FKITX Mutual Fund

FKITX Mutual Fund

NAV$11.29
Showing top 50 of 560 holdings · as of Feb 28, 2026
FKITX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1DebtPatriots Energy Group Fing AgyFinancials · Diversified Financial Services
1.46%
1.5%-$30.24MFinancialsDiversified Financial Services
2Public Fin Auth Wi Mf Hsg Reve 5.38 2036-12-01
1.22%
2.7%-$25.29M--
Sector and industry · Pro
3Public Fin Auth Wi Mf Hsg Reve 4.50 2031-12-01
1.21%
3.9%-$25.06M
4Tennergy Corp Tenn Gas Rev 5.5% Oct 01, 2053
1.16%
5.0%-$23.86M
5DebtTexas Transportation Finance Corp
1.10%
6.2%-$22.73M
6Texas St Muni Gas Acquisition Tmgutl 01/54 Adjustable Var
1.02%
7.2%-$20.99M
7Maricopa Cnty Az Indl Dev Auth 7.38 2029-10-01
0.97%
8.1%-$20.03M
8DebtFlorida Development Finance Corporation, Revenue Bonds, Brightline Florida Passenger Rail Expansion Project, Brightline Trains Florida Llc Issue, Seri
0.96%
9.1%-$19.86M
9DebtNew Jersey Economic Dev AuthRev
0.86%
10.0%-$17.73M
10DebtSan Francisco City & CountyAirport Comm-San FranciscoInternational Airport
0.84%
10.8%-$17.39M
11DebtCity Of Los Angeles Department Of Airports
0.83%
11.6%-$17.13M
12New York City Water & Sewer System 5.25% 06-15-54
0.77%
12.4%-$15.99M
13DebtKentucky Public Energy Authority
0.77%
13.2%-$15.99M
14Dallas Fort Worth Tex International Arp 5.25% Nov 01, 2043
0.76%
13.9%-$15.72M
15Black Belt Energy Gas Dist Al Regd V/R B/E 5.25000000
0.74%
14.7%-$15.34M
16DebtSoutheast Energy Authority A Cooperative District
0.74%
15.4%-$15.24M
17DebtFranklin Liberty Federal Tax-Free Bond ETF
0.73%
16.1%620,000$15.06M
18University Calif Revs For Prev 1.5% May 15, 2048
0.73%
16.9%-$15.00M
19DebtIndianapolis Local Public Improvement Bond Bank, Series 2021A
0.71%
17.6%-$14.58M
20Capital Trust Authority 03/01/2029
0.71%
18.3%-$14.73M
21DebtKentucky Municipal Energy Agency
0.69%
19.0%-$14.34M
22Philadelphia Authority For Industrial Development, Series B-1 3.9500001 07/01/2054
0.68%
19.7%-$14.00M
23DALLAS-FORT WORTH TX International ARPT REV 5.25%, due 11/01/2046
0.65%
20.3%-$13.36M
24DebtTarrant Regional Water Distric Tarwtr 09/55 Fixed Oid 4.25
0.64%
21.0%-$13.21M
25Health & Educational Facilities Authority of The State of Missouri
0.64%
21.6%-$13.30M
26DebtNyc Transitional-F
0.63%
22.2%-$13.02M
27DebtIllinois Finance Authority
0.62%
22.8%-$12.71M
28DebtMain Street Natural Gas Inc Muni Put Bond Act
0.61%
23.5%-$12.51M
29Colorado St Hlth Facs Auth Hosp Revenue
0.60%
24.1%-$12.33M
30Farmington Nm Poll Control Rev Regd B/E 2.15000000
0.59%
24.6%-$12.12M
31Main Street Natural Gas Inc., Georgia, Gas Supply Revenue Bonds, Series 2022C 08/01/2052
0.59%
25.2%-$12.10M
32DebtPort Gtr Cinci
0.59%
25.8%-$12.12M
33DebtWisconsin Health and Educational Facilities Authorityfx.Rt. Muni Bond
0.59%
26.4%-$12.12M
34California Municipal Finance Authority, Series 2025-1, Class A-2 3.5359992
0.58%
27.0%-$12.03M
35DebtCalifornia Cmnty Choice Fing A
0.57%
27.6%-$11.83M
36DebtDenver City & County School District No 1
0.56%
28.1%-$11.53M
37Gtr Orlando Fl Aviation Auth Arpt Facs Revenue
0.55%
28.7%-$11.29M
38DebtState Of Illinois
0.54%
29.2%-$11.08M
39State Of Washington Washington St-A
0.53%
29.7%-$11.00M
40Main Street Natural Gas Inc.
0.52%
30.3%-$10.81M
41Texas St Muni Gas Acquisition & Supply Corp Iii
0.52%
30.8%-$10.84M
42DebtFx.Rt. Muni Bond 01/01/2035
0.52%
31.3%-$10.65M
43DebtLee County Industrial Development Authority, Series 2019 A-1
0.52%
31.8%-$10.78M
44Dasny-A-Rev
0.52%
32.3%-$10.71M
45Oregon State Facilities Authority, Series 2018 B
0.52%
32.9%-$10.70M
46DebtPecan Public Facility Corp
0.52%
33.4%-$10.82M
47DebtMain Street Natural Gas Inc
0.50%
33.9%-$10.36M
48DebtSoutheast Energy Authority A Cooperative District
0.50%
34.4%-$10.39M
49DebtClifton Higher Education Finance Corp
0.50%
34.9%-$10.41M
50Colorado Health Facilities Authority
0.50%
35.4%-$10.29M
More holdings · Pro
Not reported for this fund: share changes.
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FKITX Mutual Fund All Holdings

FKITX holdings total 574 positions. The top 10 holdings account for 10.8% of the fund, led by Patriots Energy Group Fing Agy 5.25 10/01/2054 at 1.5%, Public Fin Auth Wi Mf Hsg Reve 5.38 2036-12-01 at 1.2%, Public Fin Auth Wi Mf Hsg Reve 4.50 2031-12-01 at 1.2%.

FKITX portfolio concentration is well-diversified, with the top 10 representing 10.8% of total assets. The largest sector exposure is Financials at 16.9%.

FKITX sector allocation provides a detailed breakdown. FKITX overlap tool shows how holdings compare to other funds in your portfolio.