Start with the fund's observed price, risk, structure, holdings weights, and holdings-weighted company fundamentals; then use the focused tabs to research only this ETF's governed company sleeve.
252 observations · USD · distributions not reinvested.
252 plotted 1Y observations reconcile to the latest dashboard close.
Direct holdings: tradingview_etf_holdings · Jul 21, 2026 · current
Company sleeve: tradingview_etf_holdings · Jul 21, 2026 · current
| Mapped company | Sector | Fund weight |
|---|---|---|
| Palo Alto Networks, Inc.NASDAQ:PANW | Technology Services | 9.58% |
| Fortinet, Inc.NASDAQ:FTNT | Technology Services | 9.04% |
| CrowdStrike Holdings, Inc.NASDAQ:CRWD | Technology Services | 8.25% |
| Cisco Systems, Inc.NASDAQ:CSCO | Electronic Technology | 7.35% |
| Broadcom Inc.NASDAQ:AVGO | Electronic Technology | 6.82% |
| F5, Inc.NASDAQ:FFIV | Technology Services | 3.32% |
| Akamai Technologies, Inc.NASDAQ:AKAM | Technology Services | 2.98% |
| Gen Digital Inc.NASDAQ:GEN | Technology Services | 2.22% |
| Arista Networks, Inc.NYSE:ANET | Electronic Technology | 2.16% |
| Check Point Software Technologies Ltd.NASDAQ:CHKP | Technology Services | 2.11% |
| Reported holding | Legal asset class | Sector | CIBR weight |
|---|---|---|---|
| NASDAQ:PANWPalo Alto Networks, Inc. | equity | Technology Services | +9.58% |
| NASDAQ:FTNTFortinet, Inc. | equity | Technology Services | +9.04% |
| NASDAQ:CRWDCrowdStrike Holdings, Inc. Class A | equity | Technology Services | +8.25% |
| NASDAQ:CSCOCisco Systems, Inc. | equity | Electronic Technology | +7.35% |
| NASDAQ:AVGOBroadcom Inc. | equity | Electronic Technology | +6.82% |
| NYSE:NETCloudflare Inc Class A | equity | Technology Services | +4.44% |
| NASDAQ:OKTAOkta, Inc. Class A | equity | Technology Services | +3.62% |
| NASDAQ:FFIVF5, Inc. | equity | Technology Services | +3.32% |
| NASDAQ:ZSZscaler, Inc. | equity | Technology Services | +3.18% |
| NASDAQ:AKAMAkamai Technologies, Inc. | equity | Technology Services | +2.98% |
All 24 mapped positive-weight company rows reconcile to the 72.49% company sleeve. TradingView-reported latest composition; responses above 1,000 rows remain explicitly partial.
ready · direct reported holdings weights; missing rows are not reallocated.
| Metric | Weighted value | Period | Formula | Eligibility / exclusions | Companies | Metric fund weight | Distribution | Status |
|---|---|---|---|---|---|---|---|---|
| P/E TTM | 33.78x | TTM | weighted harmonic mean | positive finite values2 missing value | 22 | 64.1% | Unweighted · median 27.23x | partial |
| P/B FQ | 8.81x | FQ | weighted harmonic mean | positive finite values1 missing value | 23 | 72.4% | Unweighted · median 7.13x | ready |
| P/S current | 5.20x | current | weighted harmonic mean | positive finite valuesNo reported exclusions | 24 | 72.5% | Unweighted · median 4.93x | ready |
| Gross margin | 67.0% | current provider value | weighted arithmetic mean | signed finite values; non-financial operating companiesNo reported exclusions | 24 | 72.5% | Unweighted · median 67.0% | ready |
| Net margin | 18.5% | current provider value | weighted arithmetic mean | signed finite valuesNo reported exclusions | 24 | 72.5% | Unweighted · median 14.4% | ready |
| Return on equity | -4.2% | current provider value | weighted arithmetic mean | signed finite valuesNo reported exclusions | 24 | 72.5% | Unweighted · median 28.1% | ready |
| Return on assets | 10.2% | current provider value | weighted arithmetic mean | signed finite valuesNo reported exclusions | 24 | 72.5% | Unweighted · median 9.9% | ready |
| Debt / equity | 0.60x | current provider value | weighted arithmetic mean | non-negative finite values; non-financial companies1 missing value | 23 | 72.4% | Unweighted · median 0.32x | ready |
| Current ratio | 1.44x | current provider value |
CIBR company holdings Jul 21, 2026 · tradingview_etf_holdings; fundamentals through Jul 22, 2026 · tradingview_company_fundamentals · current only revised. Current/revised company values are joined to the latest holdings; they are not asserted to have been known on the holdings date.
No inferred metadata or missing-to-zero substitution.
Lagged SEC N-PORT issuer identity; this does not supply current fees, index, NAV, or distribution evidence. NAV, premium/discount, distributions, and benchmark tracking require daily NAV, cash-distribution, and official benchmark total-return feeds that are not connected.
Use the dedicated ETF surfaces for performance/risk and provider flow evidence; use the tabs above for the governed constituent-company cohort.
| weighted arithmetic mean |
| non-negative finite values; non-financial companiesNo reported exclusions |
| 24 |
| 72.5% |
| Unweighted · median 1.40x |
| ready |
| Quick ratio | 1.37x | current provider value | weighted arithmetic mean | non-negative finite values; non-financial companiesNo reported exclusions | 24 | 72.5% | Unweighted · median 1.35x | ready |
|---|
| Dividend yield | 0.8% | current | weighted arithmetic mean | non-negative finite valuesNo reported exclusions | 24 | 72.5% | Unweighted · median 0.5% | ready |
|---|