CC

Courier Capital Portfolio holdings

AUM $1.65B
1-Year Return 14.16%
This Quarter Return
+0.9%
1 Year Return
+14.16%
3 Year Return
+51.56%
5 Year Return
+91.28%
10 Year Return
+181.95%
AUM
$401M
AUM Growth
Cap. Flow
+$401M
Cap. Flow %
100%
Top 10 Hldgs %
32.31%
Holding
272
New
272
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Technology 8.4%
2 Consumer Staples 7.6%
3 Healthcare 6.95%
4 Energy 6.27%
5 Industrials 6.14%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
TXN icon
101
Texas Instruments
TXN
$171B
$898K 0.22%
+25,754
New +$898K
AIG icon
102
American International
AIG
$43.9B
$894K 0.22%
+20,005
New +$894K
KRFT
103
DELISTED
KRAFT FOODS GROUP INC COM STK (VA)
KRFT
$884K 0.22%
+15,826
New +$884K
BRK.B icon
104
Berkshire Hathaway Class B
BRK.B
$1.08T
$875K 0.22%
+7,820
New +$875K
USIG icon
105
iShares Broad USD Investment Grade Corporate Bond ETF
USIG
$14.8B
$830K 0.21%
+15,440
New +$830K
IJT icon
106
iShares S&P Small-Cap 600 Growth ETF
IJT
$6.28B
$829K 0.21%
+17,110
New +$829K
TGT icon
107
Target
TGT
$42.3B
$796K 0.2%
+11,556
New +$796K
IJS icon
108
iShares S&P Small-Cap 600 Value ETF
IJS
$6.69B
$788K 0.2%
+16,864
New +$788K
PUK icon
109
Prudential
PUK
$33.7B
$781K 0.19%
+24,622
New +$781K
CVS icon
110
CVS Health
CVS
$93.6B
$771K 0.19%
+13,489
New +$771K
QCOM icon
111
Qualcomm
QCOM
$172B
$742K 0.18%
+12,145
New +$742K
WMT icon
112
Walmart
WMT
$801B
$735K 0.18%
+29,589
New +$735K
CAG icon
113
Conagra Brands
CAG
$9.23B
$707K 0.18%
+26,007
New +$707K
FDX icon
114
FedEx
FDX
$53.7B
$705K 0.18%
+7,153
New +$705K
DD icon
115
DuPont de Nemours
DD
$32.6B
$696K 0.17%
+10,728
New +$696K
COP icon
116
ConocoPhillips
COP
$116B
$686K 0.17%
+11,338
New +$686K
GIS icon
117
General Mills
GIS
$27B
$684K 0.17%
+14,100
New +$684K
TTE icon
118
TotalEnergies
TTE
$133B
$684K 0.17%
+14,049
New +$684K
CB
119
DELISTED
CHUBB CORPORATION
CB
$655K 0.16%
+7,740
New +$655K
UNP icon
120
Union Pacific
UNP
$131B
$650K 0.16%
+8,432
New +$650K
GHM icon
121
Graham Corp
GHM
$524M
$648K 0.16%
+21,570
New +$648K
MCD icon
122
McDonald's
MCD
$224B
$633K 0.16%
+6,395
New +$633K
PCL
123
DELISTED
PLUM CREEK TIMBER CO (REIT)
PCL
$623K 0.16%
+13,350
New +$623K
RDS.B
124
DELISTED
Royal Dutch Shell PLC ADS Class B
RDS.B
$615K 0.15%
+9,284
New +$615K
DLN icon
125
WisdomTree US LargeCap Dividend Fund
DLN
$5.26B
$571K 0.14%
+19,090
New +$571K