RFS

Rockefeller Financial Services Portfolio holdings

AUM $6.34B
This Quarter Return
+7.1%
1 Year Return
+27.35%
3 Year Return
+50.55%
5 Year Return
10 Year Return
AUM
$6.34B
AUM Growth
+$6.34B
Cap. Flow
+$791M
Cap. Flow %
12.48%
Top 10 Hldgs %
27.52%
Holding
557
New
23
Increased
141
Reduced
111
Closed
34

Top Sells

1
ABT icon
Abbott
ABT
$108M
2
ORCL icon
Oracle
ORCL
$107M
3
PNR icon
Pentair
PNR
$75.4M
4
BIDU icon
Baidu
BIDU
$64.9M
5
WEC icon
WEC Energy
WEC
$34.4M

Sector Composition

1 Healthcare 20.38%
2 Financials 18.04%
3 Consumer Discretionary 10.97%
4 Communication Services 10.78%
5 Industrials 9.4%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
SNY icon
251
Sanofi
SNY
$121B
$778K 0.01%
18,095
+1,409
+8% +$60.6K
WTRG icon
252
Essential Utilities
WTRG
$10.9B
$775K 0.01%
19,761
STZ icon
253
Constellation Brands
STZ
$26.7B
$766K 0.01%
3,350
-850
-20% -$194K
XEC
254
DELISTED
CIMAREX ENERGY CO
XEC
$732K 0.01%
6,000
GILD icon
255
Gilead Sciences
GILD
$140B
$704K 0.01%
9,830
-4,640
-32% -$332K
FMI
256
DELISTED
Foundation Medicine, Inc.
FMI
$682K 0.01%
10,000
EWW icon
257
iShares MSCI Mexico ETF
EWW
$1.81B
$678K 0.01%
+13,748
New +$678K
RTN
258
DELISTED
Raytheon Company
RTN
$676K 0.01%
3,600
-735
-17% -$138K
BSV icon
259
Vanguard Short-Term Bond ETF
BSV
$38.3B
$661K 0.01%
8,364
+3,803
+83% +$301K
TJX icon
260
TJX Companies
TJX
$155B
$647K 0.01%
8,457
-1,500
-15% -$115K
LMT icon
261
Lockheed Martin
LMT
$106B
$642K 0.01%
2,000
IOO icon
262
iShares Global 100 ETF
IOO
$6.95B
$636K 0.01%
6,865
DXCM icon
263
DexCom
DXCM
$29.1B
$633K 0.01%
11,032
+8,036
+268% +$461K
OXY icon
264
Occidental Petroleum
OXY
$47.3B
$631K 0.01%
8,568
EQT icon
265
EQT Corp
EQT
$32.7B
$625K 0.01%
10,985
-100
-0.9% -$5.69K
CIB icon
266
Grupo Cibest S.A. American Depositary Shares (each representing four (4) Preferred Shares)
CIB
$12B
$605K 0.01%
15,262
SBUX icon
267
Starbucks
SBUX
$102B
$600K 0.01%
10,454
-3,650
-26% -$209K
SCHW icon
268
Charles Schwab
SCHW
$174B
$595K 0.01%
11,591
-3,150
-21% -$162K
RDS.B
269
DELISTED
Royal Dutch Shell PLC ADS Class B
RDS.B
$591K 0.01%
8,652
-2,073
-19% -$142K
NATI
270
DELISTED
National Instruments Corp
NATI
$588K 0.01%
14,121
CHTR icon
271
Charter Communications
CHTR
$36.1B
$575K 0.01%
1,711
-1,561
-48% -$525K
AON icon
272
Aon
AON
$80.2B
$573K 0.01%
4,273
CG icon
273
Carlyle Group
CG
$23.3B
$572K 0.01%
25,000
STIP icon
274
iShares 0-5 Year TIPS Bond ETF
STIP
$12.6B
$570K 0.01%
5,710
NS
275
DELISTED
NuStar Energy L.P.
NS
$565K 0.01%
18,850