COPM

Charter Oak Partners Management Portfolio holdings

AUM $133M
This Quarter Return
-4.87%
1 Year Return
+11.36%
3 Year Return
5 Year Return
10 Year Return
AUM
$133M
AUM Growth
+$133M
Cap. Flow
-$42.5M
Cap. Flow %
-31.99%
Top 10 Hldgs %
62.8%
Holding
36
New
1
Increased
3
Reduced
13
Closed
6

Sector Composition

1 Energy 25.71%
2 Industrials 23.39%
3 Healthcare 13.8%
4 Financials 10.86%
5 Consumer Staples 2.55%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
OXY icon
1
Occidental Petroleum
OXY
$46.9B
$16.4M 12.38%
170,890
TBF icon
2
ProShares Short 20+ Year Treasury ETF
TBF
$71.9M
$14.5M 10.96%
524,422
+100,000
+24% +$2.77M
PFE icon
3
Pfizer
PFE
$141B
$9.61M 7.24%
325,000
SLB icon
4
Schlumberger
SLB
$55B
$7.3M 5.5%
71,816
-18,000
-20% -$1.83M
MET icon
5
MetLife
MET
$54.1B
$6.66M 5.02%
123,959
PWE
6
DELISTED
Penn West Energy Petroleum Ltd
PWE
$6.64M 5%
983,887
R icon
7
Ryder
R
$7.65B
$6.48M 4.88%
72,000
-43,000
-37% -$3.87M
VTRS icon
8
Viatris
VTRS
$12.3B
$5.29M 3.99%
116,282
-50,000
-30% -$2.27M
NSC icon
9
Norfolk Southern
NSC
$62.8B
$5.27M 3.97%
47,229
-88,000
-65% -$9.82M
BAC icon
10
Bank of America
BAC
$376B
$5.12M 3.85%
300,000
NVGS icon
11
Navigator Holdings
NVGS
$1.08B
$3.75M 2.82%
134,651
-74,567
-36% -$2.08M
TW
12
DELISTED
TOWERS WATSON & CO COM STK CL A (DE)
TW
$3.52M 2.65%
35,334
JBLU icon
13
JetBlue
JBLU
$1.95B
$3.45M 2.6%
325,000
-375,000
-54% -$3.98M
ESRX
14
DELISTED
Express Scripts Holding Company
ESRX
$3.41M 2.57%
48,247
-25,000
-34% -$1.77M
MDLZ icon
15
Mondelez International
MDLZ
$79.5B
$3.39M 2.55%
98,829
RSE
16
DELISTED
ROUSE PPTYS INC COM (DE)
RSE
$3.34M 2.51%
206,258
-7,523
-4% -$122K
FCX icon
17
Freeport-McMoran
FCX
$63.7B
$3.26M 2.45%
99,722
MRTN icon
18
Marten Transport
MRTN
$965M
$3.18M 2.4%
178,718
-85,911
-32% -$1.53M
EPIQ
19
DELISTED
EPIQ SYSTEMS INC
EPIQ
$3.18M 2.39%
180,983
+32,891
+22% +$578K
KFY icon
20
Korn Ferry
KFY
$3.88B
$3.11M 2.34%
124,717
EG icon
21
Everest Group
EG
$14.3B
$2.63M 1.98%
16,249
-8,000
-33% -$1.3M
PVH icon
22
PVH
PVH
$4.05B
$2.25M 1.7%
18,571
WAB icon
23
Wabtec
WAB
$33.1B
$2.19M 1.65%
27,023
-62,977
-70% -$5.1M
VYX icon
24
NCR Voyix
VYX
$1.82B
$1.89M 1.42%
56,446
TFCFA
25
DELISTED
Twenty-First Century Fox, Inc. Class A
TFCFA
$1.72M 1.29%
50,000