GDP

Great Diamond Partners Portfolio holdings

AUM $473M
This Quarter Return
+6.97%
1 Year Return
+16.36%
3 Year Return
+67.76%
5 Year Return
+123.67%
10 Year Return
AUM
$263M
AUM Growth
Cap. Flow
+$263M
Cap. Flow %
100%
Top 10 Hldgs %
39.3%
Holding
692
New
685
Increased
Reduced
Closed

Top Sells

No sells this quarter

Sector Composition

1 Healthcare 14.17%
2 Technology 12.51%
3 Financials 7.2%
4 Industrials 6.44%
5 Consumer Staples 5.98%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
IHF icon
101
iShares US Healthcare Providers ETF
IHF
$793M
$338K 0.13% +1,688 New +$338K
YUM icon
102
Yum! Brands
YUM
$40.8B
$337K 0.13% +3,346 New +$337K
SHW icon
103
Sherwin-Williams
SHW
$91.2B
$336K 0.13% +576 New +$336K
DD icon
104
DuPont de Nemours
DD
$32.2B
$335K 0.13% +5,220 New +$335K
PYPL icon
105
PayPal
PYPL
$67.1B
$332K 0.13% +3,072 New +$332K
IGV icon
106
iShares Expanded Tech-Software Sector ETF
IGV
$9.84B
$329K 0.13% +1,412 New +$329K
IHI icon
107
iShares US Medical Devices ETF
IHI
$4.33B
$329K 0.13% +1,248 New +$329K
RTN
108
DELISTED
Raytheon Company
RTN
$327K 0.12% +1,490 New +$327K
CIBR icon
109
First Trust NASDAQ Cybersecurity ETF
CIBR
$10.5B
$323K 0.12% +10,766 New +$323K
FDN icon
110
First Trust Dow Jones Internet Index Fund ETF
FDN
$7.2B
$322K 0.12% +2,317 New +$322K
C icon
111
Citigroup
C
$178B
$321K 0.12% +4,019 New +$321K
ITA icon
112
iShares US Aerospace & Defense ETF
ITA
$9.32B
$317K 0.12% +1,429 New +$317K
RTH icon
113
VanEck Retail ETF
RTH
$258M
$316K 0.12% +2,639 New +$316K
UN
114
DELISTED
Unilever NV New York Registry Shares
UN
$315K 0.12% +5,489 New +$315K
COST icon
115
Costco
COST
$418B
$302K 0.11% +1,030 New +$302K
MPC icon
116
Marathon Petroleum
MPC
$54.6B
$302K 0.11% +5,018 New +$302K
IAI icon
117
iShares US Broker-Dealers & Securities Exchanges ETF
IAI
$1.49B
$296K 0.11% +4,335 New +$296K
EMR icon
118
Emerson Electric
EMR
$74.3B
$285K 0.11% +3,746 New +$285K
GIS icon
119
General Mills
GIS
$26.4B
$285K 0.11% +5,325 New +$285K
CRM icon
120
Salesforce
CRM
$245B
$284K 0.11% +1,747 New +$284K
CPRT icon
121
Copart
CPRT
$47.2B
$281K 0.11% +3,099 New +$281K
ED icon
122
Consolidated Edison
ED
$35.4B
$271K 0.1% +3,000 New +$271K
DOW icon
123
Dow Inc
DOW
$17.5B
$267K 0.1% +4,891 New +$267K
ADI icon
124
Analog Devices
ADI
$124B
$262K 0.1% +2,211 New +$262K
CMCSA icon
125
Comcast
CMCSA
$125B
$259K 0.1% +5,781 New +$259K