Carr Corp 13F annual report

Carr Corp is an investment fund managing more than $295 billion ran by Benjamin Cauley. There are currently 135 companies in Mr. Cauley’s portfolio. The largest investments include Vanguard Bd Index Fds and Schwab Strategic Tr, together worth $50.3 billion.

$295 billion Assets Under Management (AUM)

As of 5th July 2024, Carr Corp’s top holding is 386,970 shares of Vanguard Bd Index Fds currently worth over $27.9 billion and making up 9.1% of the portfolio value. In addition, the fund holds 349,398 shares of Schwab Strategic Tr worth $22.4 billion. The third-largest holding is Vanguard Specialized Funds worth $13.2 billion and the next is Vanguard Index Fds worth $15.6 billion, with 60,378 shares owned.

Currently, Carr Corp's portfolio is worth at least $295 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Carr Corp

The Carr Corp office and employees reside in Worcester, Massachusetts. According to the last 13-F report filed with the SEC, Benjamin Cauley serves as the Chief Compliance Officer at Carr Corp.

Recent trades

In the most recent 13F filing, Carr Corp revealed that it had opened a new position in Ishares Tr and bought 129,502 shares worth $10.3 billion.

The investment fund also strengthened its position in Vanguard Bd Index Fds by buying 95,243 additional shares. This makes their stake in Vanguard Bd Index Fds total 386,970 shares worth $27.9 billion.

On the other hand, there are companies that Carr Corp is getting rid of from its portfolio. Carr Corp closed its position in Invesco Exch Traded Fd Tr Ii on 12th July 2024. It sold the previously owned 30,924 shares for $1.54 billion. Benjamin Cauley also disclosed a decreased stake in Vanguard Specialized Funds by approximately 0.1%. This leaves the value of the investment at $13.2 billion and 72,346 shares.

One of the smaller hedge funds

The two most similar investment funds to Carr Corp are Gavilan Investment Partners and Technology Crossover Management Xi. They manage $307 billion and $307 billion respectively.


Benjamin Cauley investment strategy

Carr Corp’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 7.1% of the total portfolio value. The fund focuses on investments in the United States as 46.7% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 51% of the total holdings value. On the other hand, small-cap stocks make up only 2.2% of the portfolio. The average market cap of the portfolio companies is close to $202 billion.

The complete list of Carr Corp trades based on 13F SEC filings

These positions were updated on July 12th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Vanguard Bd Index Fds
32.65%
386,970
$27,881,176,000 9.08%
Schwab Strategic Tr
3.66%
349,398
$22,448,811,000 7.31%
Vanguard Specialized Funds
2.11%
72,346
$13,206,761,000 4.30%
Vanguard Index Fds
5.05%
60,378
$15,550,062,000 5.06%
Direxion Shs Etf Tr
2.27%
139,548
$12,383,449,000 4.03%
Ishares Inc
5.90%
239,075
$14,081,336,000 4.58%
Spdr Ser Tr
33.67%
554,209
$15,451,118,000 5.03%
Ishares Tr
Opened
129,502
$10,346,268,000 3.37%
Ishares Tr
0.95%
1,104,747
$57,332,486,000 18.66%
Microsoft Corporation
0.89%
12,802
$5,721,705,000 1.86%
Apple Inc
13.66%
23,108
$4,866,989,000 1.58%
NVIDIA Corp
876.86%
38,283
$4,729,463,000 1.54%
American Centy Etf Tr
Opened
52,348
$4,696,663,000 1.53%
J P Morgan Exchange Traded F
42.93%
129,656
$7,252,320,000 2.36%
Eli Lilly Co
0.66%
4,095
$3,707,806,000 1.21%
Amazon.com Inc.
1.86%
17,178
$3,319,649,000 1.08%
Spdr Gold Tr
1.59%
14,682
$3,156,777,000 1.03%
Vanguard Tax-managed Fds
17.53%
63,049
$3,115,867,000 1.01%
Goldman Sachs Etf Tr
14.14%
26,929
$2,695,068,000 0.88%
Vanguard Whitehall Fds
1.28%
22,598
$2,680,103,000 0.87%
First Tr Exchange-traded Fd
149.52%
40,225
$2,303,510,000 0.75%
Vanguard World Fd
2.82%
55,636
$4,426,431,000 1.44%
Alphabet Inc
7.02%
16,337
$2,987,478,000 0.97%
Salesforce Inc
14.36%
5,113
$1,314,588,000 0.43%
Invesco Exch Traded Fd Tr Ii
Closed
30,924
$1,543,455,000
Invesco Exchange Traded Fd T
4.30%
76,813
$4,827,384,000 1.57%
American Express Co.
1.62%
5,447
$1,261,314,000 0.41%
Berkshire Hathaway Inc.
0.34%
1,486
$1,828,173,000 0.60%
Vanguard Scottsdale Fds
0.31%
15,693
$1,212,709,000 0.39%
Advanced Micro Devices Inc.
10.90%
7,368
$1,195,163,000 0.39%
Jpmorgan Chase Co.
9.06%
5,782
$1,169,522,000 0.38%
Adobe Inc
0.39%
2,042
$1,134,413,000 0.37%
Home Depot, Inc.
0.49%
3,100
$1,067,062,000 0.35%
Mastercard Incorporated
1.69%
2,347
$1,035,403,000 0.34%
Lam Research Corp.
24.06%
947
$1,008,413,000 0.33%
Merck Co Inc
1.36%
8,133
$1,006,865,000 0.33%
Disney Walt Co
13.55%
10,013
$994,226,000 0.32%
AMGEN Inc.
9.54%
3,090
$965,442,000 0.31%
Meta Platforms Inc
231.18%
1,901
$958,371,000 0.31%
Linde Plc.
0.28%
2,155
$945,493,000 0.31%
Taiwan Semiconductor Mfg Ltd
1.32%
5,396
$937,879,000 0.31%
KraneShares Trust
1.80%
34,229
$924,876,000 0.30%
Abbvie Inc
2.86%
5,218
$895,015,000 0.29%
Tesla Inc
32.49%
4,380
$866,714,000 0.28%
Netflix Inc.
12.99%
1,200
$809,856,000 0.26%
Broadcom Inc.
12.64%
499
$801,830,000 0.26%
Walmart Inc
3.53%
10,998
$744,677,000 0.24%
Lockheed Martin Corp.
0.46%
1,513
$706,551,000 0.23%
Pepsico Inc
4.96%
4,271
$704,442,000 0.23%
ServiceNow Inc
19.78%
878
$690,696,000 0.22%
Verizon Communications Inc
90.75%
16,639
$686,207,000 0.22%
Target Corp
0.52%
4,628
$685,173,000 0.22%
Thermo Fisher Scientific Inc.
No change
1,199
$663,047,000 0.22%
Pfizer Inc.
1.45%
23,243
$650,331,000 0.21%
Applied Matls Inc
16.72%
2,640
$623,080,000 0.20%
GSK Plc
1.33%
15,801
$608,339,000 0.20%
Eaton Corp Plc
No change
1,913
$599,821,000 0.20%
Parker-Hannifin Corp.
0.26%
1,176
$594,948,000 0.19%
Spdr Sp 500 Etf Tr
3.59%
1,067
$580,676,000 0.19%
Fidelity Covington Trust
3.42%
8,414
$577,169,000 0.19%
Asml Holding N V
1.76%
558
$570,683,000 0.19%
Ecolab, Inc.
No change
2,397
$570,486,000 0.19%
Novartis AG
0.51%
5,280
$562,109,000 0.18%
Costco Whsl Corp New
3.97%
655
$556,743,000 0.18%
Booking Holdings Inc
No change
135
$535,976,000 0.17%
Elevance Health Inc
0.20%
987
$534,556,000 0.17%
Select Sector Spdr Tr
48.82%
19,844
$1,360,192,000 0.44%
Sanofi
No change
10,673
$517,854,000 0.17%
Gilead Sciences, Inc.
1.07%
7,524
$516,190,000 0.17%
Moderna Inc
No change
4,309
$511,694,000 0.17%
Johnson Johnson
0.55%
3,485
$509,326,000 0.17%
Cisco Sys Inc
5.94%
10,302
$489,458,000 0.16%
DraftKings Inc.
12.14%
11,597
$442,657,000 0.14%
Aptiv PLC
No change
6,222
$438,153,000 0.14%
Xylem Inc
0.26%
3,115
$422,515,000 0.14%
Visa Inc
0.75%
1,605
$421,270,000 0.14%
Pnc Finl Svcs Group Inc
22.69%
2,704
$420,418,000 0.14%
Cigna Group (The)
0.40%
1,255
$414,950,000 0.14%
Blackrock Inc.
1.40%
506
$398,487,000 0.13%
Nushares Etf Tr
No change
10,000
$393,400,000 0.13%
Danaher Corp.
No change
1,569
$392,015,000 0.13%
Accenture Plc Ireland
3.45%
1,288
$390,792,000 0.13%
Abbott Labs
0.44%
3,669
$381,255,000 0.12%
Autodesk Inc.
0.52%
1,530
$378,599,000 0.12%
Humana Inc.
No change
1,004
$375,145,000 0.12%
Bank America Corp
19.90%
9,412
$374,299,000 0.12%
RTX Corp
1.18%
3,696
$371,008,000 0.12%
Kimberly-Clark Corp.
No change
2,552
$352,686,000 0.11%
3M Co.
Opened
3,434
$350,948,000 0.11%
CME Group Inc
0.57%
1,769
$347,790,000 0.11%
Procter And Gamble Co
0.82%
2,102
$346,654,000 0.11%
Honeywell International Inc
9.53%
1,621
$346,246,000 0.11%
Nike, Inc.
5.37%
4,591
$346,024,000 0.11%
Tjx Cos Inc New
5.16%
3,080
$339,056,000 0.11%
PayPal Holdings Inc
1.22%
5,686
$329,959,000 0.11%
American Wtr Wks Co Inc New
0.28%
2,546
$328,844,000 0.11%
Cummins Inc.
0.51%
1,185
$328,233,000 0.11%
Quanta Svcs Inc
Opened
1,265
$321,424,000 0.10%
Sp Global Inc
0.85%
712
$317,753,000 0.10%
Texas Instrs Inc
0.69%
1,615
$314,076,000 0.10%
Travelers Companies Inc.
0.07%
1,518
$308,595,000 0.10%
Cadence Design System Inc
No change
1,000
$307,750,000 0.10%
Williams Cos Inc
11.79%
7,120
$302,603,000 0.10%
Illinois Tool Wks Inc
No change
1,273
$301,650,000 0.10%
Ameriprise Finl Inc
8.80%
705
$301,169,000 0.10%
Prologis Inc
0.64%
2,667
$299,483,000 0.10%
National Grid Plc
3.15%
5,211
$295,985,000 0.10%
Unitedhealth Group Inc
44.43%
579
$294,939,000 0.10%
Novo-nordisk A S
27.49%
1,999
$285,337,000 0.09%
Capital One Finl Corp
0.44%
2,050
$283,773,000 0.09%
Roper Technologies Inc
No change
500
$281,830,000 0.09%
J P Morgan Exchange Traded F
Opened
4,716
$276,169,000 0.09%
International Business Machs
7.48%
1,552
$268,344,000 0.09%
Abrdn Platinum Etf Trust
Closed
3,206
$267,861,000
Uber Technologies Inc
Opened
3,680
$267,462,000 0.09%
Johnson Ctls Intl Plc
No change
4,000
$265,880,000 0.09%
Laboratory Corp Amer Hldgs
Closed
1,200
$262,152,000
First Solar Inc
Opened
1,117
$251,839,000 0.08%
Unilever plc
0.69%
4,524
$248,752,000 0.08%
Mcdonalds Corp
2.70%
973
$247,959,000 0.08%
Labcorp Holdings Inc.
Opened
1,204
$245,096,000 0.08%
Chipotle Mexican Grill
Opened
3,900
$244,335,000 0.08%
Arrow Electrs Inc
No change
2,000
$241,520,000 0.08%
Astrazeneca plc
No change
3,063
$238,883,000 0.08%
Welltower Inc.
Opened
2,251
$234,661,000 0.08%
Invesco Exch Traded Fd Tr Ii
Opened
3,598
$233,681,000 0.08%
Palo Alto Networks Inc
Opened
685
$232,222,000 0.08%
Nxp Semiconductors N V
Opened
853
$229,534,000 0.07%
Rockwell Automation Inc
0.48%
834
$229,491,000 0.07%
Sysco Corp.
Closed
2,783
$225,918,000
Aon plc.
Closed
676
$225,595,000
Deere Co
No change
601
$224,552,000 0.07%
Aflac Inc.
No change
2,416
$215,773,000 0.07%
Coca-Cola Co
Opened
3,371
$214,546,000 0.07%
Intel Corp.
21.56%
6,922
$214,382,000 0.07%
Royal Bk Cda
No change
2,014
$214,249,000 0.07%
TE Connectivity Ltd
0.43%
1,406
$211,518,000 0.07%
Pimco Etf Tr
20.85%
2,145
$203,024,000 0.07%
Ishares Tr
Closed
16,000
$404,160,000
Lpl Finl Hldgs Inc
Opened
725
$202,493,000 0.07%
Celanese Corp
Closed
1,173
$201,592,000
Coherus Biosciences Inc
No change
35,195
$60,887,000 0.02%
No transactions found
Showing first 500 out of 142 holdings