Twin Capital Management Inc 13F annual report

Twin Capital Management Inc is an investment fund managing more than $763 billion ran by James Drake. There are currently 272 companies in Mr. Drake’s portfolio. The largest investments include Apple Inc and Microsoft, together worth $99.7 billion.

$763 billion Assets Under Management (AUM)

As of 24th January 2024, Twin Capital Management Inc’s top holding is 261,792 shares of Apple Inc currently worth over $50.4 billion and making up 6.6% of the portfolio value. Relative to the number of outstanding shares of Apple Inc, Twin Capital Management Inc owns more than approximately 0.1% of the company. In addition, the fund holds 131,180 shares of Microsoft worth $49.3 billion, whose value grew 20.5% in the past six months. The third-largest holding is Amazon.com worth $22.2 billion and the next is Alphabet Inc worth $22 billion, with 157,370 shares owned.

Currently, Twin Capital Management Inc's portfolio is worth at least $763 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 Twin Capital Management Inc

The Twin Capital Management Inc office and employees reside in Mcmurray, Pennsylvania. According to the last 13-F report filed with the SEC, James Drake serves as the CFO AND CCO at Twin Capital Management Inc.

Recent trades

In the most recent 13F filing, Twin Capital Management Inc revealed that it had opened a new position in Accenture Plc Class A Shares and bought 11,204 shares worth $3.93 billion.

The investment fund also strengthened its position in JPMorgan Chase & Co by buying 3,160 additional shares. This makes their stake in JPMorgan Chase & Co total 77,365 shares worth $13.2 billion. JPMorgan Chase & Co soared 23.6% in the past year.

On the other hand, there are companies that Twin Capital Management Inc is getting rid of from its portfolio. Twin Capital Management Inc closed its position in Splunk Inc on 31st January 2024. It sold the previously owned 22,616 shares for $3.31 billion. James Drake also disclosed a decreased stake in Apple Inc by approximately 0.1%. This leaves the value of the investment at $50.4 billion and 261,792 shares.

One of the average hedge funds

The two most similar investment funds to Twin Capital Management Inc are Js Capital Management and Dynamo Internacional Gestao De Recursos Ltda. They manage $763 billion and $763 billion respectively.


James Drake investment strategy

Twin Capital Management Inc’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 22.1% of the total portfolio value. The fund focuses on investments in the United States as 50.7% 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 47% of the total holdings value. On the other hand, small-cap stocks make up only 1.8% of the portfolio. The average market cap of the portfolio companies is close to $119 billion.

The complete list of Twin Capital Management Inc trades based on 13F SEC filings

These positions were updated on January 31st 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
Apple Inc
1.83%
261,792
$50,402,839,000 6.60%
Microsoft Corporation
1.64%
131,180
$49,328,927,000 6.46%
Amazon.com Inc.
7.77%
146,432
$22,248,878,000 2.91%
Alphabet Inc
8.61%
157,370
$21,983,015,000 2.88%
Nvidia Corporation Com
6.83%
40,857
$20,233,204,000 2.65%
JPMorgan Chase & Co.
4.26%
77,365
$13,159,814,000 1.72%
Meta Platforms Inc
6.79%
36,797
$13,024,666,000 1.71%
Unitedhealth Group Inc
1.51%
23,536
$12,390,998,000 1.62%
Tesla Inc
1.97%
44,472
$11,050,403,000 1.45%
Berkshire Hathaway Inc.
2.15%
30,165
$10,758,649,000 1.41%
Broadcom Inc.
3.53%
9,412
$10,506,145,000 1.38%
Exxon Mobil Corp Com
6.35%
97,261
$9,724,155,000 1.27%
Johnson & Johnson Com Usd1
2.08%
57,826
$9,063,647,000 1.19%
Procter & Gamble Co.
1.30%
61,148
$8,960,665,000 1.17%
Eli Lilly & Co
24.88%
14,335
$8,356,396,000 1.09%
Bank of America Corporation
6.85%
207,125
$6,973,899,000 0.91%
3m Co Com
87.37%
63,179
$6,906,728,000 0.90%
Salesforce Inc
2.24%
24,106
$6,343,253,000 0.83%
Adobe Inc
2.16%
10,213
$6,093,076,000 0.80%
Intel Corp.
203.41%
118,873
$5,973,368,000 0.78%
Abbvie Inc
3.85%
38,181
$5,916,979,000 0.78%
Visa Inc
2.48%
22,492
$5,855,792,000 0.77%
Pulte Group Inc
5.03%
56,041
$5,784,552,000 0.76%
Comcast Corp Cl A New
7.38%
131,393
$5,761,583,000 0.75%
Merck & Co Inc New Com
3.58%
52,668
$5,741,865,000 0.75%
Walmart Inc
1.40%
35,469
$5,591,688,000 0.73%
Cisco Systems, Inc.
7.27%
109,276
$5,520,624,000 0.72%
Synopsys, Inc.
1.96%
10,101
$5,201,106,000 0.68%
Pepsico Inc Com
50.38%
30,555
$5,189,376,000 0.68%
Copart, Inc.
2.45%
105,140
$5,151,860,000 0.67%
Costco Wholesale Corp
1.67%
7,650
$5,049,612,000 0.66%
Conocophillips Common
5.96%
42,696
$4,955,725,000 0.65%
Caterpillar Inc.
1.79%
16,585
$4,903,687,000 0.64%
Cadence Design Systems, Inc.
1.97%
17,791
$4,845,735,000 0.63%
Coca-Cola Co
9.69%
80,366
$4,735,968,000 0.62%
Abbott Lab
7.25%
42,716
$4,701,793,000 0.62%
Arista Networks Inc
1.79%
19,769
$4,655,797,000 0.61%
Lennar Corp A
2.05%
30,351
$4,523,513,000 0.59%
Snap-on, Inc.
1.61%
15,372
$4,440,048,000 0.58%
Verizon Communications Com
2.15%
116,981
$4,410,184,000 0.58%
Netflix.com Inc
2.31%
8,973
$4,368,774,000 0.57%
Chevron Corp.
29.68%
29,210
$4,356,911,000 0.57%
Bristol-Myers Squibb Co.
13.41%
83,162
$4,267,060,000 0.56%
AMGEN Inc.
194.96%
14,795
$4,261,256,000 0.56%
Wells Fargo & Co.
4.31%
84,616
$4,164,800,000 0.55%
Accenture Plc Class A Shares
Opened
11,204
$3,931,596,000 0.52%
Paychex Inc.
4.58%
32,739
$3,899,542,000 0.51%
Fidelity National Information
31.46%
64,658
$3,884,006,000 0.51%
Alphabet Class-c Share
3.55%
27,354
$3,854,999,000 0.51%
New Linde Plc
40.54%
9,353
$3,841,371,000 0.50%
Lam Research Corp.
1.84%
4,904
$3,841,107,000 0.50%
Equinix Inc
2.02%
4,763
$3,836,073,000 0.50%
Pfizer Inc.
2.65%
131,753
$3,793,167,000 0.50%
General Electric Co.
0.74%
28,949
$3,694,761,000 0.48%
Chubb Ltd
2.21%
16,184
$3,657,584,000 0.48%
Archer Daniels Midland Co.
1.58%
50,421
$3,641,405,000 0.48%
Everest Group Ltd
1.55%
10,238
$3,619,952,000 0.47%
Advanced Micro Devices Inc.
69.65%
24,243
$3,573,661,000 0.47%
Regeneron Pharmaceut
2.30%
4,001
$3,514,038,000 0.46%
Cbre Group Inc
0.29%
37,384
$3,480,077,000 0.46%
S&P Global Inc
1.24%
7,883
$3,472,619,000 0.45%
Citigroup Inc Com New
1.98%
66,308
$3,410,884,000 0.45%
T. Rowe Price Group Inc.
41.29%
31,129
$3,352,282,000 0.44%
Applied Materials Inc.
0.32%
20,449
$3,314,169,000 0.43%
Splunk Inc
Closed
22,616
$3,307,590,000
Discover Finl Svcs Com Stk
2.10%
27,968
$3,143,603,000 0.41%
Qualcomm, Inc.
133.41%
21,558
$3,117,934,000 0.41%
Home Depot, Inc.
616.93%
8,933
$3,095,731,000 0.41%
Cigna Group (The)
1.01%
10,329
$3,093,019,000 0.41%
Intuit Com
1.32%
4,847
$3,029,520,000 0.40%
Fortinet Inc
19.88%
51,218
$2,997,790,000 0.39%
Mondelez International Inc.
2.52%
41,080
$2,975,424,000 0.39%
Marriott Intl Inc New Com Stk
2.34%
12,965
$2,923,737,000 0.38%
Honeywell International Inc
Closed
15,635
$2,888,410,000
Kroger Co Com
10.61%
62,931
$2,876,576,000 0.38%
D.R. Horton Inc.
14.09%
18,875
$2,868,623,000 0.38%
Cons Edison Inc Com
1.52%
31,484
$2,864,099,000 0.38%
MetLife, Inc.
1.28%
42,114
$2,784,999,000 0.36%
Lululemon Athletica inc.
0.67%
5,375
$2,748,184,000 0.36%
Cvs Health Corp Com
18.19%
34,662
$2,736,912,000 0.36%
Capital One Finl Corp
2.28%
20,679
$2,711,430,000 0.36%
Airbnb, Inc.
0.46%
19,793
$2,694,619,000 0.35%
Oneok Inc.
2.25%
38,319
$2,690,760,000 0.35%
Valero Energy Corp Com Stk New
2.05%
20,660
$2,685,800,000 0.35%
A T & T Inc
27.04%
158,635
$2,661,895,000 0.35%
Ametek Inc
2.30%
15,916
$2,624,389,000 0.34%
Cognizant Technology Solutions Corp.
1.96%
34,176
$2,581,313,000 0.34%
Gilead Sciences, Inc.
23.77%
31,725
$2,570,042,000 0.34%
Cencora Inc.
0.99%
12,493
$2,565,812,000 0.34%
Fastenal Co.
2.13%
39,577
$2,563,402,000 0.34%
Stryker Corp.
2.17%
8,512
$2,549,004,000 0.33%
Quanta Services, Inc.
158.66%
11,725
$2,530,255,000 0.33%
Duke Energy Corp.
1.97%
26,032
$2,526,145,000 0.33%
Vertex Pharmaceutical Inc.
2.55%
6,192
$2,519,463,000 0.33%
Fiserv, Inc.
0.89%
18,763
$2,492,477,000 0.33%
Albemarle Corp Com
Closed
14,570
$2,477,483,000
Westrock Company (new)
10.29%
58,368
$2,423,439,000 0.32%
Sherwin-williams Co Com
Opened
7,688
$2,397,887,000 0.31%
Hologic, Inc.
1.76%
33,367
$2,384,072,000 0.31%
Goldman Sachs Group, Inc.
20.12%
6,113
$2,358,212,000 0.31%
General Dynamics Corp Com
1.00%
9,075
$2,356,505,000 0.31%
Mastercard Incorporated
28.39%
5,445
$2,322,347,000 0.30%
Hartford Finl Svcs Group Inc C
0.70%
28,736
$2,309,800,000 0.30%
Biogen Inc Common
3.05%
8,851
$2,290,373,000 0.30%
Williams-Sonoma, Inc.
1.55%
11,331
$2,286,369,000 0.30%
Trade Desk Inc
Closed
29,223
$2,283,777,000
General Motors Company Common
1.77%
63,577
$2,283,686,000 0.30%
Old Dominion Freight
Opened
5,589
$2,265,389,000 0.30%
Paccar Inc.
1.73%
23,069
$2,252,688,000 0.30%
Carlyle Group Inc (The)
2.28%
55,322
$2,251,052,000 0.29%
Caesars Entertainment Inc
2.14%
46,864
$2,196,984,000 0.29%
Mckesson Corporation
1.29%
4,665
$2,159,802,000 0.28%
Oge Energy Corp Com $us
1.88%
61,482
$2,147,566,000 0.28%
Freeport-McMoRan Inc
2.46%
48,937
$2,083,248,000 0.27%
ServiceNow Inc
2.20%
2,934
$2,072,842,000 0.27%
Ulta Beauty Inc
2.61%
4,178
$2,047,178,000 0.27%
Landstar System, Inc.
43.78%
10,559
$2,044,750,000 0.27%
Wabtec Corp
1.58%
15,997
$2,030,019,000 0.27%
Nucor Corp Com
1.61%
11,657
$2,028,784,000 0.27%
General Mills, Inc.
2.81%
30,891
$2,012,240,000 0.26%
Travelers Cos Inc Com Stk
1.30%
10,518
$2,003,574,000 0.26%
Electronic Arts, Inc.
Opened
14,638
$2,002,625,000 0.26%
Evergy Inc
2.18%
37,955
$1,981,251,000 0.26%
PayPal Holdings Inc
0.77%
31,889
$1,958,303,000 0.26%
Old Republic Intl Corp
2.12%
66,011
$1,940,723,000 0.25%
Westlake Corporation
2.48%
13,504
$1,890,020,000 0.25%
Avnet, Inc.
1.78%
36,665
$1,847,916,000 0.24%
Ford Motor Co Common Stock Usd
41.11%
146,410
$1,784,738,000 0.23%
Cardinal Health, Inc.
1.31%
17,666
$1,780,733,000 0.23%
Datadog Inc
Opened
14,469
$1,756,247,000 0.23%
Sempra
1.45%
23,299
$1,741,134,000 0.23%
Snowflake Inc.
1.73%
8,745
$1,740,255,000 0.23%
Bank Of Ny Mellon Corp
1.57%
33,127
$1,724,260,000 0.23%
Illumina Inc
0.21%
12,290
$1,711,260,000 0.22%
Trane Technologies plc
1.70%
6,993
$1,705,593,000 0.22%
Oracle Corp.
No change
16,031
$1,690,148,000 0.22%
Cintas Corp Com
0.39%
2,775
$1,672,382,000 0.22%
Uber Technologies Inc
Opened
27,050
$1,665,469,000 0.22%
Skyworks Solutions Inc Common
34.95%
14,522
$1,632,563,000 0.21%
Danaher Corp.
Closed
6,574
$1,631,009,000
Automatic Data Processing Inc.
No change
6,947
$1,618,443,000 0.21%
Tjx Cos Inc Com New
3.33%
17,204
$1,613,907,000 0.21%
Public Storage
99.13%
5,269
$1,607,045,000 0.21%
Medtronic Plc
48.25%
19,477
$1,604,515,000 0.21%
Genuine Parts Co Common Stock
0.33%
11,546
$1,599,121,000 0.21%
Textron Inc.
40.85%
19,840
$1,595,533,000 0.21%
State Street Corp.
0.90%
20,114
$1,558,030,000 0.20%
Amdocs Limited
1.27%
17,716
$1,557,059,000 0.20%
Activision Blizzard Inc Com St
Closed
16,279
$1,524,203,000
Equity Residential Reit Usd.01
0.85%
24,867
$1,520,866,000 0.20%
Smucker J M Co Com New
0.35%
11,628
$1,469,547,000 0.19%
LKQ Corp
199.66%
30,568
$1,460,845,000 0.19%
Target Corp Com Stk
Opened
10,198
$1,452,399,000 0.19%
Synchrony Financial
1.02%
36,960
$1,411,502,000 0.18%
W E C Energy Group Inc Com
1.28%
16,295
$1,371,550,000 0.18%
Fedex Corp Com
1.54%
5,371
$1,358,702,000 0.18%
EOG Resources, Inc.
56.02%
11,227
$1,357,906,000 0.18%
Boston Scientific Corp.
8.57%
22,996
$1,329,399,000 0.17%
Microchip Technology, Inc.
No change
14,740
$1,329,253,000 0.17%
Ppg Ind Inc Com
1.29%
8,728
$1,305,272,000 0.17%
Healthpeak Properties Inc.
1.57%
65,810
$1,303,038,000 0.17%
Deere & Co Common
58.73%
3,168
$1,266,788,000 0.17%
Centene Corp Common
0.90%
16,557
$1,228,695,000 0.16%
Pinnacle West Capital Corp.
0.04%
16,696
$1,199,441,000 0.16%
Block Inc
Opened
15,467
$1,196,372,000 0.16%
Phillips 66
34.33%
8,800
$1,171,632,000 0.15%
Cleveland-Cliffs Inc
57.08%
56,369
$1,151,055,000 0.15%
Omnicom Group, Inc.
Opened
13,299
$1,150,496,000 0.15%
Rockwell Intl Corp
No change
3,673
$1,140,393,000 0.15%
Costar Group, Inc.
Closed
14,613
$1,123,594,000
Wr Berkley Corp
2.40%
15,673
$1,108,395,000 0.15%
American Express Co.
Opened
5,840
$1,094,066,000 0.14%
Walgreens Boots Alliance Inc
3.68%
40,577
$1,059,465,000 0.14%
Interpublic Group Cos
Closed
36,833
$1,055,634,000
International Business Machs C
74.58%
6,345
$1,037,725,000 0.14%
Kimberly-Clark Corp.
4.35%
8,374
$1,017,525,000 0.13%
Bunge Ltd
0.03%
10,066
$1,016,163,000 0.13%
Acadia Healthcare Comp
Closed
13,948
$980,684,000
Park Hotels And Resorts Inc
Closed
79,543
$979,970,000
Eaton Corp Plc Common
5.51%
4,047
$974,599,000 0.13%
Albertsons Companies, Inc.
1.47%
41,677
$958,571,000 0.13%
Mc Donalds Corp Com
No change
3,227
$956,838,000 0.13%
Xylem Inc
31.82%
8,209
$938,781,000 0.12%
Liberty Broadband Corp
1.96%
11,482
$925,334,000 0.12%
Fidelity 500 Index Fund
0.77%
5,515
$912,683,000 0.12%
Starbucks Corporation Com
0.92%
9,485
$910,655,000 0.12%
Devon Energy Corp.
Opened
20,028
$907,268,000 0.12%
FTI Consulting Inc.
0.04%
4,497
$895,578,000 0.12%
Marathon Petroleum Corp Common
0.49%
6,035
$895,353,000 0.12%
American Airlines Group Inc
28.29%
63,820
$876,887,000 0.11%
Air Prod & Chem Inc Com
0.03%
3,183
$871,505,000 0.11%
HubSpot Inc
0.07%
1,477
$857,458,000 0.11%
Avalonbay Communities Inc.
3.03%
4,508
$843,988,000 0.11%
The Southern Co.
1.28%
12,018
$842,702,000 0.11%
Martin Marietta Materials, Inc.
2.71%
1,688
$842,160,000 0.11%
Regions Financial Corp.
1.76%
42,910
$831,596,000 0.11%
T-Mobile US, Inc.
3.36%
5,147
$825,219,000 0.11%
Best Buy Inc Com Stk
3.06%
10,451
$818,104,000 0.11%
Arrow Electrs Inc
0.03%
6,656
$813,696,000 0.11%
Camden Property Trust
Opened
8,164
$810,604,000 0.11%
Polo Ralph Lauren Corp Common
2.13%
5,595
$806,799,000 0.11%
Waste Mgmt Inc Del Com Stk
17.54%
4,363
$781,413,000 0.10%
Elevance Health Inc
3.58%
1,644
$775,245,000 0.10%
Us Bancorp
No change
17,825
$771,466,000 0.10%
Rexford Industrial Realty Reit
3.71%
13,332
$747,925,000 0.10%
Edwards Lifesciences Corp
35.33%
9,699
$739,549,000 0.10%
Prudential Finl Inc Com
No change
7,114
$737,793,000 0.10%
Morgan Stanley
Closed
8,947
$730,701,000
Nike, Inc.
2.26%
6,574
$713,739,000 0.09%
Host Hotels & Resorts Inc Reit
0.44%
36,015
$701,212,000 0.09%
Arch Capital Group Ltd
0.02%
9,121
$677,417,000 0.09%
Robert Half Inc
38.69%
7,700
$676,984,000 0.09%
Grand Canyon Ed Inc
1.02%
5,121
$676,177,000 0.09%
Micron Technology Inc.
Closed
9,906
$673,905,000
Quest Diagnostics, Inc.
57.61%
4,827
$665,547,000 0.09%
Whirlpool Corp Com
57.67%
5,438
$662,185,000 0.09%
Exelon Corporation Common
41.61%
18,443
$662,104,000 0.09%
West Pharmaceutical Sv
No change
1,830
$644,380,000 0.08%
Cme Group Inc Com Stk
Opened
2,966
$624,640,000 0.08%
Northrop Grumman Corp Com
7.23%
1,334
$624,499,000 0.08%
Live Nation Entertainment Inc
3.45%
6,633
$620,849,000 0.08%
Amer Electric Pwr Co
2.96%
7,575
$615,242,000 0.08%
Laboratory Corp Amer Hldgscom
1.25%
2,676
$608,228,000 0.08%
Roper Industries Inc
5.04%
1,084
$590,964,000 0.08%
Csx Corp Com
0.71%
16,769
$581,381,000 0.08%
Lamb Weston Holdings Inc
3.05%
5,378
$581,308,000 0.08%
BILL Holdings Inc
Closed
5,149
$559,027,000
Ingersoll Rand Plc Common
3.04%
7,016
$542,617,000 0.07%
Teledyne Technologies Inc
2.80%
1,214
$541,796,000 0.07%
Fidelity Puritan Fund
4.88%
22,308
$519,772,000 0.07%
Fifth Third Bancorp Common Sto
No change
14,600
$503,554,000 0.07%
Cincinnati Financial Corporati
Opened
4,850
$501,781,000 0.07%
Spdr Portfolio S&p 500 Value E
0.31%
10,748
$501,177,000 0.07%
Domino's Pizza Inc
No change
1,212
$499,623,000 0.07%
Centerpoint Energy Inc.
3.04%
17,483
$499,489,000 0.07%
Corteva Inc
47.79%
10,403
$498,512,000 0.07%
Carrier Global Corporation
2.94%
8,523
$489,646,000 0.06%
Hewlett Packard Enterprise Co
3.01%
28,613
$485,849,000 0.06%
Expedia Inc
3.16%
3,188
$483,907,000 0.06%
American Intl Group Inc Com Ne
2.88%
6,941
$470,253,000 0.06%
Emerson Electric Co Com
Opened
4,795
$466,697,000 0.06%
Public Services Enterprises Gp
No change
7,606
$465,107,000 0.06%
Netapp Inc
3.12%
5,209
$459,225,000 0.06%
First American Corp/ca
Closed
8,100
$457,569,000
Ariel Mutual Fund
5.68%
6,602
$450,924,000 0.06%
Corning, Inc.
Closed
14,552
$443,399,000
Boeing Co Com
Closed
2,300
$440,864,000
Charles Schwab Corp.
Closed
7,991
$438,706,000
EBay Inc.
7.54%
10,021
$437,116,000 0.06%
Principal Finl Group Inc Com S
3.04%
5,551
$436,697,000 0.06%
Molina Healthcare Inc
2.75%
1,201
$433,933,000 0.06%
United Airlines Holdings Inc
4.93%
10,199
$420,811,000 0.06%
Dover Corp 1 Com/1 Pfd Rt
Closed
3,015
$420,623,000
RTX Corp
Opened
4,957
$417,082,000 0.05%
W.W. Grainger Inc.
No change
499
$413,516,000 0.05%
Texas Instruments Inc.
1.62%
2,425
$413,366,000 0.05%
Newmont Corp
3.03%
9,905
$409,968,000 0.05%
Viatris Inc.
Closed
40,975
$404,014,000
Delta Air Lines Inc Del Common
3.04%
9,870
$397,070,000 0.05%
Molson Coors Brewing Com Cl B
5.19%
6,480
$396,641,000 0.05%
Schwab Small-cap Index Fund
1.61%
11,263
$366,153,000 0.05%
Tractor Supply Co.
Closed
1,797
$364,881,000
Analog Devices Inc.
85.10%
1,809
$359,195,000 0.05%
Dxc Technology Co Com
Closed
16,994
$353,985,000
Schwab 1000 Index Fund
1.45%
3,429
$351,073,000 0.05%
Entergy Corp.
6.82%
3,456
$349,713,000 0.05%
Union Pac Corp Com
3.03%
1,394
$342,394,000 0.04%
Hershey Company
No change
1,808
$337,084,000 0.04%
Jensen Quality Growth Fund
0.06%
5,407
$319,905,000 0.04%
Vanguard Mid-cap Index Fund
0.46%
1,087
$314,828,000 0.04%
Kraft Heinz Co
4.74%
8,284
$306,342,000 0.04%
Aegis Value Fund Class
23.50%
8,540
$301,899,000 0.04%
Vanguard Small-cap Growth Inde
0.26%
3,457
$297,722,000 0.04%
Dodge & Cox Income Fund
1.03%
22,574
$284,887,000 0.04%
Keurig Dr Pepper Inc
Closed
8,921
$281,636,000
Conestoga Small Cap Fund
0.94%
3,763
$268,578,000 0.04%
Schwab Us Mid-cap Index Fund
1.57%
4,528
$267,416,000 0.04%
Dodge & Cox Stock Fund
2.09%
1,073
$261,264,000 0.03%
Schwab International Index Fun
3.40%
11,457
$258,465,000 0.03%
Clorox Co Com
No change
1,801
$256,805,000 0.03%
EPAM Systems Inc
Closed
973
$248,786,000
Fox Corporation
Closed
8,247
$238,173,000
Financial Select Sector Spdr F
3.44%
6,255
$235,188,000 0.03%
Fpa Crescent Fund
2.68%
6,087
$235,134,000 0.03%
Pnc Financial Services
7.36%
1,510
$233,824,000 0.03%
Mairs & Power Growth Fund
Closed
1,772
$233,595,000
Schwab Value Advantage Money I
5.21%
232,990
$232,990,000 0.03%
United Rentals, Inc.
Opened
396
$227,074,000 0.03%
Wasatch Small Cap Growth Fund
No change
6,245
$226,022,000 0.03%
Vanguard Information Technolog
Opened
460
$222,640,000 0.03%
Novo Nordisk A/s Sponsored Adr
Opened
2,060
$213,107,000 0.03%
Doubleline Total Return Bond F
1.19%
20,803
$183,693,000 0.02%
Schwab Us Aggregate Bond Index
0.91%
16,373
$147,357,000 0.02%
Loomis Sayles Bond Fund
Opened
10,093
$117,481,000 0.02%
Allspring Strategic Municipal
0.69%
11,878
$104,404,000 0.01%
Schwab Government Money Inv
1.48%
65,589
$65,589,000 0.01%
Schwab Treasury Obligations Mo
7.33%
52,817
$52,817,000 0.01%
No transactions found
Showing first 500 out of 297 holdings