AIS

APG Investment Services Portfolio holdings

AUM $6.7M
This Quarter Return
+4.62%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$6.7M
AUM Growth
+$6.7M
Cap. Flow
+$614K
Cap. Flow %
9.17%
Top 10 Hldgs %
55.59%
Holding
25
New
4
Increased
1
Reduced
Closed
1

Sector Composition

1 Technology 34.2%
2 Communication Services 16.67%
3 Industrials 12.62%
4 Consumer Staples 12.52%
5 Healthcare 8.74%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AAPL icon
1
Apple
AAPL
$3.45T
$682K 10.18%
1,431
GE icon
2
GE Aerospace
GE
$292B
$430K 6.42%
18,002
+300
+2% +$7.17K
MSFT icon
3
Microsoft
MSFT
$3.77T
$423K 6.31%
12,713
GOOG icon
4
Alphabet (Google) Class C
GOOG
$2.58T
$373K 5.57%
426
PG icon
5
Procter & Gamble
PG
$368B
$333K 4.97%
4,411
IBM icon
6
IBM
IBM
$227B
$319K 4.76%
1,725
MRK icon
7
Merck
MRK
$210B
$317K 4.73%
6,663
T icon
8
AT&T
T
$209B
$288K 4.3%
8,530
SLB icon
9
Schlumberger
SLB
$55B
$282K 4.21%
3,190
KO icon
10
Coca-Cola
KO
$297B
$278K 4.15%
7,342
GILD icon
11
Gilead Sciences
GILD
$140B
$269K 4.01%
4,288
VZ icon
12
Verizon
VZ
$186B
$250K 3.73%
5,357
ORCL icon
13
Oracle
ORCL
$635B
$239K 3.57%
7,216
COP icon
14
ConocoPhillips
COP
$124B
$234K 3.49%
3,364
PEP icon
15
PepsiCo
PEP
$204B
$228K 3.4%
2,872
CSCO icon
16
Cisco
CSCO
$274B
$220K 3.28%
9,415
BA icon
17
Boeing
BA
$177B
$214K 3.19%
+1,822
New +$214K
AXP icon
18
American Express
AXP
$231B
$211K 3.15%
2,789
MCD icon
19
McDonald's
MCD
$224B
$210K 3.13%
2,186
INTC icon
20
Intel
INTC
$107B
$207K 3.09%
9,013
DIS icon
21
Walt Disney
DIS
$213B
$206K 3.07%
3,200
QCOM icon
22
Qualcomm
QCOM
$173B
$202K 3.01%
+3,001
New +$202K
RTX icon
23
RTX Corp
RTX
$212B
$202K 3.01%
+1,877
New +$202K
S
24
DELISTED
Sprint Corporation
S
$84K 1.25%
+13,517
New +$84K
FON
25
DELISTED
SPRINT CORP FON COM
FON
-13,517
Closed -$95K