SRH U.S. Quality GARP ETF

SRHQ
As of (10/02/2025)

NAV:

$39.00

Market Price:

$39.00

AUM:

$171,734,862.26

Overview

Reasons to Consider the SRH U.S. Quality GARP ETF (SRHQ)

  • Focus on Quality Growth at a Reasonable Price (GARP) – SRHQ seeks to invest in companies that exhibit consistent and moderate revenue growth but do not trade at excessive valuations.

  • Diversified Portfolio of U.S. Stocks – SRHQ seeks to provide access to a portfolio of U.S. stocks that exhibit a market beta close to that of widely followed broad-based U.S. benchmarks.

  • Disciplined Investment Process – SRHQ’s underlying index utilizes an objective, rules-based methodology that is transparent.

Investment Objective & Strategy

The SRH U.S. Quality GARP ETF (the “Fund”) seeks to provide investment results (before fees and expenses) that correspond to the SRH U.S. Quality GARP Index (the “Index”).

The Index is designed to track the performance of the stocks of domestic (U.S.) companies that have moderate and consistent revenue growth but do not trade at excessive valuations. Stocks are screened through value, growth, and quality metrics to determine eligibility in the Index. Indexes are unmanaged and one cannot invest directly in an index. Index performance returns do not reflect any management fees, transaction costs or expenses.

Fund Details

As of 10/02/2025  
Ticker Symbol SRHQ
Index Ticker SRHUSQTR
CUSIP 210322103
Inception Date 10/04/2022
Expense Ratio 0.35%
Distribution Frequency Quarterly
Exchange NYSE Arca
Total Net Assets $171,734,862.26
30 Day Median Bid/Ask Spread 0.23%
Number of Holdings 60
Premium / Discount 0.00%
As of 06/30/2025  
30 Day SEC Yield 0.84%
Distribution Yield 0.79%

Distributions

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Performance

Cumulative (%) (As of 09/30/2025 ) Annualized (%) (As of 09/30/2025 )
1 Month 3 Month Year to Date Since Inception 1 Year 3 Year 5 Year Since Inception
Fund NAV 0.74% 3.74% 4.44% 54.44% 3.52% - - 15.65%
Fund Market Price 0.73% 3.74% 4.43% 54.50% 3.56% - - 15.67%
SRH U.S. Quality GARP Index 0.76% 3.82% 4.74% 56.22% 3.89% - - 16.09%
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Performance data quoted represents past performance. Past performance does not guarantee future results. The investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than their original cost. Current performance may be lower or higher than the performance quoted. For periods greater than one year, performance data is annualized.

Shares of ETFs are bought and sold at market price (not NAV) and are not individually redeemed from the Fund. Market returns are based upon the midpoint of the bid/ask spread at 4:00 p.m. Eastern time (when NAV is normally determined for most ETFs), and do not represent the returns you would receive if you traded shares at other times. Ordinary brokerage commissions may apply and will reduce returns. Returns include reinvestment of dividends and capital gains. The Fund commenced operations on October 4, 2022, and first traded on the exchange on October 5, 2022.

Holdings

(As of 10/03/2025)
Security Ticker Security ID Number of Shares Market Value Weight
Ciena Corp CIEN 171779309 44,268 $6,757,952.88 3.93%
EMCOR Group Inc EME 29084Q100 7,237 $4,778,446.36 2.78%
Frontdoor Inc FTDR 35905A109 69,629 $4,757,053.28 2.77%
Vistra Corp VST 92840M102 22,778 $4,615,961.70 2.69%
Pegasystems Inc PEGA 705573103 76,960 $4,428,278.40 2.58%
Jabil Inc JBL 466313103 19,660 $4,240,465.40 2.47%
Polaris Inc PII 731068102 65,343 $4,093,085.52 2.38%
Leidos Holdings Inc LDOS 525327102 19,824 $3,823,851.36 2.23%
Watts Water Technologies Inc WTS 942749102 13,118 $3,682,091.42 2.14%
EnerSys ENS 29275Y102 29,211 $3,359,849.22 1.96%
Autodesk Inc ADSK 052769106 10,218 $3,279,058.38 1.91%
Arcosa Inc ACA 039653100 34,688 $3,208,293.12 1.87%
NIKE Inc NKE 654106103 42,141 $3,142,454.37 1.83%
Keysight Technologies Inc KEYS 49338L103 17,861 $3,128,532.76 1.82%
Applied Industrial Technologie AIT 03820C105 11,871 $3,076,488.36 1.79%
Plexus Corp PLXS 729132100 20,878 $3,073,659.16 1.79%
Cardinal Health Inc CAH 14149Y108 19,417 $3,076,817.82 1.79%
Nasdaq Inc NDAQ 631103108 35,264 $3,079,957.76 1.79%
CVS Health Corp CVS 126650100 39,485 $3,058,113.25 1.78%
McKesson Corp MCK 58155Q103 3,975 $3,015,832.50 1.76%
New York Times Co/The NYT 650111107 53,934 $2,998,730.40 1.75%
Dropbox Inc DBX 26210C104 100,155 $2,989,626.75 1.74%
NVR Inc NVR 62944T105 369 $2,978,424.09 1.73%
Cencora Inc COR 03073E105 9,619 $2,968,134.83 1.73%
Nutanix Inc NTNX 67059N108 38,317 $2,947,343.64 1.72%
Fox Corp FOXA 35137L105 47,264 $2,933,203.84 1.71%
Home Depot Inc/The HD 437076102 7,298 $2,882,782.98 1.68%
Essent Group Ltd ESNT G3198U102 46,347 $2,853,121.32 1.66%
Cboe Global Markets Inc CBOE 12503M108 11,821 $2,854,653.29 1.66%
Gen Digital Inc GEN 668771108 100,797 $2,830,379.76 1.65%
PayPal Holdings Inc PYPL 70450Y103 40,995 $2,825,785.35 1.65%
Box Inc BOX 10316T104 86,687 $2,817,327.50 1.64%
Toro Co/The TTC 891092108 36,771 $2,812,246.08 1.64%
Eagle Materials Inc EXP 26969P108 12,054 $2,817,260.88 1.64%
Qualys Inc QLYS 74758T303 21,243 $2,778,159.54 1.62%
Sirius XM Holdings Inc SIRI 829933100 118,658 $2,681,670.80 1.56%
Owens Corning OC 690742101 18,730 $2,638,682.40 1.54%
Booz Allen Hamilton Holding Co BAH 099502106 25,580 $2,637,553.80 1.54%
FTI Consulting Inc FCN 302941109 16,304 $2,600,814.08 1.51%
Humana Inc HUM 444859102 10,110 $2,594,428.20 1.51%
ACI Worldwide Inc ACIW 004498101 48,897 $2,592,518.94 1.51%
Akamai Technologies Inc AKAM 00971T101 33,231 $2,592,350.31 1.51%
Amgen Inc AMGN 031162100 8,585 $2,553,179.00 1.49%
Credit Acceptance Corp CACC 225310101 5,180 $2,487,384.20 1.45%
Science Applications Internati SAIC 808625107 23,827 $2,398,187.55 1.40%
Coca-Cola Consolidated Inc COKE 191098102 19,816 $2,364,048.80 1.38%
Target Corp TGT 87612E106 25,633 $2,294,409.83 1.34%
Genpact Ltd G G3922B107 53,099 $2,198,298.60 1.28%
Euronet Worldwide Inc EEFT 298736109 25,036 $2,204,670.16 1.28%
Corpay Inc CPAY 219948106 7,671 $2,201,423.58 1.28%
TriNet Group Inc TNET 896288107 33,760 $2,170,768.00 1.26%
Elevance Health Inc ELV 036752103 6,150 $2,092,476.00 1.22%
GoDaddy Inc GDDY 380237107 14,850 $1,989,900.00 1.16%
Conagra Brands Inc CAG 205887102 100,305 $1,923,849.90 1.12%
Fortive Corp FTV 34959J108 36,555 $1,819,707.90 1.06%
Iridium Communications Inc IRDM 46269C102 97,919 $1,825,210.16 1.06%
UnitedHealth Group Inc UNH 91324P102 5,105 $1,805,740.60 1.05%
Insperity Inc NSP 45778Q107 29,963 $1,467,887.37 0.85%
Ralliant Corp RAL 750940108 12,184 $538,776.48 0.31%
INVESCO GOVERNMENT & AGENCY PORTFOLIO INST AGPXX 825252885 116,327 $116,327.24 0.07%
Total 100%
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Holdings are subject to change.

Sector Breakdown

(As of 10/03/2025)

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