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
MDYG icon
176
SPDR S&P 400 Mid Cap Growth ETF
MDYG
$2.41B
$78K 0.04%
1,392
ENTG icon
177
Entegris
ENTG
$12.7B
$76K 0.04%
2,634
UNP icon
178
Union Pacific
UNP
$133B
$75K 0.04%
460
SCG
179
DELISTED
Scana
SCG
$74K 0.04%
1,893
AZO icon
180
AutoZone
AZO
$70.2B
$66K 0.03%
85
ENR icon
181
Energizer
ENR
$1.88B
$66K 0.03%
1,119
SLCA
182
DELISTED
U.S. SILICA HOLDINGS, INC.
SLCA
$66K 0.03%
3,500
COP icon
183
ConocoPhillips
COP
$124B
$65K 0.03%
840
QQQ icon
184
Invesco QQQ Trust
QQQ
$364B
$64K 0.03%
344
PM icon
185
Philip Morris
PM
$260B
$61K 0.03%
+750
New +$61K
JEF icon
186
Jefferies Financial Group
JEF
$13.4B
$59K 0.03%
+2,700
New +$59K
PRF icon
187
Invesco FTSE RAFI US 1000 ETF
PRF
$8.08B
$57K 0.03%
477
BR icon
188
Broadridge
BR
$29.9B
$55K 0.03%
418
CFR icon
189
Cullen/Frost Bankers
CFR
$8.3B
$52K 0.02%
+500
New +$52K
EPC icon
190
Edgewell Personal Care
EPC
$1.12B
$52K 0.02%
1,119
BAX icon
191
Baxter International
BAX
$12.7B
$51K 0.02%
660
CHTR icon
192
Charter Communications
CHTR
$36.3B
$50K 0.02%
154
NWLI
193
DELISTED
National Western Life Group, Inc. Class A
NWLI
$48K 0.02%
150
HAL icon
194
Halliburton
HAL
$19.4B
$46K 0.02%
1,125
CIBR icon
195
First Trust NASDAQ Cybersecurity ETF
CIBR
$10.5B
$41K 0.02%
1,431
+910
+175% +$26.1K
AVNS icon
196
Avanos Medical
AVNS
$554M
$36K 0.02%
525
-60
-10% -$4.11K
MKL icon
197
Markel Group
MKL
$24.8B
$36K 0.02%
+30
New +$36K
NUDM icon
198
Nuveen ESG International Developed Markets Equity ETF
NUDM
$585M
$36K 0.02%
+1,356
New +$36K
NULG icon
199
Nuveen ESG Large-Cap Growth ETF
NULG
$1.77B
$35K 0.02%
+945
New +$35K
CDK
200
DELISTED
CDK Global, Inc.
CDK
$35K 0.02%
556