Portfolio value
$3.78T
Holdings count
190
190 positions reportedAccession #
0001964189-24-000001
Form 13F-HR190 positions sorted by value
Issuer | CUSIP | Valuev | Weight | Shares/Prin. | Discretion | Voting (Sole/Shared/None) |
|---|---|---|---|---|---|---|
SPDR INDEX SHS FDSPORTFOLIO DEVLPD | 78463X889 | $471.98B | 12.47% | 13,169,000shares | SOLE | 13,169,000 / 0 / 0 |
SCHWAB STRATEGIC TRSCHWB FDT INT LG | 808524755 | $264.25B | 6.98% | 7,416,000shares | SOLE | 7,416,000 / 0 / 0 |
ISHARES TRCORE S&P TTL STK | 464287150 | $258.54B | 6.83% | 2,242,310shares | SOLE | 2,242,310 / 0 / 0 |
SPDR SER TRNYSE TECH ETF | 78464A102 | $195.70B | 5.17% | 1,073,000shares | SOLE | 1,073,000 / 0 / 0 |
ISHARES TREAFE VALUE ETF | 464288877 | $181.59B | 4.80% | 3,338,000shares | SOLE | 3,338,000 / 0 / 0 |
ISHARES TRCORE MSCI INTL | 46435G326 | $149.43B | 3.95% | 2,226,000shares | SOLE | 2,226,000 / 0 / 0 |
SELECT SECTOR SPDR TRFINANCIAL | 81369Y605 | $121.55B | 3.21% | 2,885,700shares | SOLE | 2,885,700 / 0 / 0 |
BERKSHIRE HATHAWAY INC DELCL A | 084670108 | $91.99B | 2.43% | 145shares | SOLE | 145 / 0 / 0 |
SPDR INDEX SHS FDSPORTFOLIO DEVLPD | 78463X889 | $91.86B | 2.43% | 2,563,000shares | DFND | 0 / 2,563,000 / 0 |
GENERAL ELECTRIC COCOM NEW | 369604301 | $72.82B | 1.92% | 414,848shares | SOLE | 414,848 / 0 / 0 |
ALPHABET INCCAP STK CL C | 02079K107 | $72.29B | 1.91% | 474,800shares | SOLE | 474,800 / 0 / 0 |
META PLATFORMS INCCL A | 30303M102 | $71.94B | 1.90% | 148,150shares | SOLE | 148,150 / 0 / 0 |
SPDR INDEX SHS FDSPORTFOLIO DEVLPD | 78463X889 | $66.09B | 1.75% | 1,844,000shares | DFND | 0 / 1,844,000 / 0 |
SPDR SER TRPRTFLO S&P500 HI | 78468R788 | $55.41B | 1.46% | 1,360,000shares | SOLE | 1,360,000 / 0 / 0 |
PEPSICO INCCOM | 713448108 | $55.19B | 1.46% | 315,378shares | SOLE | 315,378 / 0 / 0 |
AMAZON COM INCCOM | 023135106 | $52.36B | 1.38% | 290,300shares | SOLE | 290,300 / 0 / 0 |
VANGUARD WHITEHALL FDSHIGH DIV YLD | 921946406 | $49.93B | 1.32% | 412,700shares | SOLE | 412,700 / 0 / 0 |
VANGUARD TAX-MANAGED FDSVAN FTSE DEV MKT | 921943858 | $45.79B | 1.21% | 912,750shares | SOLE | 912,750 / 0 / 0 |
JOHNSON & JOHNSONCOM | 478160104 | $45.60B | 1.21% | 288,260shares | SOLE | 288,260 / 0 / 0 |
SPDR SER TRPORTFOLIO S&P400 | 78464A847 | $40.06B | 1.06% | 750,000shares | SOLE | 750,000 / 0 / 0 |
MICROSOFT CORPCOM | 594918104 | $37.93B | 1.00% | 90,145shares | SOLE | 90,145 / 0 / 0 |
ISHARES INCEM MKTS DIV ETF | 464286319 | $37.41B | 0.99% | 1,430,000shares | SOLE | 1,430,000 / 0 / 0 |
WELLS FARGO CO NEWCOM | 949746101 | $36.81B | 0.97% | 635,018shares | SOLE | 635,018 / 0 / 0 |
VANGUARD INTL EQUITY INDEX FFTSE EMR MKT ETF | 922042858 | $34.53B | 0.91% | 826,716shares | SOLE | 826,716 / 0 / 0 |
3M COCOM | 88579Y101 | $34.20B | 0.90% | 322,390shares | SOLE | 322,390 / 0 / 0 |
ISHARES TRCORE S&P US VLU | 464287663 | $33.86B | 0.90% | 374,000shares | SOLE | 374,000 / 0 / 0 |
CHUBB LIMITEDCOM | H1467J104 | $33.69B | 0.89% | 130,000shares | SOLE | 130,000 / 0 / 0 |
ISHARES TRCORE S&P TTL STK | 464287150 | $33.27B | 0.88% | 288,550shares | DFND | 0 / 288,550 / 0 |
MSC INDL DIRECT INCCL A | 553530106 | $32.39B | 0.86% | 333,800shares | SOLE | 333,800 / 0 / 0 |
SELECT SECTOR SPDR TRFINANCIAL | 81369Y605 | $32.30B | 0.85% | 766,900shares | DFND | 0 / 766,900 / 0 |
COCA COLA COCOM | 191216100 | $32.15B | 0.85% | 525,500shares | SOLE | 525,500 / 0 / 0 |
RTX CORPORATIONCOM | 75513E101 | $29.64B | 0.78% | 303,919shares | SOLE | 303,919 / 0 / 0 |
ENTERPRISE PRODS PARTNERS LCOM | 293792107 | $29.18B | 0.77% | 1,000,000shares | SOLE | 1,000,000 / 0 / 0 |
COCA-COLA FEMSA SAB DE CVSPONSORD ADR REP | 191241108 | $29.16B | 0.77% | 300,000shares | SOLE | 300,000 / 0 / 0 |
US BANCORP DELCOM NEW | 902973304 | $27.94B | 0.74% | 625,000shares | SOLE | 625,000 / 0 / 0 |
ISHARES TRCORE S&P TTL STK | 464287150 | $27.33B | 0.72% | 237,020shares | DFND | 0 / 237,020 / 0 |
CISCO SYS INCCOM | 17275R102 | $25.15B | 0.66% | 503,940shares | SOLE | 503,940 / 0 / 0 |
ISHARES TRCORE S&P US VLU | 464287663 | $24.82B | 0.66% | 274,000shares | DFND | 0 / 274,000 / 0 |
SELECT SECTOR SPDR TRFINANCIAL | 81369Y605 | $22.95B | 0.61% | 544,800shares | DFND | 0 / 544,800 / 0 |
VANGUARD WORLD FDSCONSUM DIS ETF | 92204A108 | $21.80B | 0.58% | 68,700shares | SOLE | 68,700 / 0 / 0 |
VANGUARD WHITEHALL FDSHIGH DIV YLD | 921946406 | $20.21B | 0.53% | 167,000shares | DFND | 0 / 167,000 / 0 |
INTEL CORPCOM | 458140100 | $20.11B | 0.53% | 455,308shares | SOLE | 455,308 / 0 / 0 |
BECTON DICKINSON & COCOM | 075887109 | $20.10B | 0.53% | 81,235shares | SOLE | 81,235 / 0 / 0 |
HONDA MOTOR LTDADR ECH CNV IN 3 | 438128308 | $19.83B | 0.52% | 532,650shares | SOLE | 532,650 / 0 / 0 |
ISHARES TRCORE DIV GRWTH | 46434V621 | $19.71B | 0.52% | 339,500shares | SOLE | 339,500 / 0 / 0 |
ISHARES TRCORE S&P US VLU | 464287663 | $19.57B | 0.52% | 216,000shares | DFND | 0 / 216,000 / 0 |
ISHARES INCCORE MSCI EMKT | 46434G103 | $18.58B | 0.49% | 360,000shares | SOLE | 360,000 / 0 / 0 |
BANK NEW YORK MELLON CORPCOM | 064058100 | $18.57B | 0.49% | 322,300shares | SOLE | 322,300 / 0 / 0 |
SCHWAB STRATEGIC TRSCHWB FDT INT LG | 808524755 | $18.49B | 0.49% | 519,000shares | DFND | 0 / 519,000 / 0 |
ISHARES TREAFE VALUE ETF | 464288877 | $17.95B | 0.47% | 330,000shares | DFND | 0 / 330,000 / 0 |
VANGUARD WHITEHALL FDSHIGH DIV YLD | 921946406 | $17.48B | 0.46% | 144,500shares | DFND | 0 / 144,500 / 0 |
SPDR SER TRPRTFLO S&P500 HI | 78468R788 | $17.11B | 0.45% | 420,000shares | DFND | 0 / 420,000 / 0 |
ISHARES TREAFE VALUE ETF | 464288877 | $16.05B | 0.42% | 295,000shares | DFND | 0 / 295,000 / 0 |
SELECT SECTOR SPDR TRRL EST SEL SEC | 81369Y860 | $15.88B | 0.42% | 401,531shares | SOLE | 401,531 / 0 / 0 |
SCHWAB STRATEGIC TRSCHWB FDT INT LG | 808524755 | $14.90B | 0.39% | 418,000shares | DFND | 0 / 418,000 / 0 |
DUPONT DE NEMOURS INCCOM | 26614N102 | $14.56B | 0.38% | 189,877shares | SOLE | 189,877 / 0 / 0 |
KRAFT HEINZ COCOM | 500754106 | $13.73B | 0.36% | 371,998shares | SOLE | 371,998 / 0 / 0 |
SPDR SER TRNYSE TECH ETF | 78464A102 | $13.48B | 0.36% | 73,900shares | DFND | 0 / 73,900 / 0 |
VANGUARD INTL EQUITY INDEX FFTSE EMR MKT ETF | 922042858 | $13.07B | 0.35% | 313,000shares | DFND | 0 / 313,000 / 0 |
PRUDENTIAL FINL INCCOM | 744320102 | $12.91B | 0.34% | 110,000shares | SOLE | 110,000 / 0 / 0 |
GE HEALTHCARE TECHNOLOGIES ICOMMON STOCK | 36266G107 | $12.57B | 0.33% | 138,281shares | SOLE | 138,281 / 0 / 0 |
AVALONBAY CMNTYS INCCOM | 053484101 | $12.06B | 0.32% | 65,000shares | SOLE | 65,000 / 0 / 0 |
TRUIST FINL CORPCOM | 89832Q109 | $11.23B | 0.30% | 288,000shares | SOLE | 288,000 / 0 / 0 |
SPDR SER TRPRTFLO S&P500 HI | 78468R788 | $11.00B | 0.29% | 270,000shares | DFND | 0 / 270,000 / 0 |
NORTHERN TR CORPCOM | 665859104 | $10.67B | 0.28% | 120,000shares | SOLE | 120,000 / 0 / 0 |
CARNIVAL CORPUNIT 99/99/9999 | 143658300 | $10.62B | 0.28% | 650,000shares | SOLE | 650,000 / 0 / 0 |
ALPHABET INCCAP STK CL C | 02079K107 | $10.35B | 0.27% | 68,000shares | DFND | 0 / 68,000 / 0 |
GENERAL ELECTRIC COCOM NEW | 369604301 | $9.79B | 0.26% | 55,762shares | DFND | 0 / 55,762 / 0 |
SPDR SER TRPORTFOLIO S&P400 | 78464A847 | $9.62B | 0.25% | 180,000shares | DFND | 0 / 180,000 / 0 |
META PLATFORMS INCCL A | 30303M102 | $9.32B | 0.25% | 19,200shares | DFND | 0 / 19,200 / 0 |
WORKDAY INCCL A | 98138H101 | $8.89B | 0.24% | 32,600shares | SOLE | 32,600 / 0 / 0 |
SPDR SER TRNYSE TECH ETF | 78464A102 | $8.61B | 0.23% | 47,200shares | DFND | 0 / 47,200 / 0 |
AMAZON COM INCCOM | 023135106 | $7.76B | 0.21% | 43,000shares | DFND | 0 / 43,000 / 0 |
VANGUARD INDEX FDSSMALL CP ETF | 922908751 | $7.68B | 0.20% | 33,598shares | SOLE | 33,598 / 0 / 0 |
VANGUARD INTL EQUITY INDEX FFTSE EMR MKT ETF | 922042858 | $7.14B | 0.19% | 171,000shares | DFND | 0 / 171,000 / 0 |
ISHARES TRCORE MSCI INTL | 46435G326 | $6.91B | 0.18% | 103,000shares | DFND | 0 / 103,000 / 0 |
ENBRIDGE INCCOM | 29250N105 | $6.48B | 0.17% | 179,110shares | SOLE | 179,110 / 0 / 0 |
KELLANOVACOM | 487836108 | $6.27B | 0.17% | 109,400shares | SOLE | 109,400 / 0 / 0 |
SPDR SER TRPORTFOLIO S&P400 | 78464A847 | $5.88B | 0.16% | 110,000shares | DFND | 0 / 110,000 / 0 |
ISHARES TRCORE DIV GRWTH | 46434V621 | $5.81B | 0.15% | 100,000shares | DFND | 0 / 100,000 / 0 |
ALPHABET INCCAP STK CL C | 02079K107 | $5.79B | 0.15% | 38,000shares | DFND | 0 / 38,000 / 0 |
GENERAL ELECTRIC COCOM NEW | 369604301 | $5.63B | 0.15% | 32,050shares | DFND | 0 / 32,050 / 0 |
VANGUARD TAX-MANAGED FDSVAN FTSE DEV MKT | 921943858 | $5.62B | 0.15% | 112,000shares | DFND | 0 / 112,000 / 0 |
ISHARES TRCORE MSCI INTL | 46435G326 | $5.57B | 0.15% | 83,000shares | DFND | 0 / 83,000 / 0 |
AMERICAN EXPRESS COCOM | 025816109 | $4.54B | 0.12% | 19,950shares | SOLE | 19,950 / 0 / 0 |
AMAZON COM INCCOM | 023135106 | $4.51B | 0.12% | 25,000shares | DFND | 0 / 25,000 / 0 |
ISHARES INCEM MKTS DIV ETF | 464286319 | $4.45B | 0.12% | 170,000shares | DFND | 0 / 170,000 / 0 |
BERKSHIRE HATHAWAY INC DELCL A | 084670108 | $4.44B | 0.12% | 7shares | DFND | 0 / 7 / 0 |
MICROSOFT CORPCOM | 594918104 | $4.38B | 0.12% | 10,400shares | DFND | 0 / 10,400 / 0 |
NOVARTIS AGSPONSORED ADR | 66987V109 | $4.37B | 0.12% | 45,143shares | SOLE | 45,143 / 0 / 0 |
ISHARES TRCORE DIV GRWTH | 46434V621 | $4.35B | 0.12% | 75,000shares | DFND | 0 / 75,000 / 0 |
APPLE INCCOM | 037833100 | $4.29B | 0.11% | 25,000shares | SOLE | 25,000 / 0 / 0 |
PROCTER AND GAMBLE COCOM | 742718109 | $4.24B | 0.11% | 26,109shares | SOLE | 26,109 / 0 / 0 |
SELECT SECTOR SPDR TRRL EST SEL SEC | 81369Y860 | $4.22B | 0.11% | 106,711shares | DFND | 0 / 106,711 / 0 |
VANGUARD INDEX FDSTOTAL STK MKT | 922908769 | $4.05B | 0.11% | 15,600shares | DFND | 0 / 15,600 / 0 |
BERKSHIRE HATHAWAY INC DELCL B NEW | 084670702 | $4.03B | 0.11% | 9,580shares | SOLE | 9,580 / 0 / 0 |
ISHARES INCEM MKTS DIV ETF | 464286319 | $3.92B | 0.10% | 150,000shares | DFND | 0 / 150,000 / 0 |
KRAFT HEINZ COCOM | 500754106 | $3.61B | 0.10% | 97,900shares | DFND | 0 / 97,900 / 0 |
ISHARES TREAFE SML CP ETF | 464288273 | $3.31B | 0.09% | 52,300shares | SOLE | 52,300 / 0 / 0 |
CRESCENT ENERGY COMPANYCL A COM | 44952J104 | $3.20B | 0.08% | 268,888shares | SOLE | 268,888 / 0 / 0 |
TORONTO DOMINION BK ONTCOM NEW | 891160509 | $3.07B | 0.08% | 50,875shares | SOLE | 50,875 / 0 / 0 |
SELECT SECTOR SPDR TRRL EST SEL SEC | 81369Y860 | $3.00B | 0.08% | 75,806shares | DFND | 0 / 75,806 / 0 |
STRYKER CORPORATIONCOM | 863667101 | $2.97B | 0.08% | 8,293shares | SOLE | 8,293 / 0 / 0 |
ZIMMER BIOMET HOLDINGS INCCOM | 98956P102 | $2.95B | 0.08% | 22,350shares | SOLE | 22,350 / 0 / 0 |
MICROSOFT CORPCOM | 594918104 | $2.95B | 0.08% | 7,000shares | DFND | 0 / 7,000 / 0 |
HONDA MOTOR LTDADR ECH CNV IN 3 | 438128308 | $2.90B | 0.08% | 78,000shares | DFND | 0 / 78,000 / 0 |
CISCO SYS INCCOM | 17275R102 | $2.70B | 0.07% | 54,120shares | DFND | 0 / 54,120 / 0 |
APPLIED MATLS INCCOM | 038222105 | $2.68B | 0.07% | 13,000shares | SOLE | 13,000 / 0 / 0 |
ISHARES TRCORE HIGH DV ETF | 46429B663 | $2.62B | 0.07% | 23,800shares | SOLE | 23,800 / 0 / 0 |
AT&T INCCOM | 00206R102 | $2.54B | 0.07% | 144,553shares | SOLE | 144,553 / 0 / 0 |
BERKSHIRE HATHAWAY INC DELCL A | 084670108 | $2.54B | 0.07% | 4shares | DFND | 0 / 4 / 0 |
JOHNSON & JOHNSONCOM | 478160104 | $2.52B | 0.07% | 15,940shares | DFND | 0 / 15,940 / 0 |
VANGUARD WORLD FDSCONSUM DIS ETF | 92204A108 | $2.51B | 0.07% | 7,900shares | DFND | 0 / 7,900 / 0 |
THERMO FISHER SCIENTIFIC INCCOM | 883556102 | $2.44B | 0.06% | 4,190shares | SOLE | 4,190 / 0 / 0 |
3M COCOM | 88579Y101 | $2.16B | 0.06% | 20,400shares | DFND | 0 / 20,400 / 0 |
BECTON DICKINSON & COCOM | 075887109 | $2.13B | 0.06% | 8,610shares | DFND | 0 / 8,610 / 0 |
KRAFT HEINZ COCOM | 500754106 | $2.06B | 0.05% | 55,833shares | DFND | 0 / 55,833 / 0 |
ORACLE CORPCOM | 68389X105 | $2.03B | 0.05% | 16,187shares | SOLE | 16,187 / 0 / 0 |
UNITED PARCEL SERVICE INCCL B | 911312106 | $1.83B | 0.05% | 12,300shares | SOLE | 12,300 / 0 / 0 |
GE HEALTHCARE TECHNOLOGIES ICOMMON STOCK | 36266G107 | $1.69B | 0.04% | 18,587shares | DFND | 0 / 18,587 / 0 |
HONDA MOTOR LTDADR ECH CNV IN 3 | 438128308 | $1.68B | 0.04% | 45,000shares | DFND | 0 / 45,000 / 0 |
CISCO SYS INCCOM | 17275R102 | $1.55B | 0.04% | 31,080shares | DFND | 0 / 31,080 / 0 |
PEPSICO INCCOM | 713448108 | $1.54B | 0.04% | 8,800shares | DFND | 0 / 8,800 / 0 |
LINDE PLCSHS | G54950103 | $1.44B | 0.04% | 3,100shares | SOLE | 3,100 / 0 / 0 |
META PLATFORMS INCCL A | 30303M102 | $1.43B | 0.04% | 2,950shares | DFND | 0 / 2,950 / 0 |
VANGUARD INDEX FDSTOTAL STK MKT | 922908769 | $1.40B | 0.04% | 5,400shares | SOLE | 5,400 / 0 / 0 |
JOHNSON & JOHNSONCOM | 478160104 | $1.35B | 0.04% | 8,560shares | DFND | 0 / 8,560 / 0 |
QUALCOMM INCCOM | 747525103 | $1.33B | 0.04% | 7,839shares | SOLE | 7,839 / 0 / 0 |
WORKDAY INCCL A | 98138H101 | $1.31B | 0.03% | 4,800shares | DFND | 0 / 4,800 / 0 |
VANGUARD WORLD FDSCONSUM DIS ETF | 92204A108 | $1.30B | 0.03% | 4,100shares | DFND | 0 / 4,100 / 0 |
3M COCOM | 88579Y101 | $1.24B | 0.03% | 11,700shares | DFND | 0 / 11,700 / 0 |
BECTON DICKINSON & COCOM | 075887109 | $1.24B | 0.03% | 5,010shares | DFND | 0 / 5,010 / 0 |
INTEL CORPCOM | 458140100 | $1.06B | 0.03% | 24,100shares | DFND | 0 / 24,100 / 0 |
VANGUARD TAX-MANAGED FDSVAN FTSE DEV MKT | 921943858 | $1.05B | 0.03% | 21,000shares | DFND | 0 / 21,000 / 0 |
COCA COLA COCOM | 191216100 | $1.05B | 0.03% | 17,200shares | DFND | 0 / 17,200 / 0 |
WALGREENS BOOTS ALLIANCE INCCOM | 931427108 | $1.04B | 0.03% | 48,000shares | SOLE | 48,000 / 0 / 0 |
BLACKROCK INCCOM | 09247X101 | $1.00B | 0.03% | 1,200shares | SOLE | 1,200 / 0 / 0 |
GE HEALTHCARE TECHNOLOGIES ICOMMON STOCK | 36266G107 | $971.19M | 0.03% | 10,683shares | DFND | 0 / 10,683 / 0 |
MERCK & CO INCCOM | 58933Y105 | $963.24M | 0.03% | 7,300shares | SOLE | 7,300 / 0 / 0 |
GOLDMAN SACHS GROUP INCCOM | 38141G104 | $961.11M | 0.03% | 2,301shares | SOLE | 2,301 / 0 / 0 |
ABBOTT LABSCOM | 002824100 | $949.97M | 0.03% | 8,358shares | SOLE | 8,358 / 0 / 0 |
KELLANOVACOM | 487836108 | $933.83M | 0.02% | 16,300shares | DFND | 0 / 16,300 / 0 |
SYSCO CORPCOM | 871829107 | $901.10M | 0.02% | 11,100shares | SOLE | 11,100 / 0 / 0 |
PEPSICO INCCOM | 713448108 | $892.55M | 0.02% | 5,100shares | DFND | 0 / 5,100 / 0 |
RTX CORPORATIONCOM | 75513E101 | $887.52M | 0.02% | 9,100shares | DFND | 0 / 9,100 / 0 |
SNAP ON INCCOM | 833034101 | $881.25M | 0.02% | 2,975shares | SOLE | 2,975 / 0 / 0 |
BANK AMERICA CORPCOM | 060505104 | $848.38M | 0.02% | 22,373shares | SOLE | 22,373 / 0 / 0 |
ECOLAB INCCOM | 278865100 | $831.24M | 0.02% | 3,600shares | SOLE | 3,600 / 0 / 0 |
PNC FINL SVCS GROUP INCCOM | 693475105 | $808.00M | 0.02% | 5,000shares | SOLE | 5,000 / 0 / 0 |
JPMORGAN CHASE & COCOM | 46625H100 | $784.17M | 0.02% | 3,915shares | SOLE | 3,915 / 0 / 0 |
COGNIZANT TECHNOLOGY SOLUTIOCL A | 192446102 | $749.90M | 0.02% | 10,232shares | SOLE | 10,232 / 0 / 0 |
MSC INDL DIRECT INCCL A | 553530106 | $747.21M | 0.02% | 7,700shares | DFND | 0 / 7,700 / 0 |
CARRIER GLOBAL CORPORATIONCOM | 14448C104 | $743.31M | 0.02% | 12,787shares | SOLE | 12,787 / 0 / 0 |
MONDELEZ INTL INCCL A | 609207105 | $742.00M | 0.02% | 10,600shares | SOLE | 10,600 / 0 / 0 |
WORKDAY INCCL A | 98138H101 | $736.42M | 0.02% | 2,700shares | DFND | 0 / 2,700 / 0 |
C H ROBINSON WORLDWIDE INCCOM NEW | 12541W209 | $715.72M | 0.02% | 9,400shares | SOLE | 9,400 / 0 / 0 |
MORGAN STANLEYCOM NEW | 617446448 | $706.20M | 0.02% | 7,500shares | SOLE | 7,500 / 0 / 0 |
DOVER CORPCOM | 260003108 | $691.04M | 0.02% | 3,900shares | SOLE | 3,900 / 0 / 0 |
ILLINOIS TOOL WKS INCCOM | 452308109 | $684.24M | 0.02% | 2,550shares | SOLE | 2,550 / 0 / 0 |
OTIS WORLDWIDE CORPCOM | 68902V107 | $634.63M | 0.02% | 6,393shares | SOLE | 6,393 / 0 / 0 |
RIO TINTO PLCSPONSORED ADR | 767204100 | $611.90M | 0.02% | 9,600shares | SOLE | 9,600 / 0 / 0 |
KELLANOVACOM | 487836108 | $538.53M | 0.01% | 9,400shares | DFND | 0 / 9,400 / 0 |
CRESCENT ENERGY COMPANYCL A COM | 44952J104 | $533.30M | 0.01% | 44,815shares | DFND | 0 / 44,815 / 0 |
HILLENBRAND INCCOM | 431571108 | $528.04M | 0.01% | 10,500shares | SOLE | 10,500 / 0 / 0 |
RTX CORPORATIONCOM | 75513E101 | $516.91M | 0.01% | 5,300shares | DFND | 0 / 5,300 / 0 |
COLGATE PALMOLIVE COCOM | 194162103 | $504.28M | 0.01% | 5,600shares | SOLE | 5,600 / 0 / 0 |
EXPEDITORS INTL WASH INCCOM | 302130109 | $497.83M | 0.01% | 4,095shares | SOLE | 4,095 / 0 / 0 |
INTEL CORPCOM | 458140100 | $485.87M | 0.01% | 11,000shares | DFND | 0 / 11,000 / 0 |
HOWMET AEROSPACE INCCOM | 443201108 | $481.27M | 0.01% | 7,033shares | SOLE | 7,033 / 0 / 0 |
DELL TECHNOLOGIES INCCL C | 24703L202 | $473.21M | 0.01% | 4,147shares | SOLE | 4,147 / 0 / 0 |
COSTCO WHSL CORP NEWCOM | 22160K105 | $461.56M | 0.01% | 630shares | SOLE | 630 / 0 / 0 |
COCA COLA COCOM | 191216100 | $458.85M | 0.01% | 7,500shares | DFND | 0 / 7,500 / 0 |
CVS HEALTH CORPCOM | 126650100 | $451.20M | 0.01% | 5,657shares | SOLE | 5,657 / 0 / 0 |
GENERAL MTRS COCOM | 37045V100 | $444.43M | 0.01% | 9,800shares | SOLE | 9,800 / 0 / 0 |
MSC INDL DIRECT INCCL A | 553530106 | $436.68M | 0.01% | 4,500shares | DFND | 0 / 4,500 / 0 |
CME GROUP INCCOM | 12572Q105 | $421.75M | 0.01% | 1,959shares | SOLE | 1,959 / 0 / 0 |
VERIZON COMMUNICATIONS INCCOM | 92343V104 | $420.99M | 0.01% | 10,033shares | SOLE | 10,033 / 0 / 0 |
FORTIVE CORPCOM | 34959J108 | $374.19M | 0.01% | 4,350shares | SOLE | 4,350 / 0 / 0 |
MOODYS CORPCOM | 615369105 | $366.70M | 0.01% | 933shares | SOLE | 933 / 0 / 0 |
VODAFONE GROUP PLC NEWSPONSORED ADR | 92857W308 | $353.23M | 0.01% | 39,733shares | SOLE | 39,733 / 0 / 0 |
ANALOG DEVICES INCCOM | 032654105 | $343.36M | 0.01% | 1,736shares | SOLE | 1,736 / 0 / 0 |
AGNICO EAGLE MINES LTDCOM | 008474108 | $322.11M | 0.01% | 5,400shares | SOLE | 5,400 / 0 / 0 |
BROADCOM INCCOM | 11135F101 | $316.77M | 0.01% | 239shares | SOLE | 239 / 0 / 0 |
GRAHAM CORPCOM | 384556106 | $300.08M | 0.01% | 11,000shares | SOLE | 11,000 / 0 / 0 |
CRESCENT ENERGY COMPANYCL A COM | 44952J104 | $266.65M | 0.01% | 22,408shares | DFND | 0 / 22,408 / 0 |
UNION PAC CORPCOM | 907818108 | $251.34M | 0.01% | 1,022shares | SOLE | 1,022 / 0 / 0 |
ARCELORMITTAL SA LUXEMBOURGNY REGISTRY SH | 03938L203 | $222.46M | 0.01% | 8,066shares | SOLE | 8,066 / 0 / 0 |
CITIGROUP INCCOM NEW | 172967424 | $221.34M | 0.01% | 3,500shares | SOLE | 3,500 / 0 / 0 |
WARNER BROS DISCOVERY INCCOM SER A | 934423104 | $205.39M | 0.01% | 23,527shares | SOLE | 23,527 / 0 / 0 |
BARRICK GOLD CORPCOM | 067901108 | $169.73M | 0.00% | 10,200shares | SOLE | 10,200 / 0 / 0 |
Form type
13F-HR
Filing date
May 8, 2024
Holdings as of
March 31, 2024
Accession
0001964189-24-000001
CIK
0001964189
Other managers
2
Total Portfolio Value
$3.78T
Number of Positions
190
190 reported by filer
Top 10 Concentration
50.2%
Top 20 Concentration
64.9%
Unique Issuers
113
By CUSIP
Avg. Position Size
$19.91B
Across 190 holdings