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Main Management ETF Advisors, LLC

趨勢追蹤型產業集中型

申報總市值

US$26.8億

申報季度: 2026-03-31 · 持股檔數: 116

Main Management ETF Advisors, LLC在最新一期 13F 報告中揭露了 116 項持股,申報期為 2026-03-31,總持股市值約為 US$26.8億,季度換手率為 46.7%。

機構性格雪花圖

集中度
47.93
持倉穩定性
46.75
動能/逆勢
100
產業集中度
95.54
多樣化
100
倉位均衡度
64.09

近期動向

  • 減碼 XLF

    -34.9% -US$1.7億

  • 減碼 XLC

    -26.6% -US$1.1億

  • 減碼 XLK

    -7.4% -US$1.1億

  • 減碼 XLV

    -11.0% -US$6959.7萬

  • 加碼 XLB

    +29.2% US$3084.0萬

  • 加碼 IDEV

    +14.4% US$1065.4萬

持倉地圖

新建倉加碼不變減碼

前十大持股佔比

本季完整持股清單

僅顯示前 115 大持股(共 116 檔)

#代號標的名稱資產子類別佔比佔比變動持倉量變化4Q Trend
1XLKSs Technology Select SectorETF-科技型25.29%-2.96%-7.38%
2XLVSs Health Care Select SectorETF-其他13.91%-1.86%-11.02%
3XLCSs Comm Select Sector SpdrETF-其他9.49%-3.62%-26.56%
4XLFSs Financial Select SectorETF-其他9.01%-5.65%-34.91%
5XLYSs Consumer Disc Select SectETF-其他8.46%-0.39%-0.01%
6XLISs Industrial Select SectorETF-其他8.46%+8.46%NEW
7VFHVanguard Financials ETFETF-其他4.17%+4.17%NEW
8XLBSs Materials Select SectorETF-其他3.87%+1.28%+29.23%
9IDEVIshares Core Msci Dev MktsETF-其他2.89%+0.51%+14.45%
10ITBIshares U.s. Home ConstructiETF-其他2.17%-0.04%-0.01%
11IEMGIshares Core Msci EmergingETF-新興市場1.30%+0.30%+18.88%
12SPEUState Street Spdr PortfolioETF-其他0.92%+0.17%+18.89%
13IGVIshares Expanded Tech-softwaETF-科技型0.85%+26.67%
14ILFIshares Latin America 40 ETFETF-其他0.84%+0.84%NEW
15VPLVanguard Ftse Pacific ETFETF-其他0.57%+0.23%+48.44%
16SPEMState Street Sp Ptf Em ETFETF-其他0.52%+18.88%
17FLCHFranklin Ftse China ETFETF-新興市場0.20%+18.88%
18FLCAFranklin Ftse Canada ETFETF-其他0.19%+18.87%
19PANWPalo Alto Networks INC股票-科技0.18%+0.18%NEW
20YOUClear Secure INC -class A股票-科技0.17%+0.17%NEW
21LITELumentum Holdings INC股票-科技0.17%+0.17%NEW
22CIENCiena CORP股票-科技0.15%+0.15%NEW
23MUMicron Technology INC股票-科技0.14%-9.85%
24KEYSKeysight Technologies In股票-科技0.13%+0.13%NEW
25GEVGE Vernova INC股票-工業0.13%+0.13%NEW
26SRADSportradar Group AG股票-其他0.13%+0.13%NEW
27ADSKAutodesk INC股票-科技0.13%+0.13%NEW
28CRWDCrowdstrike Holdings INC - A股票-科技0.12%+1.83%
29UBERUber Technologies INC股票-工業0.11%+0.11%NEW
30AGXArgan INC股票-工業0.11%+0.11%NEW
31PODDInsulet CORP股票-醫療保健0.11%+159.68%
32NETCloudflare INC - Class A股票-科技0.11%-0.19%-66.33%
33FTNTFortinet INC股票-科技0.11%+0.11%NEW
34WWDWoodward INC股票-工業0.11%+0.11%NEW
35AAONAaon INC股票-工業0.11%+0.11%NEW
36TERTeradyne INC股票-科技0.11%+0.11%NEW
37TLNTalen Energy CORP股票-公用事業0.10%+0.10%NEW
38VRTVertiv Holdings Co-a股票-工業0.10%+0.10%NEW
39RBRKRubrik Inc-a股票-科技0.10%-7.81%
40VSTVistra CORP股票-公用事業0.10%+0.10%NEW
41MELIMercadolibre INC股票-循環性消費0.10%+101.92%
42BWXTBwx Technologies INC股票-工業0.10%+0.10%NEW
43ROKRockwell Automation INC股票-工業0.10%+0.10%NEW
44CEGConstellation Energy股票-公用事業0.10%+0.10%NEW
45FICOFair Isaac CORP股票-科技0.09%
46TRIXXState St Inst Tr Mmkt-prem股票-其他0.09%+280.96%
47HNGEHinge Health Inc-a股票-其他0.09%
48FFIVF5 INC股票-科技0.09%
49BSYBentley Systems Inc-class B股票-科技0.08%
50VRNSVaronis Systems INC股票-科技0.08%
150 of 115

本季持股變動

Main Management ETF Advisors, LLC 在 2026-03-31 最顯著的持倉異動: 新建倉: Ss Industrial Select Sector (XLI); 新建倉: Vanguard Financials ETF (VFH); 清倉: Vaneck Semiconductor ETF (SMH); 新建倉: Ishares Latin America 40 ETF (ILF); 清倉: Kranesh Csi China Internet (KWEB).

Main Management ETF Advisors, LLC 於截至 2026-03-31 該季申報之持倉異動,含代號、發行人、權重變化、股數變化與操作類型
#代號標的名稱佔比變動持倉量變化異動類型
1XLBSs Materials Select Sector+1.3%+29.23%加碼
2IDEVIshares Core Msci Dev Mkts+0.5%+14.45%加碼
3IEMGIshares Core Msci Emerging+0.3%+18.88%加碼
4VPLVanguard Ftse Pacific ETF+0.2%+48.44%加碼
5SPEUState Street Spdr Portfolio+0.2%+18.89%加碼
6ITBIshares U.s. Home Constructi0%-0.01%減碼
7NETCloudflare INC - Class A-0.2%-66.33%減碼
8XLYSs Consumer Disc Select Sect-0.4%-0.01%減碼
9XLVSs Health Care Select Sector-1.9%-11.02%減碼
10XLKSs Technology Select Sector-3%-7.38%減碼
11XLCSs Comm Select Sector Spdr-3.6%-26.56%減碼
12XLFSs Financial Select Sector-5.7%-34.91%減碼
13XLISs Industrial Select SectorNEW新建倉
14VFHVanguard Financials ETFNEW新建倉
15SMHVaneck Semiconductor ETFEXIT清倉
16ILFIshares Latin America 40 ETFNEW新建倉
17KWEBKranesh Csi China InternetEXIT清倉
18EIDOIshares Msci Indonesia ETFEXIT清倉
19NVDANvidia CORPEXIT清倉
20PANWPalo Alto Networks INCNEW新建倉
21ORCLOracle CORPEXIT清倉
22YOUClear Secure INC -class ANEW新建倉
23LITELumentum Holdings INCNEW新建倉
24AVGOBroadcom INCEXIT清倉
25SNOWSnowflake INCEXIT清倉
26CIENCiena CORPNEW新建倉
27Nebius Group NVEXIT清倉
28KEYSKeysight Technologies InNEW新建倉
29GEVGE Vernova INCNEW新建倉
30SRADSportradar Group AGNEW新建倉
31ADSKAutodesk INCNEW新建倉
32CRDOCredo Technology Group Holding LtdEXIT清倉
33ALABAstera Labs INCEXIT清倉
34UBERUber Technologies INCNEW新建倉
35COHRCoherent CORPEXIT清倉
36AGXArgan INCNEW新建倉
37FTNTFortinet INCNEW新建倉
38WWDWoodward INCNEW新建倉
39AAONAaon INCNEW新建倉
40TERTeradyne INCNEW新建倉
41TLNTalen Energy CORPNEW新建倉
42VRTVertiv Holdings Co-aNEW新建倉
43VSTVistra CORPNEW新建倉
44GHGuardant Health INCEXIT清倉
45MSFTMicrosoft CORPEXIT清倉
46ARGXArgenx Se - AdrEXIT清倉
47BWXTBwx Technologies INCNEW新建倉
48ROKRockwell Automation INCNEW新建倉
49CEGConstellation EnergyNEW新建倉
50DLODLocal LimitedEXIT清倉

FAQ

Main Management ETF Advisors, LLC 是什麼機構?屬於哪種投資人類型?
Main Management ETF Advisors, LLC 是一家投資管理機構,每季依規定向 SEC 申報 Form 13F,揭露其在美國上市股票的持倉資訊。根據最新一期申報(2026-03-31),該機構追蹤的股票投資組合估值約為 US$26.8億,分佈在 116 個已申報部位之中。
Main Management ETF Advisors, LLC 目前前幾大持股有哪些?
根據最新 13F 申報,Main Management ETF Advisors, LLC 按市值排列的前幾大持股為: 1. Ss Technology Select Sector (XLK) — US$6.8億 (25.3%) 2. Ss Health Care Select Sector (XLV) — US$3.7億 (13.9%) 3. Ss Comm Select Sector Spdr (XLC) — US$2.5億 (9.5%) 4. Ss Financial Select Sector (XLF) — US$2.4億 (9.0%) 5. Ss Consumer Disc Select Sect (XLY) — US$2.3億 (8.5%)
Main Management ETF Advisors, LLC 在最新一期 13F 申報中做了哪些操作?
在最新申報季度中,Main Management ETF Advisors, LLC 共進行了 50 項顯著調整:新建倉 23 個部位、加碼 5 個既有持股、減碼 7 個部位,並完全清倉 15 個持股。 其中幅度最大的異動:新建倉: Ss Industrial Select Sector (XLI); 新建倉: Vanguard Financials ETF (VFH); 清倉: Vaneck Semiconductor ETF (SMH); 新建倉: Ishares Latin America 40 ETF (ILF); 清倉: Kranesh Csi China Internet (KWEB)
Main Management ETF Advisors, LLC 主要集中投資哪些產業板塊?
根據目前已申報的股票投資組合,Main Management ETF Advisors, LLC 的主要板塊分佈如下: • Information Technology: 48.7% • Industrials: 25.7% • Health Care: 7.8% • Consumer Discretionary: 6.2% • Utilities: 6.0% • Communication Services: 3.3%