SFYF ETF largest holding is AMZN at 8.58% as of Jul 29, 2026

AMZN is SFYF's largest holding at 8.58% of the fund as of Jul 29, 2026. SFYF is SoFi Social 50 ETF.

Showing top 50 of 52 holdings · as of Jul 29, 2026
SFYF holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
AMZN
Amazon.com Inc
8.58%
8.6%14,523$3.29M--
2
TSLA
Tesla, Inc.Consumer Disc. · Automobiles
7.28%
15.9%9,361$2.79MConsumer Disc.Automobiles
Sector and industry · Pro
3
NVDA
Nvidia Corp
7.26%
23.1%14,663$2.79M
4
AAPL
Apple Inc
4.79%
27.9%5,432$1.84M
5
BRK.A
Berkshire Hathaway Inc.
4.64%
32.5%3,495$1.78M
6
PLTR
Palantir Technologies, Inc. - Class A
4.32%
36.9%13,472$1.66M
7DebtMicrosoft Corp
4.29%
41.2%4,214$1.65M
8
GOOGL
Alphabet Inc., Class A
3.86%
45.0%4,398$1.48M
9
COST
Costco Wholesale
3.46%
48.5%1,363$1.33M
10
RIVN
Rivian Automotive Inc
3.18%
51.7%74,799$1.22M
11
META
Meta Platforms, Inc.
3.04%
54.7%1,990$1.17M
12
AMD
Advanced Micro Devices Inc.
3.03%
57.7%2,706$1.16M
13
SPCX
Space Exploration Technologies
2.70%
60.4%9,199$1.04M
14
MU
Micron Technology, Inc.
2.62%
63.0%1,362$1.01M
15
WMT
Walmart Inc
2.43%
65.5%8,155$931.5K
16
LLY
Eli Lilly and Company
2.31%
67.8%733$886.9K
17Taiwan Semi. Mfg. Co., Adr
2.18%
70.0%2,229$835.1K
18
AVGO
Broadcom Inc
2.02%
72.0%2,093$775.1K
19
HOOD
Robinhood Markets Inc
1.87%
73.9%7,978$716.7K
20Rocket Lab Corp Common Stock Usd
1.51%
75.4%9,864$578.0K
21
O
Realty Income Corp. - 756109104
1.48%
76.9%8,656$567.3K
22
NFLX
Netflix Inc
1.44%
78.3%7,483$551.0K
23
KO
The Coca-Cola Company
1.34%
79.6%5,793$516.0K
24
INTC
Intel Corp
1.28%
80.9%5,999$491.2K
25
PFE
Pfizer Inc USD 0.05
1.28%
82.2%19,488$490.1K
26Shopify Inc.
1.28%
83.5%3,809$492.0K
27
DIS
Walt Disney Co.
1.20%
84.7%4,660$458.9K
28
ET
Energy Transfer Lp
1.16%
85.8%22,044$445.3K
29
XOM
Exxon Mobil Corp
1.15%
87.0%2,816$441.4K
30
GME
Gamestop Corp
1.13%
88.1%19,809$432.6K
31
NKE
Nike Inc
1.08%
89.2%9,546$412.6K
32-
1.04%
90.2%2,491$398.8K
33
CVX
Chevron Corp
1.01%
91.2%2,016$386.8K
34Ford Holdings Inc
0.81%
92.1%20,408$311.8K
35
PYPL
PayPal Holdings
0.81%
92.9%5,318$310.3K
36
RDDT
Reddit Inc-A
0.79%
93.7%1,701$302.8K
37
JNJ
Johnson and Johnson
0.70%
94.4%1,016$269.8K
38
TGT
Target Corp.
0.58%
94.9%1,532$223.5K
39
DAL
Delta Air Lines
0.57%
95.5%2,521$217.4K
40
ORCL
Oracle Corp.
0.50%
96.0%1,614$190.0K
41
FGXXX
First American Government Obligations Fund
0.47%
96.5%180,612$180.6K
42
AMC
Amc Entertainment Holdings Inc
0.46%
96.9%63,953$175.9K
43
IONQ
Ionq Inc Class A
0.45%
97.4%5,351$171.2K
44
VZ
Verizon Communications, Inc.
0.41%
97.8%3,356$158.5K
45
T
AT&T Inc.
0.39%
98.2%6,258$149.8K
46
SBUX
Starbucks Corp -
0.37%
98.6%1,360$141.6K
47
LCID
Lucid Group Inc
0.33%
98.9%16,105$128.2K
48
QBTS
D-Wave Quantum, Inc.
0.32%
99.2%7,552$122.2K
49Figma Inc (180 Lockup)
0.32%
99.5%4,961$122.8K
50
SOUN
Soundhound Ai Inc-a
0.27%
99.8%18,416$105.0K
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SFYF ETF All Holdings

SFYF holdings total 52 positions. The top 10 holdings account for 51.7% of the fund, led by Amazon.Com Inc at 8.6%, Tesla, Inc. at 7.3%, Nvidia Corp at 7.3%.

SFYF portfolio concentration is relatively high, with the top 10 representing 51.7% of total assets. The largest sector exposure is Information Technology at 36.0%.

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

SFYF ETF Holdings

52 of 52 holdings

  • 1

    Amazon.Com Inc

    AMZNUnknown
    8.58%
  • 2

    Tesla, Inc.

    TSLAConsumer Discretionary
    7.28%
  • 3

    Nvidia Corp

    NVDAInformation Technology
    7.26%
  • 4

    Apple Inc

    AAPLInformation Technology
    4.79%
  • 5

    Berkshire Hathaway Inc.

    BRK.AIndustrials
    4.64%
  • 6

    Palantir Technologies, Inc. – Class A

    PLTRInformation Technology
    4.32%
  • 7

    Microsoft Corp 4.100 Feb 06 37

    MSFTInformation Technology
    4.29%
  • 8

    'alphabet Inc., Class 'a''

    GOOGLCommunication Services
    3.86%
  • 9

    Costco Whsl

    COSTConsumer Staples
    3.46%
  • 10

    Rivian Automotive Inc

    RIVNConsumer Discretionary
    3.18%
  • 11

    Meta Platforms, Inc.

    METACommunication Services
    3.04%
  • 12

    Advanced Micro Devices Inc.

    AMDInformation Technology
    3.03%
  • 13

    Space Exploration Technologies

    SPCXUnknown
    2.70%
  • 14

    Micron Technology, Inc.

    MUInformation Technology
    2.62%
  • 15

    Walmart Inc Com USD0.1

    WMTConsumer Staples
    2.43%
  • 16

    Eli Lilly And Company

    LLYHealth Care
    2.31%
  • 17

    Taiwan Semi. Mfg. Co., Adr

    TSM:TWInformation Technology
    2.18%
  • 18

    Broadcom Inc

    AVGOInformation Technology
    2.02%
  • 19

    Robinhood Markets Inc

    HOODFinancials
    1.87%
  • 20

    Rocket Lab Corp Common Stock Usd

    RKLBIndustrials
    1.51%
  • 21

    Realty Income Corp. - 756109104

    OReal Estate
    1.48%
  • 22

    Netflix Inc

    NFLXCommunication Services
    1.44%
  • 23

    The Coca-Cola Company

    KOConsumer Staples
    1.34%
  • 24

    Intel Corporation

    INTCInformation Technology
    1.28%
  • 25

    Pfizer Inc USD 0.05

    PFEHealth Care
    1.28%
  • 26

    Shopify Inc.

    SHOP:CAInformation Technology
    1.28%
  • 27

    Walt Disney Co.

    DISCommunication Services
    1.20%
  • 28

    Energy Transfer Lp

    ETEnergy
    1.16%
  • 29

    Exxon Mobil Corp

    XOMEnergy
    1.15%
  • 30

    Gamestop Corp

    GMEConsumer Discretionary
    1.13%
  • 31

    Nike Inc

    NKEConsumer Discretionary
    1.08%
  • 32

    Coin

    COINFinancials
    1.04%
  • 33

    CHEVRON CORP

    CVXEnergy
    1.01%
  • 34

    Ford Holdings Inc

    FConsumer Discretionary
    0.81%
  • 35

    Paypal Holdings

    PYPLInformation Technology
    0.81%
  • 36

    Reddit Inc-A

    RDDTCommunication Services
    0.79%
  • 37

    JOHNSON AND JOHNSON

    JNJHealth Care
    0.70%
  • 38

    Target Corp.(A)

    TGTConsumer Discretionary
    0.58%
  • 39

    Delta Air Lines

    DALIndustrials
    0.57%
  • 40

    Oracle Corp.

    ORCLInformation Technology
    0.50%
  • 41

    First American Government Obligations Fund

    FGXXXFinancials
    0.47%
  • 42

    Amc Entertainment Holdings Inc

    AMCCommunication Services
    0.46%
  • 43

    Ionq Inc Class A

    IONQInformation Technology
    0.45%
  • 44

    Verizon Communications, Inc.

    VZCommunication Services
    0.41%
  • 45

    AT&T Inc.

    TCommunication Services
    0.39%
  • 46

    Starbucks Corp - Common

    SBUXConsumer Discretionary
    0.37%
  • 47

    Lucid Group Inc

    LCIDConsumer Discretionary
    0.33%
  • 48

    D-Wave Quantum, Inc.

    QBTSInformation Technology
    0.32%
  • 49

    Figma Inc (180 Lockup)

    FIGInformation Technology
    0.32%
  • 50

    SOUNDHOUND AI INC-A

    SOUNInformation Technology
    0.27%
  • 51

    Nokia Corp-spon ADR

    NOKInformation Technology
    0.23%
  • 52

    Cash & Other

    Other
    0.02%