ETF Series Solutions

Aptus Drawdown Managed Equity ETF

Exchange-Traded Fund
Series ID: S000054088
LEI: 5493000GL5KS6PNGYJ35
SEC CIK: 1540305
$169.87M Avg Monthly Net Assets
$189.05M Total Assets
$283K Total Liabilities
$188.77M Net Assets
Aptus Drawdown Managed Equity ETF is an Exchange-Traded Fund in ETF Series Solutions , based in Wisconsin, United States of America. The fund has one share class and monthly net assets of $169.87M. On September 30th, 2024 it reported 81 holdings, the largest being Apple Inc (6.9%), Microsoft Corp (6.7%) and NVIDIA Corp (6.2%). Data provided by Fincoded.

Share Classes

Name Class/Contract ID Exchange Ticker Monthly Returns (2 years)
Aptus Drawdown Managed Equity ETF C000170004 CBSX ADME Jul 22Aug 22Sep 22Oct 22Nov 22Dec 22Jan 23Feb 23Mar 23Apr 23May 23Jun 23Jul 23Aug 23Sep 23Oct 23Nov 23Dec 23Jan 24Feb 24Mar 24Apr 24May 24Jun 247.89% (Max)-5.89% (Min)

Holdings

From latest NPORT-P, filed September 30th, 2024 for period ending July 31st, 2024. Historic holdings data available from Fincoded.
Name Profile Category Country Value $USD # Shares % of Fund
Abbott Laboratories Long Equity-common US $1M 14K 0.78
AbbVie Inc Long Equity-common US $1M 8K 0.76
Accenture PLC Long Equity-common IE $2M 6K 1.11
Adobe Inc Long Equity-common US $1M 2K 0.55
Advanced Micro Devices Inc Long Equity-common US $953K 7K 0.50
Alphabet Inc Long Equity-common US $8M 44K 4.03
Altria Group Inc Long Equity-common US $1M 22K 0.57
Amazon.com Inc Long Equity-common US $7M 37K 3.66
Amgen Inc Long Equity-common US $834K 3K 0.44
Analog Devices Inc Long Equity-common US $2M 8K 0.99
Apple Inc Long Equity-common US $13M 59K 6.90
Applied Materials Inc Long Equity-common US $3M 14K 1.62
Automatic Data Processing Inc Long Equity-common US $567K 2K 0.30
Bank of America Corp Long Equity-common US $2M 44K 0.94
Berkshire Hathaway Inc Long Equity-common US $3M 7K 1.72
BlackRock Inc Long Equity-common US $2M 2K 1.12
Broadcom Inc Long Equity-common US $4M 24K 2.00
Caterpillar Inc Long Equity-common US $3M 9K 1.66
Cintas Corp Long Equity-common US $2M 2K 0.90
Citigroup Inc Long Equity-common US $1M 18K 0.62
Comcast Corp Long Equity-common US $735K 18K 0.39
Costco Wholesale Corp Long Equity-common US $2M 2K 0.97
CSX Corp Long Equity-common US $2M 58K 1.08
Deere & Co Long Equity-common US $1M 3K 0.58
Devon Energy Corp Long Equity-common US $1M 25K 0.62
Diamondback Energy Inc Long Equity-common US $2M 8K 0.88
Digital Realty Trust Inc Long Equity-common US $1M 8K 0.61
Duke Energy Corp Long Equity-common US $1M 11K 0.65
Eaton Corp PLC Long Equity-common US $1M 3K 0.55
Eli Lilly & Co Long Equity-common US $3M 3K 1.40
Exxon Mobil Corp Long Equity-common US $4M 31K 1.92
FedEx Corp Long Equity-common US $2M 6K 0.96
First American Treasury Obligations Fund Long Short-term investment vehicle US $764K 764K 0.40
Fiserv Inc Long Equity-common US $2M 10K 0.88
Freeport-McMoRan Inc Long Equity-common US $744K 16K 0.39
Honeywell International Inc Long Equity-common US $2M 8K 0.88
Intercontinental Exchange Inc Long Equity-common US $1M 9K 0.72
Intuit Inc Long Equity-common US $2M 3K 1.08
Intuitive Surgical Inc Long Equity-common US $1M 3K 0.69
Johnson & Johnson Long Equity-common US $2M 11K 0.92
JPMorgan Chase & Co Long Equity-common US $4M 17K 1.87
Linde PLC Long Equity-common US $3M 6K 1.40
Lockheed Martin Corp Long Equity-common US $3M 6K 1.73
Lowe's Cos Inc Long Equity-common US $2M 9K 1.20
Marriott International Inc/MD Long Equity-common US $2M 8K 0.96
Marsh & McLennan Cos Inc Long Equity-common US $2M 8K 0.95
McDonald's Corp Long Equity-common US $2M 7K 0.95
McKesson Corp Long Equity-common US $2M 3K 1.09
Merck & Co Inc Long Equity-common US $1M 11K 0.64
Meta Platforms Inc Long Equity-common US $4M 9K 2.24
Microsoft Corp Long Equity-common US $13M 30K 6.71
Mondelez International Inc Long Equity-common US $1M 20K 0.74
Morgan Stanley Long Equity-common US $2M 17K 0.95
Motorola Solutions Inc Long Equity-common US $1M 4K 0.78
Netflix Inc Long Equity-common US $1M 2K 0.67
NextEra Energy Inc Long Equity-common US $1M 18K 0.73
NVIDIA Corp Long Equity-common US $12M 100K 6.19
PepsiCo Inc Long Equity-common US $2M 14K 1.27
Pfizer Inc Long Equity-common US $710K 23K 0.38
Procter & Gamble Co/The Long Equity-common US $2M 15K 1.24
Progressive Corp/The Long Equity-common US $3M 13K 1.47
Prologis Inc Long Equity-common US $2M 15K 1.00
Public Storage Long Equity-common US $860K 3K 0.46
PulteGroup Inc Long Equity-common US $2M 13K 0.88
Schlumberger NV Long Equity-common US $534K 11K 0.28
ServiceNow Inc Long Equity-common US $3M 4K 1.76
Sherwin-Williams Co/The Long Equity-common US $813K 2K 0.43
Southern Co/The Long Equity-common US $2M 23K 1.02
SPX US 10/18/24 P3200 Derivative-equity US $-158K -0.08
SPX US 10/18/24 P3900 Derivative-equity US $900K 0.48
Stryker Corp Long Equity-common US $3M 9K 1.64
T-Mobile US Inc Long Equity-common US $2M 10K 1.01
Tesla Inc Long Equity-common US $3M 11K 1.39
Thermo Fisher Scientific Inc Long Equity-common US $2M 4K 1.32
TJX Cos Inc/The Long Equity-common US $2M 15K 0.88
Tyler Technologies Inc Long Equity-common US $1M 2K 0.60
UnitedHealth Group Inc Long Equity-common US $2M 4K 1.30
Vertex Pharmaceuticals Inc Long Equity-common US $999K 2K 0.53
Visa Inc Long Equity-common US $3M 12K 1.65
Walmart Inc Long Equity-common US $2M 30K 1.09
Walt Disney Co/The Long Equity-common US $691K 7K 0.37

Transfer Agents

U.S. Bancorp Fund Services, LLC

Pricing Services

ICE Data Pricing & Reference Data, LLC

Custodians

U.S. Bank National Association

Shareholder Servicing Agents

N/A

Admins

U.S. Bancorp Fund Services, LLC

Brokers

MERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED
ROBERT W. BAIRD & CO. INCORPORATED
BTIG, LLC
GOLDMAN SACHS & CO. LLC