ETF Foundry
DRAFT — HYPOTHETICAL MODEL PORTFOLIO — NOT A REGISTERED FUND, NOT AN OFFER TO SELL SECURITIES, NOT INVESTMENT ADVICE.
momentum factor · long-only model fund

Foundry 6-Month Momentum Industry-Neutral Factor ETF

ETF Foundry Research (hypothetical) · rebalanced monthly

FMORHYPOTHETICAL MODEL
Since ’99
+746%
Expense Ratio
0.35%
placeholder
Holdings
306
cap-weighted
Inception
Jan 2021
placeholder
Full Sharpe
0.44
Ann. Return (LS)
10.9%
Ann. Volatility
24.8%
Max Drawdown
-48.8%
Test Sharpe ’19–26
0.39
Test FF5 α (ann.)
14.1%
vs Fama-French 5
Test FF5 α t-stat
1.42
not significant
Monthly turnover
37%
of the long leg, per rebalance
Cumulative return (LS)
746%
over 331 months
This fund holds the long leg only
Long leg Sharpe
0.64
what this fund holds
Long leg ann. return
16.1%
buyable, long-only
Long-short Sharpe
0.44
requires shorting
Bottom bucket ann. return
5.2%
the basket shorted

Every other metric on this page is the long-shortstrategy, which needs a short book. This fund is the long leg alone, so these are the figures for what it actually holds. The bottom-bucket number is that basket’s own return — not short P&L.

Hypothetical growth of $1 — long-short backtest

Gross of the placeholder expense ratio and trading costs · not investor results

331 months

Holdings

Every constituent of the long leg — sort, search or filter by sector

306 of 306 · 100.0% of book
TickerCompanySectorMarket capWeight
1MU
MICRON TECHNOLOGY INCTechnology$958.80B
13.51%
2AMD
ADVANCED MICRO DEVICES INCTechnology$808.39B
11.39%
3INTC
INTEL CORPTechnology$477.67B
6.73%
4AMAT
APPLIED MATERIALS INCTechnology$420.53B
5.93%
5CAT
CATERPILLAR INCIndustrials$405.49B
5.72%
6LRCX
LAM RESEARCH CORPTechnology$391.80B
5.52%
7GEV
GE VERNOVA INCUtilities$284.26B
4.01%
8KLAC
KLA CORPTechnology$277.91B
3.92%
9DELL
DELL TECHNOLOGIES INCTechnology$256.87B
3.62%
10SNDK
SANDISK CORPTechnology$200.63B
2.83%
11STX
SEAGATE TECHNOLOGY HOLDINGS PLCTechnology$176.62B
2.49%
12MRVL
MARVELL TECHNOLOGY INCTechnology$165.06B
2.33%
13WDC
WESTERN DIGITAL CORPTechnology$164.49B
2.32%
14GLW
CORNING INCTechnology$133.06B
1.88%
15MO
ALTRIA GROUP INCConsumer Defensive$123.92B
1.75%
16FTNT
FORTINET INCTechnology$118.40B
1.67%
17BE
BLOOM ENERGY CORPIndustrials$61.14B
0.86%
18HPE
HEWLETT PACKARD ENTERPRISE COTechnology$60.67B
0.86%
19FIX
COMFORT SYSTEMS USA INCIndustrials$58.93B
0.83%
20CTVA
CORTEVA INCBasic Materials$58.39B
0.82%
21LITE
LUMENTUM HOLDINGS INCTechnology$57.01B
0.80%
22COHR
COHERENT CORPTechnology$54.31B
0.77%
23ALAB
ASTERA LABS INCTechnology$52.04B
0.73%
24TER
TERADYNE INCTechnology$50.46B
0.71%
25HUM
HUMANA INCHealthcare$48.02B
0.68%
26FLEX
FLEX LTDTechnology$43.69B
0.62%
27RVMD
REVOLUTION MEDICINES INCHealthcare$39.58B
0.56%
28IRM
IRON MOUNTAIN INCReal Estate$36.84B
0.52%
29VG
VENTURE GLOBAL INCEnergy$34.28B
0.48%
30CNC
CENTENE CORPHealthcare$32.81B
0.46%
31TPL
TEXAS PACIFIC LAND CORPEnergy$28.67B
0.40%
32CRS
CARPENTER TECHNOLOGY CORPIndustrials$27.71B
0.39%
33MTZ
MASTEC INCIndustrials$26.04B
0.37%
34ROIV
ROIVANT SCIENCES LTDHealthcare$24.82B
0.35%
35MRNA
MODERNA INCHealthcare$24.53B
0.35%
36MKSI
MKS INCTechnology$21.93B
0.31%
37ENTG
ENTEGRIS INCTechnology$21.16B
0.30%
38STRL
STERLING INFRASTRUCTURE INCIndustrials$19.59B
0.28%
39SNX
TD SYNNEX CORPTechnology$19.40B
0.27%
40DVA
DAVITA INCHealthcare$15.21B
0.21%
41ONTO
ONTO INNOVATION INCTechnology$13.92B
0.20%
42RRX
REGAL REXNORD CORPIndustrials$13.77B
0.19%
43TTMI
TTM TECHNOLOGIES INCTechnology$13.71B
0.19%
44BTSG
BRIGHTSPRING HEALTH SERVICES INCHealthcare$13.71B
0.19%
45GNRC
GENERAC HOLDINGS INCIndustrials$12.65B
0.18%
46IESC
IES HOLDINGS INCIndustrials$12.21B
0.17%
47MOD
MODINE MANUFACTURING COConsumer Cyclical$12.11B
0.17%
48VICR
VICOR CORPTechnology$10.83B
0.15%
49CGNX
COGNEX CORPTechnology$10.66B
0.15%
50ARW
ARROW ELECTRONICS INCTechnology$10.56B
0.15%
51HUT
HUT 8 CORPFinancial Services$10.30B
0.15%
52APGE
APOGEE THERAPEUTICS INCHealthcare$10.10B
0.14%
53LFUS
LITTELFUSE INCTechnology$10.06B
0.14%
54DAR
DARLING INGREDIENTS INCConsumer Defensive$10.03B
0.14%
55VSAT
VIASAT INCTechnology$9.76B
0.14%
56CORT
CORCEPT THERAPEUTICS INCHealthcare$9.72B
0.14%
57SOLS
SOLSTICE ADVANCED MATERIALS INCBasic Materials$9.27B
0.13%
58ESI
ELEMENT SOLUTIONS INCBasic Materials$9.11B
0.13%
59PRMB
PRIMO BRANDS CORPConsumer Defensive$9.01B
0.13%
60WULF
TERAWULF INCFinancial Services$9.00B
0.13%
61VIAV
VIAVI SOLUTIONS INCTechnology$8.93B
0.13%
62LB
LANDBRIDGE CO LLCEnergy$8.89B
0.13%
63ALKS
ALKERMES PLCHealthcare$8.79B
0.12%
64OSCR
OSCAR HEALTH INCHealthcare$8.77B
0.12%
65SYRE
SPYRE THERAPEUTICS INCHealthcare$8.70B
0.12%
66ALGM
ALLEGRO MICROSYSTEMS INCTechnology$8.66B
0.12%
67VIRT
VIRTU FINANCIAL INCFinancial Services$8.64B
0.12%
68POWL
POWELL INDUSTRIES INCIndustrials$8.48B
0.12%
69TGTX
TG THERAPEUTICS INCHealthcare$8.40B
0.12%
70FORM
FORMFACTOR INCTechnology$8.23B
0.12%
71AAOI
APPLIED OPTOELECTRONICS INCTechnology$8.22B
0.12%
72SNEX
STONEX GROUP INCFinancial Services$8.16B
0.12%
73IBRX
IMMUNITYBIO INCHealthcare$8.04B
0.11%
74AGX
ARGAN INCIndustrials$7.73B
0.11%
75LGN
LEGENCE CORPIndustrials$7.37B
0.10%
76ENS
ENERSYSIndustrials$7.18B
0.10%
77LQDA
LIQUIDIA CORPHealthcare$7.11B
0.10%
78AVT
AVNET INCTechnology$7.03B
0.10%
79LNTH
LANTHEUS HOLDINGS INCHealthcare$7.00B
0.10%
80RIOT
RIOT PLATFORMS INCFinancial Services$6.91B
0.10%
81ECG
EVERUS CONSTRUCTION GROUP INCConsumer Cyclical$6.80B
0.10%
82CORZ
CORE SCIENTIFIC INCTechnology$6.66B
0.09%
83AROC
ARCHROCK INCEnergy$6.51B
0.09%
84MXL
MAXLINEAR INCTechnology$6.43B
0.09%
85CGON
CG ONCOLOGY INCHealthcare$6.34B
0.09%
86MYRG
MYR GROUP INCIndustrials$6.10B
0.09%
87LGND
LIGAND PHARMACEUTICALS INCHealthcare$6.08B
0.09%
88ERAS
ERASCA INCHealthcare$5.96B
0.08%
89GTX
GARRETT MOTION INCConsumer Cyclical$5.95B
0.08%
90TWST
TWIST BIOSCIENCE CORPHealthcare$5.84B
0.08%
91KGS
KODIAK GAS SERVICES INCEnergy$5.79B
0.08%
92DNTH
DIANTHUS THERAPEUTICS INCHealthcare$5.77B
0.08%
93PSMT
PRICESMART INCConsumer Defensive$5.74B
0.08%
94DAVE
DAVE INCTechnology$5.60B
0.08%
95ORKA
ORUKA THERAPEUTICS INCHealthcare$5.59B
0.08%
96ACMR
ACM RESEARCH INCTechnology$5.56B
0.08%
97TXG
10X GENOMICS INCHealthcare$5.55B
0.08%
98AIR
AAR CORPIndustrials$5.38B
0.08%
99VSH
VISHAY INTERTECHNOLOGY INCTechnology$5.15B
0.07%
100SPHR
SPHERE ENTERTAINMENT COCommunication Services$5.10B
0.07%
101MTRN
MATERION CORPBasic Materials$5.10B
0.07%
102KLIC
KULICKE & SOFFA INDUSTRIES INCTechnology$5.09B
0.07%
103PTRN
PATTERN GROUP INCConsumer Cyclical$4.97B
0.07%
104IRDM
IRIDIUM COMMUNICATIONS INCCommunication Services$4.94B
0.07%
105DFTX
DEFINIUM THERAPEUTICS INCHealthcare$4.83B
0.07%
106RXO
RXO INCIndustrials$4.83B
0.07%
107INSW
INTERNATIONAL SEAWAYS INCEnergy$4.29B
0.06%
108EWTX
EDGEWISE THERAPEUTICS INCHealthcare$4.28B
0.06%
109ACLS
AXCELIS TECHNOLOGIES INCTechnology$4.19B
0.06%
110UCTT
ULTRA CLEAN HOLDINGS INCTechnology$4.14B
0.06%
111TNGX
TANGO THERAPEUTICS INCHealthcare$4.13B
0.06%
112LION
LIONSGATE STUDIOS CORPCommunication Services$4.03B
0.06%
113EXTR
EXTREME NETWORKS INCTechnology$3.97B
0.06%
114CHEF
CHEFS' WAREHOUSE INCConsumer Defensive$3.96B
0.06%
115GEO
GEO GROUP INCIndustrials$3.94B
0.06%
116POWI
POWER INTEGRATIONS INCTechnology$3.93B
0.06%
117DK
DELEK US HOLDINGS INCEnergy$3.88B
0.05%
118RLAY
RELAY THERAPEUTICS INCHealthcare$3.81B
0.05%
119CLMT
CALUMET INCEnergy$3.73B
0.05%
120ALMS
ALUMIS INCHealthcare$3.65B
0.05%
121ARCB
ARCBEST CORPIndustrials$3.56B
0.05%
122OGN
ORGANON & COHealthcare$3.55B
0.05%
123USAR
USA RARE EARTH INCBasic Materials$3.49B
0.05%
124CALY
CALLAWAY GOLF COConsumer Cyclical$3.48B
0.05%
125NSA
NATIONAL STORAGE AFFILIATES TRUSTReal Estate$3.44B
0.05%
126VAC
MARRIOTT VACATIONS WORLDWIDE CORPConsumer Cyclical$3.43B
0.05%
127WRBY
WARBY PARKER INCHealthcare$3.24B
0.05%
128ELVN
ENLIVEN THERAPEUTICS INCHealthcare$3.24B
0.05%
129VECO
VEECO INSTRUMENTS INCTechnology$3.19B
0.04%
130AAP
ADVANCE AUTO PARTS INCConsumer Cyclical$3.19B
0.04%
131ACHC
ACADIA HEALTHCARE COMPANY INCHealthcare$3.17B
0.04%
132PENG
PENGUIN SOLUTIONS INCTechnology$3.10B
0.04%
133CDNL
CARDINAL INFRASTRUCTURE GROUP INCIndustrials$3.05B
0.04%
134CXW
CORECIVIC INCIndustrials$3.03B
0.04%
135KN
KNOWLES CORPTechnology$3.01B
0.04%
136AXTI
AXT INCTechnology$3.00B
0.04%
137MBX
MBX BIOSCIENCES INCHealthcare$2.99B
0.04%
138AAMI
ACADIAN ASSET MANAGEMENT INCFinancial Services$2.95B
0.04%
139ICHR
ICHOR HOLDINGS LTDTechnology$2.88B
0.04%
140BHE
BENCHMARK ELECTRONICS INCTechnology$2.81B
0.04%
141WTTR
SELECT WATER SOLUTIONS INCBasic Materials$2.81B
0.04%
142ADEA
ADEIA INCTechnology$2.80B
0.04%
143UNIT
UNITI GROUP INCReal Estate$2.68B
0.04%
144NVTS
NAVITAS SEMICONDUCTOR CORPTechnology$2.68B
0.04%
145CC
CHEMOURS COBasic Materials$2.63B
0.04%
146ATEN
A10 NETWORKS INCTechnology$2.59B
0.04%
147AEHR
AEHR TEST SYSTEMSTechnology$2.55B
0.04%
148DCO
DUCOMMUN INCIndustrials$2.54B
0.04%
149QURE
UNIQURE NVHealthcare$2.54B
0.04%
150SLS
SELLAS LIFE SCIENCES GROUP INCHealthcare$2.45B
0.03%
151COHU
COHU INCTechnology$2.41B
0.03%
152ROG
ROGERS CORPTechnology$2.36B
0.03%
153OUST
OUSTER INCTechnology$2.36B
0.03%
154NKTR
NEKTAR THERAPEUTICSHealthcare$2.31B
0.03%
155UTI
UNIVERSAL TECHNICAL INSTITUTE INCConsumer Defensive$2.22B
0.03%
156DHC
DIVERSIFIED HEALTHCARE TRUSTReal Estate$2.22B
0.03%
157VSTS
VESTIS CORPIndustrials$2.18B
0.03%
158AGL
AGILON HEALTH INCHealthcare$2.17B
0.03%
159PEB
PEBBLEBROOK HOTEL TRUSTReal Estate$2.16B
0.03%
160AXGN
AXOGEN INCHealthcare$2.12B
0.03%
161GRC
GORMAN RUPP COIndustrials$2.11B
0.03%
162PLSE
PULSE BIOSCIENCES INCHealthcare$1.98B
0.03%
163EZPW
EZCORP INCFinancial Services$1.97B
0.03%
164ABCL
ABCELLERA BIOLOGICS INCHealthcare$1.97B
0.03%
165ECPG
ENCORE CAPITAL GROUP INCFinancial Services$1.96B
0.03%
166ATEX
ANTERIX INCCommunication Services$1.96B
0.03%
167NGL
NGL ENERGY PARTNERS LPEnergy$1.89B
0.03%
168MRVI
MARAVAI LIFESCIENCES HOLDINGS INCHealthcare$1.87B
0.03%
169BCAX
BICARA THERAPEUTICS INCHealthcare$1.82B
0.03%
170LIND
LINDBLAD EXPEDITIONS HOLDINGS INCIndustrials$1.81B
0.03%
171RLJ
RLJ LODGING TRUSTReal Estate$1.81B
0.03%
172AESI
ATLAS ENERGY SOLUTIONS INCEnergy$1.76B
0.02%
173BFLY
BUTTERFLY NETWORK INCHealthcare$1.73B
0.02%
174MPLT
MAPLIGHT THERAPEUTICS INCHealthcare$1.72B
0.02%
175ANAB
ANAPTYSBIO INCHealthcare$1.69B
0.02%
176CMPS
COMPASS PATHWAYS PLCHealthcare$1.67B
0.02%
177TH
TARGET HOSPITALITY CORPIndustrials$1.64B
0.02%
178PLPC
PREFORMED LINE PRODUCTS COIndustrials$1.60B
0.02%
179VIR
VIR BIOTECHNOLOGY INCHealthcare$1.59B
0.02%
180NTLA
INTELLIA THERAPEUTICS INCHealthcare$1.59B
0.02%
181INNV
INNOVAGE HOLDING CORPHealthcare$1.56B
0.02%
182AMBQ
AMBIQ MICRO INCTechnology$1.55B
0.02%
183AVBP
ARRIVENT BIOPHARMA INCHealthcare$1.55B
0.02%
184IART
INTEGRA LIFESCIENCES HOLDINGS CORPHealthcare$1.50B
0.02%
185ALNT
ALLIENT INCTechnology$1.49B
0.02%
186WOLF
WOLFSPEED INCTechnology$1.44B
0.02%
187AMPX
AMPRIUS TECHNOLOGIES INCIndustrials$1.44B
0.02%
188AIP
ARTERIS INCTechnology$1.43B
0.02%
189ULCC
FRONTIER GROUP HOLDINGS INCIndustrials$1.43B
0.02%
190RMIX
SUNCRETE INCBasic Materials$1.40B
0.02%
191VPG
VISHAY PRECISION GROUP INCTechnology$1.38B
0.02%
192LINC
LINCOLN EDUCATIONAL SERVICES CORPConsumer Defensive$1.36B
0.02%
193WLFC
WILLIS LEASE FINANCE CORPIndustrials$1.35B
0.02%
194BW
BABCOCK & WILCOX ENTERPRISES INCIndustrials$1.35B
0.02%
195NWPX
NWPX INFRASTRUCTURE INCIndustrials$1.33B
0.02%
196GHM
GRAHAM CORPIndustrials$1.26B
0.02%
197CRVS
CORVUS PHARMACEUTICALS INCHealthcare$1.25B
0.02%
198FCEL
FUELCELL ENERGY INCIndustrials$1.25B
0.02%
199TDAY
USA TODAY CO INCConsumer Cyclical$1.25B
0.02%
200CMP
COMPASS MINERALS INTERNATIONAL INCBasic Materials$1.24B
0.02%
201CBRL
CRACKER BARREL OLD COUNTRY STORE INCConsumer Cyclical$1.20B
0.02%
202HTLD
HEARTLAND EXPRESS INCIndustrials$1.19B
0.02%
203DRTS
ALPHA TAU MEDICAL LTDHealthcare$1.19B
0.02%
204CVLG
COVENANT LOGISTICS GROUP INCIndustrials$1.19B
0.02%
205AVNS
AVANOS MEDICAL INCHealthcare$1.17B
0.02%
206MYE
MYERS INDUSTRIES INCConsumer Cyclical$1.17B
0.02%
207ETON
ETON PHARMACEUTICALS INCHealthcare$1.16B
0.02%
208MGTX
MEIRAGTX HOLDINGS PLCHealthcare$1.15B
0.02%
209SENEA
SENECA FOODS CORPConsumer Defensive$1.15B
0.02%
210CGEM
CULLINAN THERAPEUTICS INCHealthcare$1.09B
0.02%
211AEVA
AEVA TECHNOLOGIES INCConsumer Cyclical$1.05B
0.01%
212BIOA
BIOAGE LABS INCHealthcare$1.01B
0.01%
213APPS
DIGITAL TURBINE INCTechnology$1.01B
0.01%
214EVC
ENTRAVISION COMMUNICATIONS CORPCommunication Services$984M
0.01%
215WYFI
WHITEFIBER INCTechnology$971M
0.01%
216LWLG
LIGHTWAVE LOGIC INCBasic Materials$960M
0.01%
217AOSL
ALPHA & OMEGA SEMICONDUCTOR LTDTechnology$936M
0.01%
218ARI
APOLLO COMMERCIAL REAL ESTATE FINANCE INCReal Estate$927M
0.01%
219PURR
HYPERLIQUID STRATEGIES INCFinancial Services$899M
0.01%
220ARKO
ARKO CORPConsumer Cyclical$893M
0.01%
221MOV
MOVADO GROUP INCConsumer Cyclical$859M
0.01%
222SLDB
SOLID BIOSCIENCES INCHealthcare$859M
0.01%
223MITK
MITEK SYSTEMS INCTechnology$857M
0.01%
224CYRX
CRYOPORT INCIndustrials$832M
0.01%
225AVR
ANTERIS TECHNOLOGIES GLOBAL CORPHealthcare$823M
0.01%
226PGC
PEAPACK GLADSTONE FINANCIAL CORPFinancial Services$817M
0.01%
227CCXI
CHURCHILL CAPITAL CORP XIIndustrials$806M
0.01%
228ACRS
ACLARIS THERAPEUTICS INCHealthcare$793M
0.01%
229CODI
COMPASS DIVERSIFIED HOLDINGSIndustrials$777M
0.01%
230ZVRA
ZEVRA THERAPEUTICS INCHealthcare$755M
0.01%
231WEST
WESTROCK COFFEE COConsumer Defensive$749M
0.01%
232CADL
CANDEL THERAPEUTICS INCHealthcare$746M
0.01%
233CLYM
CLIMB BIO INCHealthcare$727M
0.01%
234PKE
PARK AEROSPACE CORPIndustrials$677M
0.01%
235PSTL
POSTAL REALTY TRUST INCReal Estate$664M
0.01%
236MEC
MAYVILLE ENGINEERING COMPANY INCIndustrials$634M
0.01%
237CLDT
CHATHAM LODGING TRUSTReal Estate$624M
0.01%
238TECX
TECTONIC THERAPEUTIC INCHealthcare$615M
0.01%
239ILPT
INDUSTRIAL LOGISTICS PROPERTIES TRUSTReal Estate$591M
0.01%
240STTK
SHATTUCK LABS INCHealthcare$577M
0.01%
241FDMT
4D MOLECULAR THERAPEUTICS INCHealthcare$575M
0.01%
242IMMX
IMMIX BIOPHARMA INCHealthcare$558M
0.01%
243ELA
ENVELA CORPConsumer Cyclical$547M
0.01%
244MEI
METHODE ELECTRONICS INCTechnology$532M
0.01%
245NVCT
NUVECTIS PHARMA INCHealthcare$508M
0.01%
246XOMA
XOMA ROYALTY CORPHealthcare$504M
0.01%
247SPIR
SPIRE GLOBAL INCIndustrials$488M
0.01%
248ALTO
ALTO INGREDIENTS INCBasic Materials$453M
0.01%
249STRZ
STARZ ENTERTAINMENT CORPCommunication Services$450M
0.01%
250SI
SHOULDER INNOVATIONS INCHealthcare$448M
0.01%
251FSTR
FOSTER L B COIndustrials$439M
0.01%
252ASPN
ASPEN AEROGELS INCBasic Materials$425M
0.01%
253FLXS
FLEXSTEEL INDUSTRIES INCConsumer Cyclical$391M
0.01%
254STRO
SUTRO BIOPHARMA INCHealthcare$391M
0.01%
255ZNTL
ZENTALIS PHARMACEUTICALS INCHealthcare$364M
0.01%
256ELMD
ELECTROMED INCHealthcare$349M
0.00%
257MRAM
EVERSPIN TECHNOLOGIES INCTechnology$341M
0.00%
258FNKO
FUNKO INCConsumer Cyclical$326M
0.00%
259OSS
ONE STOP SYSTEMS INCTechnology$313M
0.00%
260OPTX
SYNTEC OPTICS HOLDINGS INCTechnology$302M
0.00%
261ESOA
ENERGY SERVICES OF AMERICA CORPIndustrials$299M
0.00%
262TTRX
TURN THERAPEUTICS INCHealthcare$272M
0.00%
263QTTB
Q32 BIO INCHealthcare$255M
0.00%
264RELL
RICHARDSON ELECTRONICS LTDTechnology$250M
0.00%
265ASYS
AMTECH SYSTEMS INCTechnology$242M
0.00%
266ARTV
ARTIVA BIOTHERAPEUTICS INCHealthcare$241M
0.00%
267QUIK
QUICKLOGIC CORPTechnology$237M
0.00%
268ALOT
ASTRONOVA INCTechnology$222M
0.00%
269ATOM
ATOMERA INCTechnology$218M
0.00%
270IMUX
IMMUNIC INCHealthcare$207M
0.00%
271BDSX
BIODESIX INCHealthcare$204M
0.00%
272FOCL
FOCAL INCHealthcare$204M
0.00%
273DTIL
PRECISION BIOSCIENCES INCHealthcare$203M
0.00%
274ANIK
ANIKA THERAPEUTICS INCHealthcare$203M
0.00%
275LCUT
LIFETIME BRANDS INCConsumer Cyclical$195M
0.00%
276PDEX
PRO DEX INCHealthcare$183M
0.00%
277KRRO
KORRO BIO INCHealthcare$177M
0.00%
278LEE
LEE ENTERPRISES INCConsumer Cyclical$175M
0.00%
279INTT
INTEST CORPTechnology$169M
0.00%
280AMPG
AMPLITECH GROUP INCTechnology$168M
0.00%
281FGBI
FIRST GUARANTY BANCSHARES INCFinancial Services$164M
0.00%
282KORE
KORE GROUP HOLDINGS INCCommunication Services$163M
0.00%
283RFIL
R F INDUSTRIES LTDIndustrials$143M
0.00%
284SIF
SIFCO INDUSTRIES INCIndustrials$141M
0.00%
285PMN
PROMIS NEUROSCIENCES INCHealthcare$136M
0.00%
286OCC
OPTICAL CABLE CORPTechnology$130M
0.00%
287RRGB
RED ROBIN GOURMET BURGERS INCConsumer Cyclical$130M
0.00%
288CUE
CUE BIOPHARMA INCHealthcare$126M
0.00%
289VATE
INNOVATE CORPIndustrials$123M
0.00%
290WYY
WIDEPOINT CORPTechnology$115M
0.00%
291TRT
TRIO-TECH INTERNATIONALTechnology$103M
0.00%
292CPIX
CUMBERLAND PHARMACEUTICALS INCHealthcare$103M
0.00%
293ICCC
IMMUCELL CORPHealthcare$101M
0.00%
294CHRN
CHRONOSCALE CORPIndustrials$94M
0.00%
295LIXT
LIXTE BIOTECHNOLOGY HOLDINGS INCHealthcare$91M
0.00%
296RLYB
RALLYBIO CORPHealthcare$87M
0.00%
297INTG
INTERGROUP CORPConsumer Cyclical$84M
0.00%
298NRXS
NEURAXIS INCHealthcare$84M
0.00%
299WATT
ENERGOUS CORPTechnology$83M
0.00%
300VNCE
VINCE HOLDING CORPConsumer Cyclical$83M
0.00%
301PIII
P3 HEALTH PARTNERS INCHealthcare$78M
0.00%
302ROLR
HIGH ROLLER TECHNOLOGIES INCConsumer Cyclical$76M
0.00%
303BNAI
BRAND ENGAGEMENT NETWORK INCTechnology$76M
0.00%
304NMAD
NOMAD POWER SOLUTIONS INCHealthcare$72M
0.00%
305NDLS
NOODLES & COConsumer Cyclical$66M
0.00%
306EDSA
EDESA BIOTECH INCHealthcare$59M
0.00%

Full long-leg book as of July 2026 · cap-weighted · total market cap $7.09T. Hypothetical model holdings — not a registered fund’s portfolio.

Sector Breakdown

11 sectors
Technology
72.6%
Industrials
10.3%
Healthcare
5.7%
Utilities
4.0%
Consumer Defensive
2.2%
Energy
1.4%
Basic Materials
1.3%
Real Estate
0.7%
Financial Services
0.7%
Consumer Cyclical
0.7%
Communication Services
0.2%

Portfolio Style

Size × value map of the long-leg book

306 classified
Value
Blend
Growth
Large
Mid
Small
2%3
32%26
61%64
1%23
1%34
2%51
<1%22
<1%25
<1%17

Share of long-leg capital by market cap × book-to-market, using terciles of the 3,283-name universe at July 2026. Rows: Large ≥ $5.2B, Small < $819M. Columns: Value ≥ 0.62, Growth < 0.34 B/M. The dot marks the capital-weighted centroid of the book — 98% toward Large, 80% toward Growth. +1% unclassified (41 missing size/value). Hypothetical holdings — descriptive, not realized P&L.

Tilt over time
Size tilt98% → Large
SmallLarge
Value ↔ growth tilt80% → Growth
ValueGrowth

Capital-weighted centroid of the long leg, December 1998July 2026; the right-hand end is the same value as the box’s dot. 306 names now. Hypothetical holdings — descriptive, not P&L.

Constraint checks

How this book measures against the concentration and liquidity rules — as implemented here

How this book was built

These are UNCONSTRAINED factor sleeves: the construction pipeline sorts on a signal and cap-weights the top bucket, applying no issuer cap, no industry cap and no liquidity screen beyond the universe filter. A failing test therefore reports a constraint that was never applied during construction — it is not a defect in the strategy and not an error in the data. The same signal can be solved subject to these constraints.

Passed
4
Failed
1
Not tested
2
Independent checks
7

7 independent checks plus 1 arithmetically implied by another check (RIC / IRC 851(b)(3)(A) 50% bucket), which is reported separately so the tally cannot overstate scrutiny.

2 of 7 checks could not be tested. Those are neither passes nor failures — they are gaps in what the data can answer, and they are excluded from the passed count above rather than folded into it.

  • The fund will not concentrate: no more than 25% of total assets in any one industry (excluding government securities and cash items).

    Required
    <= 25.0%
    Actual
    43.8%
    Margin
    -18.8%
Reported separately — arithmetically implied

Engineering approximation of the cited rules for a DRAFT / HYPOTHETICAL model portfolio that is not a registered fund. This reports whether the portfolio passes the stated test AS IMPLEMENTED HERE; it is not a compliance opinion and is not a statement that any fund is compliant. Real filings need securities counsel.

No verdict sits within 1.0pp of its limit.

Data version — panel=20260719T025334 rows=2239262 asof=202607 issuers=20260719T014536 rates=20260804T224700

Measured on the 2026-07 formation date across 306 holdings (cap-weighted). A different formation date can produce different verdicts.

Derivatives risk (Rule 18f-4)

Whether this long-only book is subject to the VaR tests at all

This assessment describes the long-only book this fund holds — the top bucket only.

Governing rule
Rule 18f-4(c)(4) limited derivatives user exception

This fund QUALIFIES for the limited-derivatives-user exception, so it is excepted from the VaR tests; the ratio below is informational, not the operative limit.

Limited derivatives user exceptionby construction

Rule 18f-4(c)(4): a fund whose derivatives exposure (gross notional, including the value of assets sold short) is <= 10% of net assets is excepted from the VaR tests and the full derivatives risk management program.

Qualifies
Required
<= 10% of net assets
Exposure
0% of net assets
Margin
+10pp

No confidence interval: this follows from portfolio construction, not from an estimate.

Rule 18f-4(c)(2)(i): fund VaR at 99% over 20 trading days must not exceed 200% of the designated reference portfolio's VaR on the same basis.

Informational — does not govern

This fund is excepted from the VaR tests, so the ratio below is context rather than the operative limit. It is shown because it is still a description of the book’s risk, not because it decides anything.

Measured
1.6 (95% CI 1.0-1.8)
x reference VaR
Limit
2.00x
<= 2.00x reference VaR
Fund VaR
15.0%
99% / 20d
Reference
9.6%
FF5 market (mkt)

historical method · 331 monthly observations · about 3.3 in the 99% tail · paired percentile bootstrap over months

Same test, three estimators
historical
1.56x
within
parametric
1.58x
within
cornish fisher
1.42x
within

The estimators agree, which is mild evidence the number isn’t an artefact of one method.

Engineering approximation of SEC Rule 18f-4 for research display. Not a compliance opinion and not a determination that any fund is compliant. Hypothetical model portfolio, not a registered fund.

The research long-short construction behind this factor does not qualify for this exception — a dollar-neutral book counts its full short notional, which is 100% of net assets against a 10% threshold. This product sidesteps that by holding the long leg alone, which is also why the long-leg Sharpe is reported separately throughout the site.

See the long-short verdict on the factor page →

Since publication

Did the edge survive the paper coming out?

published 1993
Entirely since publication
All 331 months of our record post-date the 1993 paper.
Sharpe 0.4410.9% p.a.January 1999July 2026

There is no “before” to compare against — the predictor was already public when our data begins, so every month shown is out-of-sample relative to the original study.

Split at January of the year after the factor was published. The post-publication stretch IS genuinely out-of-sample relative to the original study -- the predictor was public by then -- so it speaks to whether the effect survived being known. Nothing is fitted here, so this is performance SINCE PUBLICATION, not validation of a model. Note the 'pre' side is our data before publication (our panel starts ~1999), NOT the study's original in-sample period, which usually ran decades earlier; a decay figure compares before-vs-after within our sample and is not a comparison against the published result.

Consistency across eras

Is this record broadly durable, or one regime?

26 windows
Positive windows
85%
22 of 26 3-year windows made money
Worst window
-0.36
Sharpe, January 2004 – December 2006
January 1999July 2026
Median Sharpe
0.52
Dispersion
0.39
Best window
1.17

3-year rolling windows, stepping 1 year (26 windows). Dispersion is the spread of window Sharpes — higher means the record depends more on which era you look at.

Rules-based factors fit no parameters, so these windows are not out-of-sample tests and do not validate a fitted model. They show whether the factor's record is consistent across eras or driven by one regime.

Returns

Long leg is what this fund holds — long-short is shown for reference

since January 1999
Trailing
PeriodLong legLong-short
1 yearcum.34.9%-23.0%
3 yearsp.a.31.5%4.5%
5 yearsp.a.20.5%6.5%
10 yearsp.a.21.4%9.5%
Since inceptionp.a.13.8%8.0%
Calendar years
YearLong legLong-short
20267 mo32.6%7.8%
2025-3.2%-32.4%
202464.1%53.6%
202338.5%-14.2%
2022-18.4%24.1%
202111.1%0.4%
202068.1%56.9%
201918.6%-11.2%
2018-0.5%17.2%
201730.3%29.9%
20168.4%-5.6%
20152.0%10.7%
201413.4%15.3%
201346.5%7.0%
201212.9%-16.0%
2011-1.9%6.0%
201036.6%24.5%
20095.3%-41.2%
2008-36.2%37.8%
200729.0%35.6%
20066.8%-10.5%
200519.9%5.4%
20048.5%-6.3%
200355.3%23.8%
2002-29.6%2.9%
2001-18.2%5.4%
2000-12.6%19.5%
199999.3%49.3%

Long leg = the top bucket this fund holds; long-short additionally shorts the bottom bucket and is not achievable in a long-only vehicle. Trailing figures run through July 2026: 1 year is a plain cumulative 12-month return (cum.), 3 years and longer are annualised (p.a.). Years marked with a month count are partial. These match the fact sheet’s tables by construction. Hypothetical backtest, gross of the placeholder expense ratio and trading costs — not investor results.

Fund Facts

Ticker (pseudo)FMOR
IssuerETF Foundry Research (hypothetical)
SeriesHypothetical Model Portfolio Series (not a registered trust)
Expense ratio0.35% (placeholder)
Inception2021-01-26 (placeholder)
Listing exchangeNot listed (hypothetical)
CUSIPNot applicable (hypothetical model portfolio)
RebalanceMonthly
Holdings as ofJuly 2026
Total mkt cap (long leg)$7.09T

Methodology

The Foundry 6-Month Momentum Industry-Neutral Factor ETF tracks a rules-based model that ranks liquid U.S. common stocks, industry-neutralized within Fama-French industries, each month by a 6-Month Momentum signal and holds the top decile with the highest values. Signals are computed from point-in-time Sharadar fundamentals and total-return prices. The portfolio reconstitutes monthly and is cap-weighted within the long leg.

This is a hypothetical model portfolio for research display only — not a registered fund, not an offer, and not investment advice.

Documents (draft — hypothetical)

Auto-generated from the model’s metrics and current holdings. Every document is labeled DRAFT / hypothetical.

Summary Prospectus

Objective, fees, strategy, and key risks.

View →
Prospectus

Full strategy, model methodology, and risks.

View →
Statement of Additional Information

Policies, construction, and governance.

View →
Fact Sheet

One-page snapshot with top holdings.

View →
Daily Holdings

Full current constituent list.

View →

DRAFT — HYPOTHETICAL MODEL PORTFOLIO — NOT A REGISTERED FUND, NOT AN OFFER TO SELL SECURITIES, NOT INVESTMENT ADVICE.