SBSB

Sullivan, Bruyette, Speros & Blaney Portfolio holdings

AUM $2.27B
This Quarter Return
+5.3%
1 Year Return
+50.71%
3 Year Return
+46.71%
5 Year Return
+86.96%
10 Year Return
AUM
$2.27B
AUM Growth
+$2.27B
Cap. Flow
+$19.9M
Cap. Flow %
0.88%
Top 10 Hldgs %
70.95%
Holding
428
New
30
Increased
162
Reduced
118
Closed
12

Sector Composition

1 Technology 4.69%
2 Healthcare 2.01%
3 Financials 1.56%
4 Consumer Discretionary 1.12%
5 Industrials 0.88%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
MSI icon
351
Motorola Solutions
MSI
$78.7B
$147K 0.01%
783
+4
+0.5% +$751
DEO icon
352
Diageo
DEO
$62.1B
$145K 0.01%
882
-14
-2% -$2.3K
DGRO icon
353
iShares Core Dividend Growth ETF
DGRO
$33.7B
$145K 0.01%
3,000
GIS icon
354
General Mills
GIS
$26.4B
$145K 0.01%
2,364
+61
+3% +$3.74K
LPLA icon
355
LPL Financial
LPLA
$29.2B
$145K 0.01%
1,017
SNPS icon
356
Synopsys
SNPS
$112B
$144K 0.01%
582
CORP icon
357
PIMCO Investment Grade Corporate Bond Index Exchange-Traded Fund
CORP
$1.33B
$143K 0.01%
+1,285
New +$143K
HHH icon
358
Howard Hughes
HHH
$4.53B
$143K 0.01%
+1,500
New +$143K
AME icon
359
Ametek
AME
$42.7B
$142K 0.01%
1,110
-25
-2% -$3.2K
CPB icon
360
Campbell Soup
CPB
$9.52B
$141K 0.01%
2,800
JAMF icon
361
Jamf
JAMF
$1.24B
$141K 0.01%
4,000
PEG icon
362
Public Service Enterprise Group
PEG
$41.1B
$141K 0.01%
2,348
CPAY icon
363
Corpay
CPAY
$23B
$141K 0.01%
526
VAR
364
DELISTED
Varian Medical Systems, Inc.
VAR
$141K 0.01%
800
TRV icon
365
Travelers Companies
TRV
$61.1B
$140K 0.01%
934
BR icon
366
Broadridge
BR
$29.9B
$138K 0.01%
902
DOCU icon
367
DocuSign
DOCU
$15.5B
$138K 0.01%
684
-122
-15% -$24.6K
XLU icon
368
Utilities Select Sector SPDR Fund
XLU
$20.9B
$137K 0.01%
2,139
MMC icon
369
Marsh & McLennan
MMC
$101B
$135K 0.01%
1,108
-109
-9% -$13.3K
FMC icon
370
FMC
FMC
$4.88B
$134K 0.01%
1,208
+4
+0.3% +$444
EPD icon
371
Enterprise Products Partners
EPD
$69.6B
$133K 0.01%
6,030
-5,999
-50% -$132K
VDE icon
372
Vanguard Energy ETF
VDE
$7.42B
$133K 0.01%
1,950
EIS icon
373
iShares MSCI Israel ETF
EIS
$403M
$131K 0.01%
2,032
LRCX icon
374
Lam Research
LRCX
$127B
$130K 0.01%
219
-104
-32% -$61.7K
GM icon
375
General Motors
GM
$55.8B
$128K 0.01%
+2,227
New +$128K