CH:PCOM Holdings Information
Holdings Count
33Total Assets
407.62MTop 10 Percentage
371.87%Asset Class
CommoditiesCategory
Broad MarketRegion
GlobalTop Holdings
33 Holdings as of Jul 09, 2026
Name | Weight % | Market Value |
|---|---|---|
Wisdomtree Core Physical Gold | 55.34% | $34.91M |
Meta Platforms, Inc. | 53.16% | $33.53M |
Nvidia Corporation | 52.54% | $33.14M |
Tesla, Inc. | 43.96% | $27.73M |
Lam Research Corp | 42.55% | $26.84M |
Microsoft | 27.37% | $17.26M |
Alphabet Inc. Class C | 26.15% | $16.50M |
Gold Bullion Securities | 24.58% | $15.50M |
Eli Lilly And Company | 23.85% | $15.04M |
Philip Morris International | 22.38% | $14.12M |
Sector Breakdown
Technology
31.97%Consumer Cyclical
14.49%Healthcare
14.12%General
11.82%Communication Services
11.73%Consumer Defensive
6.51%Industrials
5.17%Energy
2.13%Real Estate
2.05%Countries Breakdown
United Kingdom
79.92%United States
20.08%Breakdown By Smart Score
Currently, no data available
PCOM ETF News
PCOM ETF FAQ
What are ETF CH:PCOM’s top 3 holdings?
CH:PCOM’s top 3 holdings are GB:WGLD, META, NVDA.
What is CH:PCOM’s holding count?
ETF CH:PCOM’s is holdings 33 different assets.
What are the total assets of ETF CH:PCOM?
ETF CH:PCOM’s total assets are 407.62M.
What sector is CH:PCOM most exposed to?
CH:PCOM is most exposed to 31.97% Technology of its holdings.
How concentrated is CH:PCOM?
CH:PCOM’s top 10 holdings represent 371.87% of the fund.
What is CH:PCOM’s average Smart Score?
The weighted average Smart Score of CH:PCOM is 10.


