IC

Institutional Capital Portfolio holdings

AUM $6.75B
This Quarter Return
+2.9%
1 Year Return
+3.48%
3 Year Return
+8.91%
5 Year Return
10 Year Return
AUM
$6.75B
AUM Growth
+$6.75B
Cap. Flow
-$670M
Cap. Flow %
-9.94%
Top 10 Hldgs %
38.67%
Holding
60
New
7
Increased
12
Reduced
35
Closed
5

Sector Composition

1 Financials 20.59%
2 Communication Services 19.62%
3 Technology 15.62%
4 Healthcare 14.72%
5 Industrials 8.28%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
AAPL icon
1
Apple
AAPL
$3.45T
$294M 4.36% 2,541,158 -343,129 -12% -$39.7M
ABT icon
2
Abbott
ABT
$231B
$287M 4.26% 7,484,983 -703,243 -9% -$27M
HON icon
3
Honeywell
HON
$139B
$275M 4.08% 2,373,894 -42,690 -2% -$4.95M
RDS.A
4
DELISTED
Royal Dutch Shell PLC ADS Class A
RDS.A
$274M 4.06% 5,036,837 -835,911 -14% -$45.5M
WFC icon
5
Wells Fargo
WFC
$263B
$263M 3.9% 4,775,500 -658,336 -12% -$36.3M
GOOG icon
6
Alphabet (Google) Class C
GOOG
$2.58T
$262M 3.89% 340,044 +3 +0% +$2.32K
ICE icon
7
Intercontinental Exchange
ICE
$101B
$247M 3.67% 4,385,442 +3,473,013 +381% +$196M
ORCL icon
8
Oracle
ORCL
$635B
$243M 3.6% 6,324,146 -2,051,782 -24% -$78.9M
RTX icon
9
RTX Corp
RTX
$212B
$233M 3.45% 2,124,373 +404,481 +24% +$44.3M
INTC icon
10
Intel
INTC
$107B
$230M 3.41% 6,342,235 -748,710 -11% -$27.2M
AXP icon
11
American Express
AXP
$231B
$228M 3.38% 3,076,935 -529,511 -15% -$39.2M
WHR icon
12
Whirlpool
WHR
$5.21B
$221M 3.27% 1,215,170 -28,473 -2% -$5.18M
C icon
13
Citigroup
C
$178B
$211M 3.13% 3,550,741 -1,992,717 -36% -$118M
LH icon
14
Labcorp
LH
$23.1B
$201M 2.98% 1,568,604 +75,554 +5% +$9.7M
OMC icon
15
Omnicom Group
OMC
$15.2B
$200M 2.96% 2,350,056 +1,365,822 +139% +$116M
TTE icon
16
TotalEnergies
TTE
$137B
$195M 2.89% +3,828,698 New +$195M
AGN
17
DELISTED
Allergan plc
AGN
$193M 2.86% 919,915 -285,509 -24% -$60M
TAP icon
18
Molson Coors Class B
TAP
$9.98B
$191M 2.84% 1,966,809 +1,566,779 +392% +$152M
CMCSA icon
19
Comcast
CMCSA
$125B
$189M 2.8% 2,737,395 -1,209,358 -31% -$83.5M
TFCFA
20
DELISTED
Twenty-First Century Fox, Inc. Class A
TFCFA
$180M 2.67% 6,415,224 -1,450,190 -18% -$40.7M
PPG icon
21
PPG Industries
PPG
$25.1B
$177M 2.62% 1,866,348 +1,171,383 +169% +$111M
DISH
22
DELISTED
DISH Network Corp.
DISH
$176M 2.61% 3,035,687 -852,738 -22% -$49.4M
MTB icon
23
M&T Bank
MTB
$31.5B
$172M 2.55% 1,099,031 -827,977 -43% -$130M
LOW icon
24
Lowe's Companies
LOW
$145B
$158M 2.34% +2,217,387 New +$158M
CHTR icon
25
Charter Communications
CHTR
$36.3B
$157M 2.33% 545,655 +401,526 +279% +$116M