Anchor Investment Management, LLC

CIK 1634149 · Voir sur SEC EDGAR ↗

Valeur du portefeuille
$1.2B
#2 165 sur 9 443 par valeur 13F · top 22.9%
Positions
1 067
Au
31 mars 2026 Données au Q1 2026

Valeur du portefeuille TQ : -0.7% Le 13F ne divulgue pas les liquidités

Poids des 10 principales participations
22,92%
Poids des 25 principales participations
41,45%
Positions supérieures à 1%
21
Nombre effectif de positions
100,9

Basé uniquement sur les positions longues en actions du 13F (liquidités, obligations, positions courtes non divulguées)

Rotation Q1 2026 : 6,03% Achats estimés $86 570 846 · Ventes $72 579 352

Détention médiane : 6,0 trimestres Suivi Q4 2024–Q1 2026 · 88,5% toujours détenu

Nouvelles positions
81
Augmenté
301
Diminué
284
Fermé
20
Sur cette page

Répartition sectorielle

Technology
12,5%
Healthcare
10,0%
Industrials
8,4%
Communication Services
6,1%
Financial Services
6,0%
Financials
5,6%
Retail
5,6%
Energy
3,4%
Utilities
2,6%
Consumer Staples
2,4%
Consumer products
1,3%
Consumer Discretionary
1,3%
Logistics & Transportation
1,1%
Materials
0,9%
Telecommunication
0,7%
Communications
0,4%
Real Estate
0,3%
Packaging
0,2%
Diversified Consumer Services
0,0%
Autre/Non mappé
31,1%

Portefeuille complet 1 067 positions

Type Série Tendance 8 trimestres
MSFT Microsoft Corporation - Common Stock $37 678 629 3,14% 101 787 $-15 701 180
AAPL Apple Inc. - Common Stock $32 968 559 2,75% 129 905 $-978 746
V Visa Inc. $32 494 450 2,71% 107 512 $-4 020 711
SCHX $30 597 803 2,55% 1 193 362 $175 475
GOOG Alphabet Inc. - Class C Capital Stock $25 655 333 2,14% 89 435 $-1 551 802
FCNCA First Citizens BancShares, Inc. - Class A Common Stock $24 915 205 2,08% 13 220 $1 600 661
BSCR Invesco BulletShares 2027 Corporate Bond ETF $24 133 708 2,01% 1 229 743 $1 883 404
BSCS Invesco BulletShares 2028 Corporate Bond ETF $23 551 914 1,96% 1 153 205 $2 872 482
JNJ Johnson & Johnson Common Stock $21 415 797 1,79% 87 612 $4 977 486
GOOGL Alphabet Inc. - Class A Common Stock $21 333 494 1,78% 74 188 $167 607
BSCT Invesco BulletShares 2029 Corporate Bond ETF $21 256 398 1,77% 1 139 118 $20 963 432
VGT $19 364 352 1,62% 27 754 $-2 701 147
ABBV AbbVie Inc. Common Stock $19 100 287 1,59% 87 821 $-502 136
QQQM Invesco NASDAQ 100 ETF $18 360 487 1,53% 77 268 $7 963 536
BRKB $17 082 545 1,43% 35 648 $-1 881 335
AMZN Amazon.com, Inc. - Common Stock $15 387 150 1,28% 73 881 $-631 361
NVDA NVIDIA Corporation - Common Stock $15 162 419 1,26% 86 940 $-197 708
XOM Exxon Mobil Corporation Common Stock $14 197 132 1,18% 83 680 $2 737 276
QQQ Invesco QQQ Trust, Series 1 $13 363 162 1,11% 23 153 $-9 986 446
LLY Eli Lilly and Company Common Stock $12 122 218 1,01% 13 180 $1 249 644
JPM JP Morgan Chase & Co. Common Stock $11 974 239 1,00% 40 707 $-1 134 845
META Meta Platforms, Inc. - Class A Common Stock $11 435 038 0,95% 19 987 $-2 681 139
LOW Lowe's Companies, Inc. Common Stock $11 258 741 0,94% 47 650 $-401 807
UNP Union Pacific Corporation Common Stock $11 163 744 0,93% 46 013 $673 048
DUK Duke Energy Corporation (Holding Company) Common Stock $10 860 305 0,91% 82 941 $671 231
GLW Corning Incorporated Common Stock $10 832 390 0,90% 79 667 $3 563 091
FDX FedEx Corporation Common Stock $10 081 175 0,84% 28 304 $3 795 808
WMT Walmart Inc. - Common Stock $9 150 729 0,76% 73 630 $1 238 159
KO Coca-Cola Company (The) Common Stock $9 114 203 0,76% 119 845 $1 240 956
CVX Chevron Corporation Common Stock $9 004 060 0,75% 43 519 $2 383 161
RSG Republic Services, Inc. Common Stock $8 882 920 0,74% 40 558 $358 697
JPST $8 809 723 0,73% 174 071 $541 004
CAT Caterpillar, Inc. Common Stock $8 571 669 0,72% 12 099 $2 305 021
COST Costco Wholesale Corporation - Common Stock $8 488 609 0,71% 8 519 $817 615
UNH UnitedHealth Group Incorporated Common Stock (DE) $7 958 401 0,66% 29 411 $-836 343
MDT Medtronic plc. Ordinary Shares $7 920 157 0,66% 91 404 $-2 420 336
MRK Merck & Company, Inc. Common Stock (new) $7 875 575 0,66% 65 472 $2 217 637
WSO Watsco, Inc. Common Stock $7 822 940 0,65% 21 504 $437 996
MCK McKesson Corporation Common Stock $7 564 112 0,63% 8 741 $926 448
AVGO Broadcom Inc. - Common Stock $7 361 451 0,61% 23 784 $-306 640
SO Southern Company (The) Common Stock $7 328 426 0,61% 75 927 $192 385
PG Procter & Gamble Company (The) Common Stock $7 311 433 0,61% 50 619 $-2 023 368
PM Philip Morris International Inc Common Stock $7 023 729 0,59% 42 481 $226 418
HD Home Depot, Inc. (The) Common Stock $6 743 050 0,56% 20 502 $-1 571 996
NFLX Netflix, Inc. - Common Stock $6 718 001 0,56% 69 870 $-1 052 200
WM Waste Management, Inc. Common Stock $6 506 421 0,54% 28 315 $34 579
VDE $6 416 715 0,54% 37 082 $2 024 386
SCHM $6 352 301 0,53% 205 178 $279 822
VZ Verizon Communications Inc. Common Stock $6 179 910 0,52% 123 106 $1 004 628
EFAV $6 155 462 0,51% 67 369 $997 963
ENB Enbridge Inc Common Stock $6 119 444 0,51% 113 030 $351 462
ORCL Oracle Corporation Common Stock $6 114 510 0,51% 41 564 $-5 901 570
IHI $5 954 683 0,50% 111 615 $-497 796
VOO $5 914 206 0,49% 9 897 $-102 920
SHW Sherwin-Williams Company (The) Common Stock $5 808 313 0,48% 18 120 $-205 402
SOXX SOXX $5 807 855 0,48% 17 671 $471 508
GSIE $5 800 886 0,48% 134 498 $1 001 740
GEM $5 667 397 0,47% 131 190 $603 875
ABT Abbott Laboratories Common Stock $5 454 415 0,46% 53 126 $-1 660 281
AMAT Applied Materials, Inc. - Common Stock $5 390 263 0,45% 15 771 $2 791 358
SPY SPY $5 169 397 0,43% 7 949 $-202 914
NEE NextEra Energy, Inc. Common Stock $4 960 009 0,41% 53 402 $907 502
VHT $4 945 355 0,41% 18 159 $653 264
MA Mastercard Incorporated Common Stock $4 943 413 0,41% 9 894 $-522 428
SCHA $4 885 162 0,41% 167 990 $153 377
MCD McDonald's Corporation Common Stock $4 683 457 0,39% 15 070 $238 167
QCOM QUALCOMM Incorporated - Common Stock $4 468 031 0,37% 34 695 $-1 237 436
FTNT Fortinet, Inc. - Common Stock $4 417 783 0,37% 54 060 $485 109
VFH $4 352 054 0,36% 36 024 $-56 659
ADBE Adobe Inc. - Common Stock $4 271 407 0,36% 17 572 $-871 358
VTV $4 206 311 0,35% 21 439 $651 159
SCHD $4 143 473 0,35% 135 055 $611 689
EMR Emerson Electric Company Common Stock $4 113 624 0,34% 31 397 $-3 704
MU Micron Technology, Inc. - Common Stock $4 074 350 0,34% 12 060 $2 378 562
CSCO Cisco Systems, Inc. - Common Stock $4 046 749 0,34% 52 156 $357 985
NSC Norfolk Southern Corporation Common Stock $4 025 900 0,34% 14 028 $-293 422
VUG $3 946 313 0,33% 9 035 $69 082
GS Goldman Sachs Group, Inc. (The) Common Stock $3 890 224 0,32% 4 598 $121 630
AZO AutoZone, Inc. Common Stock $3 887 825 0,32% 1 151 $-964 452
VCR $3 877 372 0,32% 10 800 $-365 812
VCSH Vanguard Short-Term Corporate Bond ETF $3 841 391 0,32% 48 460 $-611 987
BAC Bank of America Corporation Common Stock $3 827 729 0,32% 78 518 $-199 541
VLO Valero Energy Corporation Common Stock $3 794 480 0,32% 15 357 $940 450
DIS Walt Disney Company (The) Common Stock $3 760 928 0,31% 39 022 $-768 679
TSM Taiwan Semiconductor Manufacturing Company Ltd. $3 679 938 0,31% 10 889 $431 237
TSLA Tesla, Inc. - Common Stock $3 639 061 0,30% 9 789 $-349 188
SCHW Charles Schwab Corporation (The) Common Stock $3 630 635 0,30% 38 632 $493 777
VTI $3 595 760 0,30% 11 208 $112 888
PEP PepsiCo, Inc. - Common Stock $3 564 628 0,30% 22 955 $863 787
CSX CSX Corporation - Common Stock $3 516 220 0,29% 85 657 $410 622
TXN Texas Instruments Incorporated - Common Stock $3 512 539 0,29% 18 093 $241 355
VIS $3 511 634 0,29% 11 247 $337 960
TSCO Tractor Supply Company - Common Stock $3 446 722 0,29% 76 087 $-847 937
FTEC $3 373 115 0,28% 16 213 $-425 325
GE GE Aerospace Common Stock $3 341 274 0,28% 11 775 $-130 969
VOX $3 287 711 0,27% 18 281 $-234 129
LPLA LPL Financial Holdings Inc. - Common Stock $3 274 238 0,27% 10 884 $-142 100
UPS United Parcel Service, Inc. Common Stock $3 243 795 0,27% 32 972 $354 921
CPK Chesapeake Utilities Corporation Common Stock $3 204 105 0,27% 25 355 $-136 328
ORLY O'Reilly Automotive, Inc. - Common Stock $3 136 971 0,26% 33 983 $-748 501

Plus gros nouveaux paris

Nouvelles positions ouvertes ce trimestre, par ordre décroissant.

Titre Valeur Actions % du portefeuille
UL $1 960 793 34 418 0,16%
TDG $1 483 469 1 280 0,12%
PNFP $1 155 519 13 414 0,10%
APP $616 104 1 548 0,05%
NET $483 867 2 345 0,04%
IGHG $462 077 5 950 0,04%
IBP $318 180 1 200 0,03%
HYHG $187 974 2 950 0,02%
BSCU $164 432 9 835 0,01%
BSMR $146 655 6 200 0,01%
BSMU $141 787 6 500 0,01%
BGIG $126 022 3 789 0,01%
Q $114 226 990 0,01%
AVDV $112 942 1 131 0,01%
CGXU $110 381 3 743 0,01%

Principaux mouvements (T/T)

Titre Mouvement Δ Actions Δ Valeur
MSFT Réduit -1K -$15.7M
QQQ Réduit -16K -$10.0M
QQQM A acheté plus +35K +$8.0M
ORCL Réduit -1K -$5.9M
JNJ Réduit -1K +$5.0M
V A acheté plus +549 -$4.0M
FDX A acheté plus +2K +$3.8M
GLW Réduit -9K +$3.6M
FISV Réduit -14K -$3.2M
BSCS A acheté plus +148K +$2.9M

2 positions masquées (vérification de l'exhaustivité des données)

Positions clôturées

Inclut les événements d'entreprise (fusions, retraits de la cote) — toutes les sorties ne sont pas des ventes

Les positions clôturées reflètent les changements de déclaration 13F ; pour les gestionnaires d'indices, il s'agit souvent de décisions mécaniques (radiation, fusions et acquisitions, rééquilibrage d'indices), et non de décisions actives.

TitreTrimestre Actions avant Valeur avant Prix depuis la sortie
SSBXXXX 30 septembre 2025 17 766 $1 635 005 Ne suit plus
BSMP 30 septembre 2025 3 000 $73 620 Ne suit plus
BSMQ 30 septembre 2025 3 000 $70 680
WBA 30 septembre 2025 4 070 $46 722 Ne suit plus
BANC 30 septembre 2025 3 284 $46 140 13,9%
SNREY 30 septembre 2025 530 $29 972 Ne suit plus
GGAL 30 septembre 2025 303 $15 268 50,4%
LSCC 30 septembre 2025 275 $13 472 61,2%
VNOMXXXX 30 septembre 2025 350 $13 346 Ne suit plus
TPL 30 septembre 2025 10 $10 564 20,8%
HXL 30 septembre 2025 150 $8 474 50,9%
PLUS 30 septembre 2025 65 $4 687 21,3%
HNST 30 septembre 2025 856 $4 357 36,3%
DOCU 30 septembre 2025 25 $1 947 -15,5%
AMPH 30 septembre 2025 75 $1 722 -18,9%
HDSN 30 septembre 2025 200 $1 624 -42,7%
KLG 30 septembre 2025 65 $1 036 Ne suit plus
ALGN 30 septembre 2025 3 $568 26,9%
PARA 30 septembre 2025 39 $503
RICK 30 septembre 2025 9 $343 0,4%