Dorato Capital Management

CIK 2095216 · Voir sur SEC EDGAR ↗

Valeur du portefeuille
$147.5M
#7 452 sur 9 443 par valeur 13F · top 78.9%
Positions
254
Au
30 juin 2026

Valeur du portefeuille TQ : +8.9% Le 13F ne divulgue pas les liquidités

Poids des 10 principales participations
42,19%
Poids des 25 principales participations
63,10%
Positions supérieures à 1%
25
Nombre effectif de positions
26,7

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

Rotation Q2 2026 : 1,2% Achats estimés $4 921 423 · Ventes $1 696 288

Nouvelles positions
6
Augmenté
50
Diminué
23
Fermé
6
Sur cette page

Répartition sectorielle

Financials
19,5%
Health Care
9,6%
Industrials
8,8%
Technology
8,2%
Consumer products
3,2%
Consumer Discretionary
3,2%
Consumer Staples
2,7%
Communications
2,5%
Retail
1,9%
Materials
1,4%
Communication Services
1,4%
Financial Services
1,4%
Energy
1,2%
Packaging
0,9%
Utilities
0,4%
Telecommunication
0,0%
Real Estate
0,0%
Autre/Non mappé
33,6%

Portefeuille complet 254 positions

Type Série Tendance 8 trimestres
AFL AFLAC Incorporated Common Stock $22 817 969 15,47% 187 171 $1 644 868 Baisse ×2
SCHP $7 086 273 4,81% 270 159 $-7 809 Hausse ×2
SCHD $6 873 386 4,66% 212 142 $544 926 Hausse ×2
SCHX $6 076 627 4,12% 204 325 $699 056 Hausse ×1
CSCO Cisco Systems, Inc. - Common Stock $3 599 687 2,44% 29 673 $1 106 230 Baisse ×1
QQQ Invesco QQQ Trust, Series 1 $3 521 771 2,39% 4 854 $563 992 Baisse ×2
SCHF $3 479 560 2,36% 126 300 $386 581 Hausse ×2
AMAT Applied Materials, Inc. - Common Stock $3 119 999 2,12% 5 178 $696 357 Baisse ×2
SCHB $2 840 994 1,93% 97 361 $305 760 Hausse ×2
PHM PulteGroup, Inc. Common Stock $2 801 885 1,90% 22 460 $96 802
SCHA $2 769 132 1,88% 79 322 $367 572 Hausse ×1
SCHM $2 662 653 1,81% 74 355 $282 153 Hausse ×1
CVS CVS Health Corporation Common Stock $2 419 093 1,64% 23 227 $616 771 Hausse ×2
JNJ Johnson & Johnson Common Stock $2 384 004 1,62% 9 277 $113 853 Baisse ×1
GD General Dynamics Corporation Common Stock $2 376 006 1,61% 6 335 $158 629
SCHZ $2 044 524 1,39% 89 164 $-28 532
MRK Merck & Company, Inc. Common Stock (new) $2 022 350 1,37% 16 370 $5 893
INTC Intel Corporation - Common Stock $2 019 079 1,37% 18 382 $892 131 Baisse ×1
SJM The J.M. Smucker Company Common Stock $1 937 042 1,31% 17 357 $425 053 Hausse ×1
UNP Union Pacific Corporation Common Stock $1 821 049 1,23% 6 346 $268 097 Hausse ×2
DUSA $1 770 661 1,20% 30 837 $153 260
AMGN Amgen Inc. - Common Stock $1 766 439 1,20% 4 861 $78 955 Hausse ×2
HAS Hasbro, Inc. - Common Stock $1 749 122 1,19% 22 152 $-242 188 Hausse ×2
JPM JP Morgan Chase & Co. Common Stock $1 576 699 1,07% 4 686 $153 877 Hausse ×1
KLAC KLA Corporation - Common Stock $1 512 984 1,03% 6 535 $134 975 Hausse ×1
MUB $1 467 108 0,99% 13 710 $3 428
WMT Walmart Inc. - Common Stock $1 284 565 0,87% 11 278 $-150 674
MSFT Microsoft Corporation - Common Stock $1 231 165 0,83% 3 197 $75 982 Hausse ×2
BAC Bank of America Corporation Common Stock $1 190 835 0,81% 19 957 $155 465
SHW Sherwin-Williams Company (The) Common Stock $1 174 326 0,80% 3 516 $115 941 Hausse ×2
ABBV AbbVie Inc. Common Stock $1 029 284 0,70% 4 149 $161 976 Hausse ×1
QSR Restaurant Brands International Inc. Common Shares $1 011 194 0,69% 13 436 $-30 825 Hausse ×2
VAW $957 297 0,65% 4 222 $-38 366 Baisse ×1
TXN Texas Instruments Incorporated - Common Stock $921 922 0,63% 2 960 $274 749 Baisse ×1
VGT $881 822 0,60% 7 468 $186 328 Hausse ×1
LHX L3Harris Technologies, Inc. Common Stock $869 984 0,59% 2 992 $-213 031
UNH UnitedHealth Group Incorporated Common Stock (DE) $833 954 0,57% 1 964 $233 009
CAH Cardinal Health, Inc. Common Stock $830 488 0,56% 3 522 $69 573 Baisse ×2
BRKB $816 103 0,55% 1 653 $26 434 Hausse ×1
MCD McDonald's Corporation Common Stock $803 048 0,54% 2 924 $-94 737
CHD Church & Dwight Company, Inc. Common Stock $779 360 0,53% 8 088 $80 113 Hausse ×2
PEP PepsiCo, Inc. - Common Stock $774 714 0,53% 5 639 $-92 735 Hausse ×2
MMM 3M Company Common Stock $749 008 0,51% 4 755 $39 704
MET MetLife, Inc. Common Stock $708 547 0,48% 7 731 $133 824
NOC Northrop Grumman Corporation Common Stock $704 218 0,48% 1 305 $-192 931
BALL Ball Corporation Common Stock $700 182 0,47% 11 350 $9 816 Hausse ×2
MAR Marriott International - Class A Common Stock $674 366 0,46% 1 793 $49 362
IBM International Business Machines Corporation Common Stock $674 041 0,46% 2 344 $107 402
GOOGL Alphabet Inc. - Class A Common Stock $661 774 0,45% 1 853 $73 934
HPE Hewlett Packard Enterprise Company Common Stock $658 154 0,45% 13 559 $227 024 Baisse ×1
PNC PNC Financial Services Group, Inc. (The) Common Stock $651 944 0,44% 2 588 $80 617
SCHH $644 911 0,44% 26 995 $44 970 Hausse ×1
TEL TE Connectivity plc Ordinary Shares $631 535 0,43% 3 152 $70 391 Hausse ×2
WFC Wells Fargo & Company Common Stock $617 529 0,42% 7 085 $17 712
PKG Packaging Corporation of America Common Stock $590 456 0,40% 2 581 $45 735
ITW Illinois Tool Works Inc. Common Stock $587 350 0,40% 2 185 $30 811 Hausse ×1
MCK McKesson Corporation Common Stock $560 143 0,38% 695 $-45 328
OMC Omnicom Group Inc. Common Stock $559 419 0,38% 6 828 $42 621 Hausse ×2
MOAT $558 397 0,38% 5 255 $28 915 Baisse ×2
SHEL Shell PLC American Depositary Shares (each representing two (2) Ordinary Shares) $549 050 0,37% 6 677 $-59 321 Hausse ×1
TT Trane Technologies plc $547 882 0,37% 1 142 $34 526
MDLZ Mondelez International, Inc. - Class A Common Stock $538 001 0,36% 9 145 $0
AMP Ameriprise Financial, Inc. Common Stock $524 497 0,36% 1 035 $55 538
SONY Sony Group Corporation American Depositary Shares $499 858 0,34% 23 974 $6 535 Hausse ×2
ADP Automatic Data Processing, Inc. - Common Stock $499 081 0,34% 2 063 $90 895 Hausse ×1
RIO Rio Tinto Plc Common Stock $482 669 0,33% 5 331 $-42 168
PCAR PACCAR Inc. - Common Stock $473 491 0,32% 3 801 $1 444
DHR Danaher Corporation Common Stock $422 991 0,29% 2 125 $13 926 Hausse ×1
BDX Becton, Dickinson and Company Common Stock $421 634 0,29% 2 775 $-64 089 Baisse ×1
MCHP Microchip Technology Incorporated - Common Stock $413 982 0,28% 4 673 $83 460
PRU Prudential Financial, Inc. Common Stock $413 371 0,28% 3 583 $67 074
LMT Lockheed Martin Corporation Common Stock $408 112 0,28% 780 $-82 118
NSC Norfolk Southern Corporation Common Stock $400 169 0,27% 1 222 $40 778
HRL Hormel Foods Corporation Common Stock $389 894 0,26% 15 766 $85 224 Hausse ×1
ROP Roper Technologies, Inc. - Common Stock $389 711 0,26% 1 095 $377 967 Hausse ×1
COP ConocoPhillips Common Stock $385 022 0,26% 3 531 $-25 826 Hausse ×1
DIS Walt Disney Company (The) Common Stock $377 832 0,26% 3 951 $-14 067
OEF $376 778 0,26% 1 012 $42 666
DE Deere & Company Common Stock $366 788 0,25% 625 $-14 037
TIP $365 912 0,25% 3 384 $-9 408
CB Chubb Limited Common Stock $359 309 0,24% 1 033 $15 691
GOOG Alphabet Inc. - Class C Capital Stock $347 930 0,24% 980 $64 664 Hausse ×1
CSL Carlisle Companies Incorporated Common Stock $342 304 0,23% 1 037 $-14 269
TM Toyota Motor Corporation Common Stock $332 432 0,23% 1 884 $-72 628
PG Procter & Gamble Company (The) Common Stock $330 105 0,22% 2 245 $11 469 Hausse ×1
NVS Novartis AG Common Stock $324 122 0,22% 2 104 $-778
FISV Fiserv, Inc. - Common Stock $317 079 0,22% 6 285 $-49 714 Baisse ×1
VPU $312 892 0,21% 1 595 $-9 442
XOM Exxon Mobil Corporation Common Stock $310 581 0,21% 2 236 $-41 902 Baisse ×1
OC Owens Corning Inc Common Stock New $301 035 0,20% 2 100 $63 924
BND Vanguard Total Bond Market ETF $299 304 0,20% 4 113 $-3 907
BK The Bank of New York Mellon Corporation Common Stock $296 244 0,20% 1 950 $46 761
WAT Waters Corporation Common Stock $295 874 0,20% 786 $153 809 Hausse ×1
FMC FMC Corporation Common Stock $295 487 0,20% 27 084 $-317 978 Baisse ×2
ABT Abbott Laboratories Common Stock $284 984 0,19% 3 034 $-29 218
COST Costco Wholesale Corporation - Common Stock $270 294 0,18% 295 $-33 636
VTI $267 592 0,18% 718 $22 322 Baisse ×1
AXP American Express Company Common Stock $266 441 0,18% 760 $26 022
ALLE Allegion plc Ordinary Shares $254 815 0,17% 1 865 $28 688 Hausse ×2
GS Goldman Sachs Group, Inc. (The) Common Stock $247 968 0,17% 235 $35 116

Plus gros nouveaux paris

Nouvelles positions ouvertes ce trimestre, par ordre décroissant.

Titre Valeur Actions % du portefeuille
Émetteur inconnu (CUSIP: 438516205) $100 078 442 0,07%
Émetteur inconnu (CUSIP: 43849R105) $97 572 442 0,07%
GLD $6 410 17 0,00%
WINA $3 855 10 0,00%
Émetteur inconnu (CUSIP: 60744M106) $3 661 176 0,00%
CWEN $3 367 100 0,00%

Principaux mouvements (T/T)

Titre Mouvement Δ Actions Δ Valeur
AFL Réduit -202 +$1.6M
CSCO Réduit -117 +$1.1M
INTC Réduit -735 +$892K
SCHX A acheté plus +3K +$699K
AMAT Réduit -1K +$696K
CVS A acheté plus +352 +$617K
QQQ Réduit -26 +$564K
SCHD A acheté plus +7K +$545K
SJM A acheté plus +1K +$425K
SCHF A acheté plus +8K +$387K

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
HON 30 juin 2026 885 $205 736 -1,9%
CLX 31 mars 2026 430 $47 907 1,8%
AJG 31 mars 2026 82 $21 073 20,0%
VCR 30 juin 2026 48 $17 604 Ne suit plus
CHE 30 juin 2026 34 $13 439 14,3%
ADBE 30 juin 2026 34 $8 137 33,1%
KHC 30 juin 2026 220 $5 049 7,9%
CWENA 30 juin 2026 100 $4 043 Ne suit plus
CMA 31 mars 2026 30 $2 717 Ne suit plus
ALB 31 mars 2026 15 $2 664 -20,8%
MSM 31 mars 2026 30 $2 541 28,6%
MICC 31 mars 2026 144 $2 352 32,4%
SOLS 31 mars 2026 25 $1 435 -25,0%