CLPFX
Catalyst Nasdaq - 100 Hedged Equity Fund
MUTUAL FUND SERIES TRUST

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
104
Top-10 weight
63.66%
Effective holdings ?
10
Crowding ?
1139.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 OPTION QQQ 5,608 $3.24M 27.15%
2 FIRST AM-TR OB-X TMPXX 1,205,855 $1.21M 10.12%
3 NVIDIA CORP 3,187 $555.81K 4.66%
4 APPLE INC 2,008 $509.61K 4.28%
5 MICROSOFT CORP 984 $364.25K 3.06%
6 AMAZON.COM INC 1,455 $303.03K 2.54%
7 USDpZARc Digi 17.50 DKO 25 21 $264.86K 2.22%
8 TESLA INC 683 $253.91K 2.13%
9 WALMART INC 1,885 $234.27K 1.97%
10 ALPHABET INC CL A 784 $225.45K 1.89%
11 META PLATFORMS INC CL A 387 $221.41K 1.86%
12 ALPHABET INC CL C 743 $213.14K 1.79%
13 BROADCOM INC 635 $196.54K 1.65%
14 COSTCO WHOLESALE CORP 164 $163.41K 1.37%
15 NETFLIX INC 1,554 $149.42K 1.25%
16 MICRON TECHNOLOGY INC 422 $142.57K 1.20%
17 ADV MICRO DEVICE 630 $128.16K 1.08%
18 PALANTIR TECHNOLOGIES INC 786 $114.98K 0.96%
19 CISCO SYSTEMS INC 1,435 $111.34K 0.93%
20 APPLIED MATERIALS INC 308 $105.27K 0.88%
21 LAM RESEARCH CORP 491 $104.91K 0.88%
22 LINDE PLC 181 $89.73K 0.75%
23 T-MOBILE US INC 419 $88.00K 0.74%
24 PEPSICO INC 527 $81.84K 0.69%
25 INTEL CORP 1,666 $73.52K 0.62%
26 KLA CORP 49 $72.15K 0.61%
27 AMGEN INC 204 $71.78K 0.60%
28 TEXAS INSTRUMENTS INC 361 $70.08K 0.59%
29 USDpZARc Digi 17.50 DKO 25 35 $66.94K 0.56%
30 INTUITIVE SURGICAL INC 132 $60.85K 0.51%
31 HONEYWELL INTL INC 262 $59.22K 0.50%
32 GILEAD SCIENCES INC 421 $58.67K 0.49%
33 ANALOG DEVICES INC 180 $57.27K 0.48%
34 QUALCOMM INC 443 $57.05K 0.48%
35 PALO ALTO NETWORKS INC 336 $53.87K 0.45%
36 THE BOOKING HOLDINGS INC 12 $50.52K 0.42%
37 SHOPIFY INC CL A 423 $50.18K 0.42%
38 VERTEX PHARMACEUTICALS INC 107 $47.78K 0.40%
39 APPLOVIN CORP 118 $46.96K 0.39%
40 CONSTELLATION ENERGY CORP 154 $43.00K 0.36%
41 INTUIT INC 99 $42.81K 0.36%
42 ASML Holding NV - NY Reg Shares 32 $42.27K 0.35%
43 SEAGATE TECHNOLO 99 $38.78K 0.33%
44 AUTOMATIC DATA PROCESSING INC 181 $36.78K 0.31%
45 CROWDSTRIKE HOLDINGS INC 94 $36.70K 0.31%
46 MARRIOTT INTL-A 110 $35.98K 0.30%
47 WESTERN DIGITAL CORP 131 $35.43K 0.30%
48 ADOBE INC 145 $35.25K 0.30%
49 STARBUCKS CORP 391 $35.03K 0.29%
50 COMCAST CORP CL A 1,218 $34.97K 0.29%
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