FCB

First Command Bank Portfolio holdings

AUM $1.06B
This Quarter Return
+3.86%
1 Year Return
+10.74%
3 Year Return
+34.06%
5 Year Return
+52.7%
10 Year Return
AUM
$1.06B
AUM Growth
+$1.06B
Cap. Flow
+$51.6M
Cap. Flow %
4.85%
Top 10 Hldgs %
74.84%
Holding
430
New
52
Increased
72
Reduced
117
Closed
13
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BSCQ icon
151
Invesco BulletShares 2026 Corporate Bond ETF
BSCQ
$4.24B
$174K 0.02%
9,198
-14
-0.2% -$265
SYY icon
152
Sysco
SYY
$38.5B
$174K 0.02%
2,340
IDV icon
153
iShares International Select Dividend ETF
IDV
$5.71B
$170K 0.02%
6,455
-600
-9% -$15.8K
MDT icon
154
Medtronic
MDT
$120B
$161K 0.02%
1,826
+11
+0.6% +$969
SYK icon
155
Stryker
SYK
$149B
$153K 0.01%
500
AEP icon
156
American Electric Power
AEP
$58.9B
$150K 0.01%
1,781
DG icon
157
Dollar General
DG
$24.3B
$150K 0.01%
881
MO icon
158
Altria Group
MO
$113B
$147K 0.01%
3,240
-571
-15% -$25.9K
UPS icon
159
United Parcel Service
UPS
$72.2B
$145K 0.01%
810
+160
+25% +$28.7K
CLX icon
160
Clorox
CLX
$14.7B
$143K 0.01%
900
BSCP icon
161
Invesco BulletShares 2025 Corporate Bond ETF
BSCP
$3.03B
$143K 0.01%
7,097
+35
+0.5% +$705
SLYG icon
162
SPDR S&P 600 Small Cap Growth ETF
SLYG
$3.52B
$139K 0.01%
1,810
-20
-1% -$1.54K
QCOM icon
163
Qualcomm
QCOM
$171B
$132K 0.01%
1,110
SHW icon
164
Sherwin-Williams
SHW
$89.9B
$131K 0.01%
493
TEL icon
165
TE Connectivity
TEL
$60.4B
$130K 0.01%
925
-122
-12% -$17.1K
GD icon
166
General Dynamics
GD
$87.2B
$129K 0.01%
601
-25
-4% -$5.38K
AMAT icon
167
Applied Materials
AMAT
$126B
$129K 0.01%
891
-58
-6% -$8.38K
GPN icon
168
Global Payments
GPN
$21.1B
$127K 0.01%
1,284
PPG icon
169
PPG Industries
PPG
$24.7B
$126K 0.01%
851
CEG icon
170
Constellation Energy
CEG
$95.9B
$124K 0.01%
1,355
BSCU icon
171
Invesco BulletShares 2030 Corporate Bond ETF
BSCU
$1.83B
$123K 0.01%
7,608
+99
+1% +$1.6K
BSCT icon
172
Invesco BulletShares 2029 Corporate Bond ETF
BSCT
$2.23B
$123K 0.01%
6,865
+89
+1% +$1.6K
BSCV icon
173
Invesco BulletShares 2031 Corporate Bond ETF
BSCV
$1.2B
$122K 0.01%
7,640
+102
+1% +$1.63K
SHYF
174
DELISTED
The Shyft Group
SHYF
$120K 0.01%
5,435
ROK icon
175
Rockwell Automation
ROK
$38B
$119K 0.01%
361