TIMH

Tilt Investment Management Holdings Portfolio holdings

AUM $92.6M
This Quarter Return
+13.29%
1 Year Return
+28.92%
3 Year Return
5 Year Return
10 Year Return
AUM
$92.6M
AUM Growth
+$92.6M
Cap. Flow
-$60.3M
Cap. Flow %
-65.15%
Top 10 Hldgs %
46.29%
Holding
158
New
26
Increased
Reduced
85
Closed
46

Sector Composition

1 Technology 47.9%
2 Healthcare 18.37%
3 Financials 8.49%
4 Communication Services 7.75%
5 Consumer Discretionary 6.65%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
BLK icon
51
Blackrock
BLK
$172B
$460K 0.5%
567
-212
-27% -$172K
ELV icon
52
Elevance Health
ELV
$72.7B
$454K 0.49%
963
-301
-24% -$142K
MDT icon
53
Medtronic
MDT
$120B
$453K 0.49%
5,494
-1,547
-22% -$127K
VRTX icon
54
Vertex Pharmaceuticals
VRTX
$102B
$428K 0.46%
1,052
-325
-24% -$132K
DE icon
55
Deere & Co
DE
$128B
$427K 0.46%
1,063
-372
-26% -$149K
BMY icon
56
Bristol-Myers Squibb
BMY
$96.3B
$421K 0.46%
8,211
-3,127
-28% -$160K
LRCX icon
57
Lam Research
LRCX
$122B
$420K 0.45%
535
-181
-25% -$142K
GILD icon
58
Gilead Sciences
GILD
$139B
$411K 0.44%
5,072
-1,438
-22% -$116K
SYK icon
59
Stryker
SYK
$149B
$410K 0.44%
1,366
-430
-24% -$129K
AMT icon
60
American Tower
AMT
$94.3B
$407K 0.44%
+1,871
New +$407K
ADP icon
61
Automatic Data Processing
ADP
$121B
$401K 0.43%
1,712
-464
-21% -$109K
ADI icon
62
Analog Devices
ADI
$121B
$401K 0.43%
2,019
-666
-25% -$132K
CVS icon
63
CVS Health
CVS
$93.5B
$394K 0.43%
4,989
-2,029
-29% -$160K
C icon
64
Citigroup
C
$173B
$394K 0.43%
7,652
-2,549
-25% -$131K
ETN icon
65
Eaton
ETN
$133B
$392K 0.42%
+1,629
New +$392K
MMC icon
66
Marsh & McLennan
MMC
$101B
$386K 0.42%
+2,037
New +$386K
REGN icon
67
Regeneron Pharmaceuticals
REGN
$60.7B
$384K 0.41%
437
-129
-23% -$113K
PANW icon
68
Palo Alto Networks
PANW
$128B
$382K 0.41%
+1,295
New +$382K
PGR icon
69
Progressive
PGR
$144B
$379K 0.41%
2,377
-757
-24% -$121K
CB icon
70
Chubb
CB
$110B
$377K 0.41%
+1,666
New +$377K
ZTS icon
71
Zoetis
ZTS
$67.3B
$369K 0.4%
+1,872
New +$369K
MU icon
72
Micron Technology
MU
$131B
$367K 0.4%
4,298
-1,393
-24% -$119K
CI icon
73
Cigna
CI
$80.6B
$348K 0.38%
1,162
-451
-28% -$135K
BSX icon
74
Boston Scientific
BSX
$157B
$344K 0.37%
5,950
-1,627
-21% -$94.1K
TMUS icon
75
T-Mobile US
TMUS
$289B
$333K 0.36%
+2,079
New +$333K