $61.23 | +1.89% | -6.95% | -12.98% |
| YUMC | Yum China Holdings Inc | 2.92% | $42.92 | +2.73% | +7.35% | +1.42% |
| FAST | Fastenal Co | 2.68% | $50.75 | +0.51% | +0.00% | +2.90% |
| AMT | American Tower Corp | 2.56% | $182.24 | +9.30% | +12.36% | +2.47% |
| DXCM | Dexcom Inc | 2.36% | $84.11 | -0.36% | -1.46% | +1.30% |
| BAM | Brookfield Asset Management Lt | 2.30% | $45.88 | +1.57% | +2.30% | -2.92% |
| MELI | MercadoLibre Inc | 2.09% | $1889.85 | +1.79% | +11.39% | -0.40% |
| CRM | Salesforce Inc | 1.78% | $229.13 | +0.58% | -2.37% | -7.50% |
| WAT | Waters Corp | 1.70% | $433.77 | +1.08% | +2.01% | +6.23% |
| CNI | Canadian National Railway Co | 1.54% | $117.78 | +0.80% | -1.66% | -3.66% |
| ATEC | Alphatec Holdings Inc | 1.32% | $10.67 | +3.09% | +6.38% | +0.85% |
| SBAC | SBA Communications Corp | 1.23% | $182.49 | +7.34% | +15.14% | -1.61% |
| NFLX | Netflix Inc | 0.91% | $70.3 | -1.77% | +4.83% | -9.17% |
| RTO | Rentokil Initial PLC | 0.89% | $20.24 | -0.05% | +1.45% | -9.52% |
| RELX | RELX PLC | 0.83% | $36.13 | +2.53% | +8.11% | +6.89% |
| NOW | ServiceNow Inc | 0.74% | $140.86 | +0.79% | +4.82% | +6.29% |
| CROX | Crocs Inc | 0.01% | $114.98 | -1.59% | -2.63% | +2.22% |
| TEAM | Atlassian Corp | 0.01% | $206.79 | +1.58% | +10.06% | +15.08% |