NTCOC

Northern Trust Company of Connecticut Portfolio holdings

AUM $16B
This Quarter Return
+10.22%
1 Year Return
3 Year Return
5 Year Return
10 Year Return
AUM
$16B
AUM Growth
+$16B
Cap. Flow
-$830M
Cap. Flow %
-5.2%
Top 10 Hldgs %
8.45%
Holding
2,074
New
92
Increased
471
Reduced
1,110
Closed
67

Sector Composition

1 Technology 14.54%
2 Financials 14.44%
3 Industrials 11.98%
4 Consumer Discretionary 11.82%
5 Healthcare 11.24%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
WDC icon
51
Western Digital
WDC
$29.8B
$50M 0.31%
596,378
-89,126
-13% -$7.48M
RDS.A
52
DELISTED
Royal Dutch Shell PLC ADS Class A
RDS.A
$49.6M 0.31%
695,906
+10,256
+1% +$731K
SPG icon
53
Simon Property Group
SPG
$58.7B
$48M 0.3%
315,309
-1,999
-0.6% -$304K
CRM icon
54
Salesforce
CRM
$245B
$47.2M 0.3%
855,397
-98,978
-10% -$5.46M
EMC
55
DELISTED
EMC CORPORATION
EMC
$46.9M 0.29%
1,865,010
-200,459
-10% -$5.04M
PM icon
56
Philip Morris
PM
$254B
$46.8M 0.29%
537,016
-20,031
-4% -$1.75M
ORLY icon
57
O'Reilly Automotive
ORLY
$88.1B
$46.1M 0.29%
358,476
-17,782
-5% -$2.29M
HPQ icon
58
HP
HPQ
$26.8B
$45.7M 0.29%
1,633,966
+322,655
+25% +$9.03M
OXY icon
59
Occidental Petroleum
OXY
$45.6B
$45.7M 0.29%
480,171
-48,198
-9% -$4.58M
T icon
60
AT&T
T
$208B
$45.5M 0.29%
1,295,044
-329,650
-20% -$11.6M
CB icon
61
Chubb
CB
$111B
$44.6M 0.28%
430,410
+113,850
+36% +$11.8M
BAX icon
62
Baxter International
BAX
$12.1B
$44.5M 0.28%
639,671
+66,752
+12% +$4.64M
BEAV
63
DELISTED
B/E Aerospace Inc
BEAV
$44.5M 0.28%
510,933
+65,843
+15% +$5.73M
CVS icon
64
CVS Health
CVS
$93B
$44.2M 0.28%
618,226
-186,977
-23% -$13.4M
VZ icon
65
Verizon
VZ
$184B
$43.6M 0.27%
887,995
+123,321
+16% +$6.06M
MS icon
66
Morgan Stanley
MS
$237B
$43.4M 0.27%
1,385,456
-34,268
-2% -$1.07M
BMY icon
67
Bristol-Myers Squibb
BMY
$96.7B
$42.8M 0.27%
805,550
+123,528
+18% +$6.57M
GM icon
68
General Motors
GM
$55B
$42.5M 0.27%
1,040,597
+280,385
+37% +$11.5M
LOW icon
69
Lowe's Companies
LOW
$146B
$42.3M 0.26%
853,608
-8,323
-1% -$412K
STT icon
70
State Street
STT
$32.1B
$42M 0.26%
571,908
-144,711
-20% -$10.6M
DFS
71
DELISTED
Discover Financial Services
DFS
$41.9M 0.26%
749,013
-67,043
-8% -$3.75M
JCI icon
72
Johnson Controls International
JCI
$68.9B
$41.6M 0.26%
810,519
+46,901
+6% +$2.41M
CAH icon
73
Cardinal Health
CAH
$36B
$41.1M 0.26%
615,693
-131,090
-18% -$8.76M
SPLK
74
DELISTED
Splunk Inc
SPLK
$41M 0.26%
596,500
-21,499
-3% -$1.48M
BIDU icon
75
Baidu
BIDU
$33.1B
$40.9M 0.26%
229,769
+14,553
+7% +$2.59M