ECM

Endex Capital Management Portfolio holdings

AUM $107M
This Quarter Return
+9.93%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$107M
AUM Growth
+$107M
Cap. Flow
+$90K
Cap. Flow %
0.08%
Top 10 Hldgs %
21.31%
Holding
324
New
3
Increased
1
Reduced
Closed
3

Sector Composition

1 Technology 16.17%
2 Financials 14.55%
3 Healthcare 13.52%
4 Industrials 10.75%
5 Energy 8.69%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
HD icon
51
Home Depot
HD
$404B
$563K 0.52%
6,833
DD icon
52
DuPont de Nemours
DD
$31.7B
$539K 0.5%
12,146
V icon
53
Visa
V
$679B
$539K 0.5%
2,421
LLY icon
54
Eli Lilly
LLY
$659B
$514K 0.48%
10,078
EMR icon
55
Emerson Electric
EMR
$73.9B
$504K 0.47%
7,187
EMC
56
DELISTED
EMC CORPORATION
EMC
$493K 0.46%
19,599
TXN icon
57
Texas Instruments
TXN
$182B
$484K 0.45%
11,012
SPG icon
58
Simon Property Group
SPG
$58.3B
$455K 0.42%
2,989
TJX icon
59
TJX Companies
TJX
$154B
$454K 0.42%
7,129
MCD icon
60
McDonald's
MCD
$225B
$446K 0.42%
4,600
COF icon
61
Capital One
COF
$143B
$437K 0.41%
5,699
PRU icon
62
Prudential Financial
PRU
$37.8B
$424K 0.4%
4,601
MMM icon
63
3M
MMM
$82.1B
$423K 0.39%
3,013
CVS icon
64
CVS Health
CVS
$93.8B
$415K 0.39%
5,794
TWC
65
DELISTED
TIME WARNER CABLE INC NEW COM STK
TWC
$410K 0.38%
3,028
FDX icon
66
FedEx
FDX
$53B
$408K 0.38%
2,840
VIAB
67
DELISTED
Viacom Inc. Class B
VIAB
$408K 0.38%
4,671
SBUX icon
68
Starbucks
SBUX
$102B
$404K 0.38%
5,152
DTV
69
DELISTED
DIRECTV COM STK (DE)
DTV
$400K 0.37%
5,792
TMO icon
70
Thermo Fisher Scientific
TMO
$184B
$397K 0.37%
3,569
LMT icon
71
Lockheed Martin
LMT
$106B
$392K 0.37%
2,636
ADP icon
72
Automatic Data Processing
ADP
$121B
$384K 0.36%
4,755
BAX icon
73
Baxter International
BAX
$12.4B
$375K 0.35%
5,389
GS icon
74
Goldman Sachs
GS
$221B
$375K 0.35%
2,117
PARA
75
DELISTED
Paramount Global Class B
PARA
$373K 0.35%
5,857