PI

Placemark Investments Portfolio holdings

AUM $5.66B
This Quarter Return
+4.77%
1 Year Return
+10.93%
3 Year Return
5 Year Return
10 Year Return
AUM
$5.66B
AUM Growth
+$5.66B
Cap. Flow
+$69.7M
Cap. Flow %
1.23%
Top 10 Hldgs %
8.96%
Holding
1,752
New
124
Increased
883
Reduced
609
Closed
134
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
CMCSA icon
101
Comcast
CMCSA
$125B
$13.4M 0.24%
461,080
-13,552
-3% -$393K
MMM icon
102
3M
MMM
$81B
$13.2M 0.23%
96,392
-1,401
-1% -$192K
MCK icon
103
McKesson
MCK
$85.9B
$13.2M 0.23%
63,358
-4,609
-7% -$957K
LLY icon
104
Eli Lilly
LLY
$661B
$12.9M 0.23%
186,560
-11,129
-6% -$768K
XOM icon
105
Exxon Mobil
XOM
$477B
$12.7M 0.22%
136,960
-26,027
-16% -$2.41M
TWX
106
DELISTED
Time Warner Inc
TWX
$12.6M 0.22%
148,006
-2,635
-2% -$225K
COST icon
107
Costco
COST
$421B
$12.6M 0.22%
88,580
-118
-0.1% -$16.7K
OXY icon
108
Occidental Petroleum
OXY
$45.6B
$12.5M 0.22%
155,381
-68,313
-31% -$5.5M
HEDJ icon
109
WisdomTree Europe Hedged Equity Fund
HEDJ
$1.78B
$12.4M 0.22%
446,768
+219,490
+97% +$6.11M
GSK icon
110
GSK
GSK
$79.3B
$12M 0.21%
223,642
+20,092
+10% +$1.07M
WU icon
111
Western Union
WU
$2.82B
$11.8M 0.21%
656,706
-4,001
-0.6% -$71.7K
RTN
112
DELISTED
Raytheon Company
RTN
$11.5M 0.2%
106,215
+4,010
+4% +$434K
LOW icon
113
Lowe's Companies
LOW
$146B
$11.4M 0.2%
166,343
+9,061
+6% +$623K
BAC icon
114
Bank of America
BAC
$371B
$11.4M 0.2%
639,285
+104,814
+20% +$1.87M
ALL icon
115
Allstate
ALL
$53.9B
$11.4M 0.2%
162,732
+7,143
+5% +$502K
CMI icon
116
Cummins
CMI
$54B
$11.4M 0.2%
78,904
+3,073
+4% +$443K
DD
117
DELISTED
Du Pont De Nemours E I
DD
$11.2M 0.2%
160,011
-3,497
-2% -$245K
TPR icon
118
Tapestry
TPR
$21.7B
$11.1M 0.2%
295,936
+41,790
+16% +$1.57M
WPP icon
119
WPP
WPP
$5.73B
$10.8M 0.19%
104,154
+328
+0.3% +$34.2K
ACN icon
120
Accenture
ACN
$158B
$10.8M 0.19%
121,125
-1,998
-2% -$178K
NKE icon
121
Nike
NKE
$110B
$10.8M 0.19%
224,466
+23,544
+12% +$1.13M
AOR icon
122
iShares Core 60/40 Balanced Allocation ETF
AOR
$2.67B
$10.7M 0.19%
266,925
+6,925
+3% +$278K
HPQ icon
123
HP
HPQ
$26.8B
$10.7M 0.19%
587,091
+43,626
+8% +$795K
UN
124
DELISTED
Unilever NV New York Registry Shares
UN
$10.6M 0.19%
272,688
+19,950
+8% +$779K
LMT icon
125
Lockheed Martin
LMT
$105B
$10.6M 0.19%
54,856
+5,390
+11% +$1.04M