CWM

Congress Wealth Management Portfolio holdings

AUM $10.3B
1-Year Return 16.85%
This Quarter Return
+9.8%
1 Year Return
+16.85%
3 Year Return
+69.06%
5 Year Return
10 Year Return
AUM
$10.3B
AUM Growth
+$1.98B
Cap. Flow
+$1.34B
Cap. Flow %
12.96%
Top 10 Hldgs %
19.34%
Holding
1,225
New
161
Increased
701
Reduced
269
Closed
46

Sector Composition

1 Technology 16.8%
2 Financials 7.54%
3 Industrials 6.01%
4 Healthcare 5.77%
5 Communication Services 4.39%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MGC icon
526
Vanguard Mega Cap 300 Index ETF
MGC
$7.76B
$2.44M 0.02%
10,844
-3
-0% -$675
PLD icon
527
Prologis
PLD
$104B
$2.42M 0.02%
23,054
+135
+0.6% +$14.2K
HE icon
528
Hawaiian Electric Industries
HE
$2.05B
$2.37M 0.02%
222,916
+44,310
+25% +$471K
BOND icon
529
PIMCO Active Bond Exchange-Traded Fund
BOND
$5.86B
$2.37M 0.02%
+25,674
New +$2.37M
AZN icon
530
AstraZeneca
AZN
$252B
$2.36M 0.02%
33,750
+17,438
+107% +$1.22M
VWOB icon
531
Vanguard Emerging Markets Government Bond ETF
VWOB
$4.58B
$2.33M 0.02%
35,651
+584
+2% +$38.2K
YUM icon
532
Yum! Brands
YUM
$40.5B
$2.29M 0.02%
15,486
+2,238
+17% +$332K
HMC icon
533
Honda
HMC
$45.2B
$2.27M 0.02%
78,702
+1,664
+2% +$48K
AIZ icon
534
Assurant
AIZ
$10.7B
$2.23M 0.02%
11,308
+5,109
+82% +$1.01M
AGX icon
535
Argan
AGX
$3B
$2.22M 0.02%
+10,070
New +$2.22M
ASML icon
536
ASML
ASML
$317B
$2.21M 0.02%
2,761
+702
+34% +$563K
TTE icon
537
TotalEnergies
TTE
$134B
$2.19M 0.02%
35,747
-766
-2% -$47K
TMHC icon
538
Taylor Morrison
TMHC
$6.92B
$2.19M 0.02%
35,686
+14,892
+72% +$915K
DIA icon
539
SPDR Dow Jones Industrial Average ETF Trust
DIA
$40.1B
$2.16M 0.02%
4,900
-289
-6% -$127K
OSK icon
540
Oshkosh
OSK
$8.7B
$2.15M 0.02%
18,977
+12,980
+216% +$1.47M
NDAQ icon
541
Nasdaq
NDAQ
$54.4B
$2.13M 0.02%
23,769
+2,578
+12% +$231K
SGOV icon
542
iShares 0-3 Month Treasury Bond ETF
SGOV
$56.8B
$2.12M 0.02%
21,075
-313
-1% -$31.5K
ITOT icon
543
iShares Core S&P Total US Stock Market ETF
ITOT
$75.9B
$2.11M 0.02%
15,646
+2,861
+22% +$386K
BRBR icon
544
BellRing Brands
BRBR
$4.75B
$2.1M 0.02%
+36,322
New +$2.1M
JMUB icon
545
JPMorgan Municipal ETF
JMUB
$3.56B
$2.1M 0.02%
42,337
-978
-2% -$48.5K
MAR icon
546
Marriott International Class A Common Stock
MAR
$71.7B
$2.1M 0.02%
7,680
+1,122
+17% +$307K
LQD icon
547
iShares iBoxx $ Investment Grade Corporate Bond ETF
LQD
$30.6B
$2.1M 0.02%
19,119
-164
-0.9% -$18K
SONY icon
548
Sony
SONY
$172B
$2.08M 0.02%
79,782
+20,990
+36% +$546K
SAFT icon
549
Safety Insurance
SAFT
$1.09B
$2.06M 0.02%
25,957
-65,707
-72% -$5.22M
CTSH icon
550
Cognizant
CTSH
$34.6B
$2.06M 0.02%
26,373
+1,181
+5% +$92.2K