BCWM

Bartlett & Co Wealth Management Portfolio holdings

AUM $7.16B
This Quarter Return
+7.96%
1 Year Return
+12.82%
3 Year Return
+55.67%
5 Year Return
+99.63%
10 Year Return
AUM
$2.67B
AUM Growth
+$2.67B
Cap. Flow
+$23.1M
Cap. Flow %
0.87%
Top 10 Hldgs %
27.3%
Holding
762
New
45
Increased
122
Reduced
175
Closed
45

Sector Composition

1 Financials 14.72%
2 Healthcare 14.51%
3 Technology 14.2%
4 Industrials 8.81%
5 Consumer Staples 8.22%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AEP icon
276
American Electric Power
AEP
$58.8B
$161K 0.01%
2,265
HQH
277
abrdn Healthcare Investors
HQH
$902M
$159K 0.01%
6,873
PIPR icon
278
Piper Sandler
PIPR
$5.7B
$157K 0.01%
2,055
K icon
279
Kellanova
K
$27.5B
$157K 0.01%
2,236
VXUS icon
280
Vanguard Total International Stock ETF
VXUS
$101B
$156K 0.01%
2,866
SHM icon
281
SPDR Nuveen ICE Short Term Municipal Bond ETF
SHM
$3.44B
$155K 0.01%
3,247
TXN icon
282
Texas Instruments
TXN
$178B
$154K 0.01%
1,435
-14
-1% -$1.5K
IYH icon
283
iShares US Healthcare ETF
IYH
$2.75B
$153K 0.01%
750
+450
+150% +$91.5K
DISCK
284
DELISTED
Discovery, Inc. Series C Common Stock
DISCK
$151K 0.01%
5,094
GWW icon
285
W.W. Grainger
GWW
$48.7B
$149K 0.01%
417
-75
-15% -$26.8K
RVT icon
286
Royce Value Trust
RVT
$1.92B
$148K 0.01%
9,063
SDY icon
287
SPDR S&P Dividend ETF
SDY
$20.4B
$147K 0.01%
1,498
SYF icon
288
Synchrony
SYF
$28.1B
$146K 0.01%
4,700
ICF icon
289
iShares Select U.S. REIT ETF
ICF
$1.89B
$145K 0.01%
1,440
CNI icon
290
Canadian National Railway
CNI
$60.3B
$144K 0.01%
1,600
-350
-18% -$31.4K
HE icon
291
Hawaiian Electric Industries
HE
$2.15B
$142K 0.01%
4,000
COL
292
DELISTED
Rockwell Collins
COL
$140K 0.01%
1,000
YUM icon
293
Yum! Brands
YUM
$40.1B
$139K 0.01%
1,534
-298
-16% -$27.1K
HBAN icon
294
Huntington Bancshares
HBAN
$25.7B
$139K 0.01%
9,201
-2,500
-21% -$37.7K
LBTYK icon
295
Liberty Global Class C
LBTYK
$4.1B
$138K 0.01%
4,896
VBK icon
296
Vanguard Small-Cap Growth ETF
VBK
$20B
$137K 0.01%
731
ADBE icon
297
Adobe
ADBE
$148B
$135K 0.01%
500
AMX icon
298
America Movil
AMX
$58.9B
$135K 0.01%
8,400
-1,000
-11% -$16.1K
FBIN icon
299
Fortune Brands Innovations
FBIN
$6.86B
$135K 0.01%
2,575
+200
+8% +$10.5K
CTSH icon
300
Cognizant
CTSH
$35.1B
$133K 0.01%
1,725
+259
+18% +$20K