SRCM

Sterling Ridge Capital Management Portfolio holdings

AUM $105M
This Quarter Return
-0.3%
1 Year Return
+1.34%
3 Year Return
5 Year Return
10 Year Return
AUM
$105M
AUM Growth
+$105M
Cap. Flow
-$48.2M
Cap. Flow %
-46.02%
Top 10 Hldgs %
32.25%
Holding
124
New
52
Increased
7
Reduced
23
Closed
31

Sector Composition

1 Consumer Discretionary 43.32%
2 Communication Services 12.71%
3 Technology 12.57%
4 Financials 12.52%
5 Consumer Staples 10.31%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
JPM icon
1
JPMorgan Chase
JPM
$829B
$4.36M 2.77%
+73,646
New +$4.36M
WHR icon
2
Whirlpool
WHR
$5.21B
$4.09M 2.59%
+22,653
New +$4.09M
GOOGL icon
3
Alphabet (Google) Class A
GOOGL
$2.57T
$3.84M 2.43%
5,028
-2,613
-34% -$1.99M
KHC icon
4
Kraft Heinz
KHC
$33.1B
$3.71M 2.35%
47,269
+14,119
+43% +$1.11M
TPR icon
5
Tapestry
TPR
$21.2B
$3.54M 2.24%
+88,283
New +$3.54M
CCL icon
6
Carnival Corp
CCL
$43.2B
$3.42M 2.17%
64,833
+12,195
+23% +$643K
META icon
7
Meta Platforms (Facebook)
META
$1.86T
$2.77M 1.75%
24,255
-14,196
-37% -$1.62M
JCP
8
DELISTED
J.C. Penney Company, Inc.
JCP
$2.71M 1.72%
+244,702
New +$2.71M
BC icon
9
Brunswick
BC
$4.15B
$2.69M 1.71%
56,102
+2,705
+5% +$130K
LAD icon
10
Lithia Motors
LAD
$8.63B
$2.68M 1.7%
+30,689
New +$2.68M
SHW icon
11
Sherwin-Williams
SHW
$91.2B
$2.62M 1.66%
+9,200
New +$2.62M
FL icon
12
Foot Locker
FL
$2.36B
$2.35M 1.49%
36,394
+12,955
+55% +$835K
ICE icon
13
Intercontinental Exchange
ICE
$101B
$2.31M 1.47%
9,836
-14,609
-60% -$3.44M
STZ icon
14
Constellation Brands
STZ
$28.5B
$2.29M 1.45%
15,137
-757
-5% -$114K
TJX icon
15
TJX Companies
TJX
$152B
$2.22M 1.41%
28,367
-17,298
-38% -$1.36M
ORLY icon
16
O'Reilly Automotive
ORLY
$88B
$2.2M 1.39%
+8,037
New +$2.2M
VC icon
17
Visteon
VC
$3.38B
$2.19M 1.39%
27,479
+1,208
+5% +$96.1K
BAC icon
18
Bank of America
BAC
$376B
$2.18M 1.38%
161,345
-262,764
-62% -$3.55M
MGM icon
19
MGM Resorts International
MGM
$10.8B
$2.17M 1.38%
+101,200
New +$2.17M
PNRA
20
DELISTED
Panera Bread Co
PNRA
$2.06M 1.31%
10,056
+3,274
+48% +$671K
RAI
21
DELISTED
Reynolds American Inc
RAI
$1.99M 1.26%
+39,606
New +$1.99M
WBA
22
DELISTED
Walgreens Boots Alliance
WBA
$1.84M 1.16%
+21,809
New +$1.84M
RHT
23
DELISTED
Red Hat Inc
RHT
$1.6M 1.02%
21,517
-18,700
-46% -$1.39M
DLTR icon
24
Dollar Tree
DLTR
$22.8B
$1.49M 0.95%
18,082
-1,856
-9% -$153K
ADBE icon
25
Adobe
ADBE
$151B
$1.42M 0.9%
15,180
-24,127
-61% -$2.26M