Portfolio Holdings by Security (As of Deposit Date)

  • Ticker
    Security Description
    Deposit %
  • ALSN
    ALLISON TRANSMISSION HOLDING
    4.01
  • AMWD
    AMERICAN WOODMARK CORP
    4.01
  • BRC
    BRADY CORPORATION - CL A
    4.01
  • CAT
    CATERPILLAR INC
    4.01
  • CF
    CF INDUSTRIES HOLDINGS INC
    4.02
  • CMI
    CUMMINS INC
    4.04
  • DCI
    DONALDSON CO INC
    4.00
  • DINO
    HF SINCLAIR CORP
    3.98
  • EPAC
    ENERPAC TOOL GROUP CORP
    3.98
  • ETRN
    EQUITRANS MIDSTREAM CORP
    4.03
  • F
    FORD MOTOR CO
    4.00
  • FCFS
    FIRSTCASH HOLDINGS INC
    4.02
  • FOXA
    FOX CORP - CLASS A
    4.03
  • GWW
    WW GRAINGER INC
    3.83
  • INVA
    INNOVIVA INC
    4.00
  • IRWD
    IRONWOOD PHARMACEUTICALS INC
    3.97
  • KAMN
    KAMAN CORP
    4.05
  • LMT
    LOCKHEED MARTIN CORP
    3.94
  • MGEE
    MGE ENERGY INC
    4.03
  • MOG/A
    MOOG INC-CLASS A
    4.03
  • REYN
    REYNOLDS CONSUMER PRODUCTS I
    3.97
  • SLCA
    US SILICA HOLDINGS INC
    4.01
  • TRS
    TRIMAS CORP
    4.02
  • UGI
    UGI CORP
    4.05
  • UNFI
    UNITED NATURAL FOODS INC
    3.96

Health Care

  • Ticker
    Security Description
    Deposit %
  • INVA
    INNOVIVA INC
    4.00
  • IRWD
    IRONWOOD PHARMACEUTICALS INC
    3.97

Materials

  • Ticker
    Security Description
    Deposit %
  • CF
    CF INDUSTRIES HOLDINGS INC
    4.02
  • TRS
    TRIMAS CORP
    4.02

Communication Services

  • Ticker
    Security Description
    Deposit %
  • FOXA
    FOX CORP - CLASS A
    4.03

Industrials

  • Ticker
    Security Description
    Deposit %
  • ALSN
    ALLISON TRANSMISSION HOLDING
    4.01
  • LMT
    LOCKHEED MARTIN CORP
    3.94
  • BRC
    BRADY CORPORATION - CL A
    4.01
  • MOG/A
    MOOG INC-CLASS A
    4.03
  • CAT
    CATERPILLAR INC
    4.01
  • GWW
    WW GRAINGER INC
    3.83
  • EPAC
    ENERPAC TOOL GROUP CORP
    3.98
  • CMI
    CUMMINS INC
    4.04
  • KAMN
    KAMAN CORP
    4.05
  • DCI
    DONALDSON CO INC
    4.00
  • AMWD
    AMERICAN WOODMARK CORP
    4.01

Energy

  • Ticker
    Security Description
    Deposit %
  • ETRN
    EQUITRANS MIDSTREAM CORP
    4.03
  • SLCA
    US SILICA HOLDINGS INC
    4.01
  • DINO
    HF SINCLAIR CORP
    3.98

Consumer Discretionary

  • Ticker
    Security Description
    Deposit %
  • F
    FORD MOTOR CO
    4.00

Financials

  • Ticker
    Security Description
    Deposit %
  • FCFS
    FIRSTCASH HOLDINGS INC
    4.02

Utilities

  • Ticker
    Security Description
    Deposit %
  • UGI
    UGI CORP
    4.05
  • MGEE
    MGE ENERGY INC
    4.03

Consumer Staples

  • Ticker
    Security Description
    Deposit %
  • REYN
    REYNOLDS CONSUMER PRODUCTS I
    3.97
  • UNFI
    UNITED NATURAL FOODS INC
    3.96

Summary

Description
  • Trust Name

    Fundamental Equity Contrarians, 8

  • Trust Symbol

    STECHX

Deposit Data
  • Deposit Date

    11-22-2022

  • Termination Date

    11-22-2024

  • Minimum Investment

    100

  • Distribution Frequency

    Monthly (if any)

  • Initial Public Offer Price

    $10.00

  • Historical 12-Month Dist.*

    0.1568

CUSIP
  • Cash Cusip

    83193L544

  • Reinvest Cusip

    83193L551

  • Fee Cash Cusip

    83193L569

  • Fee Invest Cusip

    83193L577