APFBOT

Amica Pension Fund Board of Trustees Portfolio holdings

AUM $644M
1-Year Return 4.55%
This Quarter Return
-12.12%
1 Year Return
-4.55%
3 Year Return
+30.82%
5 Year Return
+47.54%
10 Year Return
AUM
$644M
AUM Growth
-$126M
Cap. Flow
-$29.8M
Cap. Flow %
-4.62%
Top 10 Hldgs %
19.31%
Holding
359
New
19
Increased
12
Reduced
33
Closed
18

Sector Composition

1 Technology 16.63%
2 Financials 14.27%
3 Healthcare 13.5%
4 Real Estate 11.92%
5 Industrials 8.96%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
GD icon
101
General Dynamics
GD
$86.8B
$1.8M 0.28%
11,473
-3,435
-23% -$540K
MDLZ icon
102
Mondelez International
MDLZ
$79.9B
$1.79M 0.28%
44,682
DUK icon
103
Duke Energy
DUK
$93.8B
$1.76M 0.27%
20,378
GS icon
104
Goldman Sachs
GS
$223B
$1.76M 0.27%
10,505
EA icon
105
Electronic Arts
EA
$42.2B
$1.75M 0.27%
22,164
+8,052
+57% +$635K
NVDA icon
106
NVIDIA
NVDA
$4.07T
$1.73M 0.27%
517,080
APTV icon
107
Aptiv
APTV
$17.5B
$1.69M 0.26%
27,397
HPQ icon
108
HP
HPQ
$27.4B
$1.68M 0.26%
82,193
MS icon
109
Morgan Stanley
MS
$236B
$1.66M 0.26%
41,922
ADP icon
110
Automatic Data Processing
ADP
$120B
$1.66M 0.26%
12,644
-4,698
-27% -$616K
APD icon
111
Air Products & Chemicals
APD
$64.5B
$1.64M 0.26%
10,274
EQR icon
112
Equity Residential
EQR
$25.5B
$1.64M 0.25%
24,832
+19,489
+365% +$1.29M
CSX icon
113
CSX Corp
CSX
$60.6B
$1.58M 0.25%
76,386
EXC icon
114
Exelon
EXC
$43.9B
$1.56M 0.24%
48,476
CL icon
115
Colgate-Palmolive
CL
$68.8B
$1.56M 0.24%
26,141
TFCFA
116
DELISTED
Twenty-First Century Fox, Inc. Class A
TFCFA
$1.47M 0.23%
30,462
EOG icon
117
EOG Resources
EOG
$64.4B
$1.46M 0.23%
16,780
LUV icon
118
Southwest Airlines
LUV
$16.5B
$1.46M 0.23%
31,451
HSIC icon
119
Henry Schein
HSIC
$8.42B
$1.46M 0.23%
23,650
OXY icon
120
Occidental Petroleum
OXY
$45.2B
$1.45M 0.23%
23,624
SLB icon
121
Schlumberger
SLB
$53.4B
$1.45M 0.23%
40,153
BK icon
122
Bank of New York Mellon
BK
$73.1B
$1.44M 0.22%
30,649
AEP icon
123
American Electric Power
AEP
$57.8B
$1.43M 0.22%
19,115
INTU icon
124
Intuit
INTU
$188B
$1.43M 0.22%
7,252
NVS icon
125
Novartis
NVS
$251B
$1.43M 0.22%
18,531