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Praxis Impact Large Cap Growth ETF (PRXG)

NYSEARCA: PRXGPraxis Investment Management, Inc.Large GrowthETFUSD

41.64+0.3079 (+0.74%)

At close: Oct 9, 3:59 PM ET · Delayed 15 min

PRXG chart

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Key facts

Holdings
10
Inception
Apr 7, 2025
Issuer
Praxis Investment Management, Inc.
Index tracked
—
Category
Large Growth
52-week range
31.49 – 42.01
Volume / Avg
3.87K / 4.87K
Beta
—
Previous close
41.33

PRXG ETF today

The Praxis Impact Large Cap Growth ETF (PRXG) is an exchange-traded fund from Praxis Investment Management, Inc. in the Large Growth category. It charges an expense ratio of 0.36%, or $36.00 per year on a $10,000 investment, and manages $91.7 million in assets. Its largest holding is NVIDIA Corp (NVDA) at 13.20% of assets, and the top 10 positions make up 63.2% of the portfolio out of 10 holdings.

The fund's trailing dividend yield is 0.10% ($0.00 per share annually). PRXG launched on Apr 7, 2025.

Summary generated from market data by MetaCap's automated system. Methodology

PRXG top 10 holdings

PRXG holdings by weight
#HoldingWeight
1NVDANVIDIA Corp13.20%
2AAPLApple Inc12.65%
3MSFTMicrosoft Corp10.08%
4GOOGAlphabet Inc Class C5.52%
5METAMeta Platforms Inc Class A4.32%
6AVGOBroadcom Inc4.23%
7AMZNAmazon.com Inc4.19%
8GOOGLAlphabet Inc Class A3.77%
9LLYEli Lilly and Co2.63%
10TSLATesla Inc2.63%

Top 10 holdings: 63.2% of assets.

PRXG performance

1 week

-0.45%

PRXG price return, excluding dividends.

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PRXG ETF FAQ

What is the PRXG price today?

PRXG last traded at $41.64 as of Oct 9, 3:59 PM EDT, up 0.74% on the day.

What is PRXG's expense ratio?

PRXG has an expense ratio of 0.36%, which works out to about $36.00 per year for every $10,000 invested.

What are PRXG's top holdings?

PRXG's largest holdings are NVIDIA Corp (13.20%), Apple Inc (12.65%), Microsoft Corp (10.08%), Alphabet Inc Class C (5.52%), Meta Platforms Inc Class A (4.32%). The top 10 make up 63.2% of the fund.

Does PRXG pay a dividend?

Yes. PRXG has a trailing dividend yield of 0.10%.

How big is PRXG?

PRXG has about $91.7 million in assets under management spread across 10 holdings.

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