NRECA

National Rural Electric Cooperative Association Portfolio holdings

AUM $5.58B
1-Year Return 0.17%
This Quarter Return
+6.56%
1 Year Return
+0.17%
3 Year Return
5 Year Return
10 Year Return
AUM
$5.58B
AUM Growth
+$346M
Cap. Flow
+$76.7M
Cap. Flow %
1.37%
Top 10 Hldgs %
27.74%
Holding
109
New
3
Increased
19
Reduced
7
Closed
2

Sector Composition

1 Industrials 21.08%
2 Financials 15.7%
3 Healthcare 15.69%
4 Consumer Discretionary 14.64%
5 Technology 10.98%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BMY icon
1
Bristol-Myers Squibb
BMY
$94.3B
$186M 3.33%
2,701,300
GE icon
2
GE Aerospace
GE
$304B
$179M 3.21%
1,198,388
INTC icon
3
Intel
INTC
$118B
$171M 3.07%
4,967,700
CSCO icon
4
Cisco
CSCO
$265B
$158M 2.83%
5,820,816
JPM icon
5
JPMorgan Chase
JPM
$849B
$149M 2.67%
2,258,400
AVY icon
6
Avery Dennison
AVY
$12.9B
$148M 2.66%
2,369,600
DD icon
7
DuPont de Nemours
DD
$32.3B
$146M 2.62%
1,408,338
CB
8
DELISTED
CHUBB CORPORATION
CB
$144M 2.58%
1,084,000
CTB
9
DELISTED
Cooper Tire & Rubber Co.
CTB
$134M 2.4%
3,537,812
PFE icon
10
Pfizer
PFE
$136B
$133M 2.38%
4,337,210
LUV icon
11
Southwest Airlines
LUV
$16.5B
$131M 2.35%
3,048,023
GPC icon
12
Genuine Parts
GPC
$19.3B
$128M 2.29%
1,491,353
ABBV icon
13
AbbVie
ABBV
$382B
$124M 2.22%
2,089,281
DY icon
14
Dycom Industries
DY
$7.4B
$115M 2.06%
1,641,717
CVX icon
15
Chevron
CVX
$317B
$113M 2.02%
1,253,500
HON icon
16
Honeywell
HON
$134B
$112M 2%
1,130,202
ALL icon
17
Allstate
ALL
$51.9B
$111M 1.99%
1,785,000
V icon
18
Visa
V
$658B
$106M 1.9%
1,370,000
+870,000
+174% +$67.5M
MDT icon
19
Medtronic
MDT
$120B
$105M 1.88%
1,362,703
PH icon
20
Parker-Hannifin
PH
$96.3B
$102M 1.83%
1,055,481
BMS
21
DELISTED
Bemis
BMS
$98.4M 1.76%
2,202,900
AIG icon
22
American International
AIG
$42.7B
$94.2M 1.69%
1,520,438
+300,000
+25% +$18.6M
COP icon
23
ConocoPhillips
COP
$118B
$92.3M 1.65%
1,976,308
TEL icon
24
TE Connectivity
TEL
$62.8B
$91.4M 1.64%
1,414,900
GSK icon
25
GSK
GSK
$80.6B
$74.4M 1.33%
1,475,200