PBMR ETF

PBMR ETF
$32.61
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Leveraged fundWeights reflect notional exposure via swaps/derivatives and do not sum to 100%.
Net exposure
100.0%
Gross exposure
111.1%
Long
105.5%
Short
-5.5%
Cash & collateral
0.0%
As of Jul 28, 2026
Showing the top 8 of 8 holdings · as of Jul 28, 2026
PBMR top 10 holdings, by weight
#TickerNameWeightCumulativeSharesMkt value
1Debt4Spy Us 02/26/27 C6
102.20%
102.2%482$35.13M
2DebtWest Contra Costa Calif Uni Sc
2.61%
104.8%482$895.6K
3DebtCalifornia St Univ Rev
0.73%
105.5%252,602$252.6K
4Bought USD / Sold AUD
0.00%
105.5%781$781
5Ois Payfix USD 3.4225% 09-22-25/09-22-32 Lch
0.00%
105.5%1,070,001-
6Lmt Us 08/21/26 C705
-0.04%
105.5%-13,029$-13029
7Debt4Spy Us 02/26/27 P548
-0.74%
104.8%-482$-253671
8Bought CNH Sold USD 20251016
-4.77%
100.0%-482$-1639691

PBMR ETF Top Holdings

PBMR holdings top 10 positions. The top 10 holdings account for 100.0% of the fund, led by 4Spy Us 02/26/27 C6.86 02/26/2027 at 102.2%, West Contra Costa Calif Uni Sc 5 08/01/2054 at 2.6%, California St Univ Rev 5 11/01/2029 at 0.7%.

PBMR portfolio concentration is relatively high, with the top 10 representing 100.0% of total assets.

PBMR sectors provide a detailed breakdown. PBMR overlap shows how holdings compare to other funds in your portfolio.

Showing 10 of 7 holdingsNet exposure: 100.0%
#TickerNameIndustryWeightAllocation
1-4Spy Us 02/26/27 C6.86 02/26/2027Other102.20%
2-West Contra Costa Calif Uni Sc 5 08/01/2054Other2.61%
3-California St Univ Rev 5 11/01/2029Other0.73%
4-Bought USD / Sold AUDOther-
5-Ois Payfix USD 3.4225% 09-22-25/09-22-32 LchOther-
6-Lmt Us 08/21/26 C705Other-0.04%
7-4Spy Us 02/26/27 P548.79 02/26/2027Other-0.74%
8-Bought CNH Sold USD 20251016Other-4.77%
Want to see all 7 holdings?

Holdings Distribution

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