CT

CPF Texas Portfolio holdings

AUM $210M
This Quarter Return
+4.82%
1 Year Return
+9.09%
3 Year Return
5 Year Return
10 Year Return
AUM
$210M
AUM Growth
+$210M
Cap. Flow
+$13.5M
Cap. Flow %
6.41%
Top 10 Hldgs %
25.98%
Holding
281
New
46
Increased
77
Reduced
40
Closed
17

Sector Composition

1 Financials 8.26%
2 Healthcare 7.82%
3 Consumer Staples 4.13%
4 Consumer Discretionary 4.06%
5 Industrials 3.43%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
IYT icon
126
iShares US Transportation ETF
IYT
$613M
$347K 0.17%
+1,694
New +$347K
DOV icon
127
Dover
DOV
$24.5B
$345K 0.16%
3,900
SOXX icon
128
iShares Semiconductor ETF
SOXX
$13.6B
$327K 0.16%
+1,765
New +$327K
EFA icon
129
iShares MSCI EAFE ETF
EFA
$66B
$325K 0.15%
4,783
+2,592
+118% +$176K
DGRW icon
130
WisdomTree Trust WisdomTree US Quality Dividend Growth Fund
DGRW
$16.3B
$307K 0.15%
6,930
MDY icon
131
SPDR S&P MidCap 400 ETF Trust
MDY
$23.7B
$305K 0.15%
829
SPIB icon
132
SPDR Portfolio Intermediate Term Corporate Bond ETF
SPIB
$10.7B
$301K 0.14%
9,047
+3,548
+65% +$118K
V icon
133
Visa
V
$683B
$300K 0.14%
2,000
IHF icon
134
iShares US Healthcare Providers ETF
IHF
$793M
$293K 0.14%
1,464
+346
+31% +$69.2K
BSV icon
135
Vanguard Short-Term Bond ETF
BSV
$38.5B
$280K 0.13%
3,584
+3,157
+739% +$247K
LLY icon
136
Eli Lilly
LLY
$657B
$258K 0.12%
2,400
ADP icon
137
Automatic Data Processing
ADP
$123B
$252K 0.12%
1,670
CLX icon
138
Clorox
CLX
$14.5B
$241K 0.11%
1,600
MDLZ icon
139
Mondelez International
MDLZ
$79.5B
$239K 0.11%
5,565
WFC icon
140
Wells Fargo
WFC
$263B
$238K 0.11%
4,525
+2,000
+79% +$105K
DGX icon
141
Quest Diagnostics
DGX
$20.3B
$237K 0.11%
2,200
SAP icon
142
SAP
SAP
$317B
$234K 0.11%
1,900
VOT icon
143
Vanguard Mid-Cap Growth ETF
VOT
$17.6B
$232K 0.11%
1,625
+669
+70% +$95.5K
MRK icon
144
Merck
MRK
$210B
$213K 0.1%
3,000
VWO icon
145
Vanguard FTSE Emerging Markets ETF
VWO
$96.4B
$213K 0.1%
5,204
+5,148
+9,193% +$211K
DD icon
146
DuPont de Nemours
DD
$32.2B
$206K 0.1%
3,205
GPC icon
147
Genuine Parts
GPC
$19.4B
$201K 0.1%
2,025
BMY icon
148
Bristol-Myers Squibb
BMY
$96B
$199K 0.09%
3,200
CCT
149
DELISTED
Corporate Capital Trust, Inc.
CCT
$191K 0.09%
12,509
AXP icon
150
American Express
AXP
$231B
$170K 0.08%
1,594