Répartition sectorielle

04
Financials 40,1%
Health Care 13,9%
Technology 6,8%
Industrials 6,2%
Retail 5,5%
Communication Services 5,2%
Energy 3,4%
Consumer Discretionary 2,5%
Consumer products 1,6%
Real Estate 1,4%
Consumer Staples 0,9%
Materials 0,6%
Utilities 0,1%
Autre/Non mappé 11,8%

Portefeuille complet 101 positions

05
Type Série Tendance 8 trimestres
BRK-B (déposé en tant que BRKB) Berkshire Hathaway Inc. Class B $80 105 934 23,76% 160 087 $768 624 Baisse ×3
HCA HCA Healthcare, Inc. Common Stock $35 677 274 10,58% 91 506 $-7 627 025
VTI VANGUARD INDEX FUNDS $14 641 742 4,34% 39 568 $1 846 877 Baisse ×3
AXP American Express Company Common Stock $13 915 267 4,13% 41 139 $1 448 856 Baisse ×3
SYY Sysco Corporation Common Stock $13 328 085 3,95% 159 465 $1 608 138 Baisse ×1
BRK-A (déposé en tant que BRKA) Berkshire Hathaway Inc. Class A $11 232 750 3,33% 15 $-3 130 050 Baisse ×2
AMAT Applied Materials, Inc. - Common Stock $11 140 707 3,30% 15 409 $4 159 988 Baisse ×3
FTI TechnipFMC plc Ordinary Share $9 995 057 2,96% 150 755 $-625 731 Baisse ×6
GOOGL Alphabet Inc. - Class A Common Stock $9 167 613 2,72% 25 653 $1 701 693 Baisse ×3
GS Goldman Sachs Group, Inc. (The) Common Stock $7 397 160 2,19% 7 314 $676 615 Baisse ×6
BK The Bank of New York Mellon Corporation Common Stock $6 613 594 1,96% 45 734 $-308 111 Baisse ×2
MSFT Microsoft Corporation - Common Stock $6 492 233 1,93% 17 405 $49 606
RHI Robert Half Inc. Common Stock $4 708 613 1,40% 153 375 $811 618 Baisse ×1
WMT Walmart Inc. - Common Stock $4 638 110 1,38% 40 951 $-502 981 Baisse ×6
CBRE CBRE Group Inc Common Stock Class A $4 628 757 1,37% 34 366 $-61 681 Baisse ×6
DIS Walt Disney Company (The) Common Stock $4 396 751 1,30% 45 681 $237 954 Hausse ×2
PHM PulteGroup, Inc. Common Stock $4 382 762 1,30% 31 942 $596 661 Baisse ×1
APTV Aptiv PLC Ordinary Shares $3 835 022 1,14% 62 480 $33 182 Hausse ×2
WFC Wells Fargo & Company Common Stock $3 694 421 1,10% 44 705 $135 456
CDW CDW Corporation - Common Stock $3 628 512 1,08% 25 800 $417 851 Baisse ×1
AAPL Apple Inc. - Common Stock $3 491 531 1,04% 12 066 $429 453 Hausse ×6
UNH UnitedHealth Group Incorporated Common Stock (DE) $3 098 522 0,92% 7 455 $1 065 038 Baisse ×1
OMC Omnicom Group Inc. Common Stock $2 978 820 0,88% 40 901 $64 248 Hausse ×1
VGIT Vanguard Intermediate-Term Treasury ETF $2 710 131 0,80% 45 950 $418 647 Hausse ×1
THO Thor Industries, Inc. Common Stock $2 667 504 0,79% 35 491 $929 817 Hausse ×1
PM Philip Morris International Inc Common Stock $2 646 895 0,79% 14 631 $226 152 Baisse ×1
VBR VANGUARD INDEX FUNDS $2 646 647 0,78% 10 892 $269 497 Baisse ×1
AGCO AGCO Corporation Common Stock $2 614 248 0,78% 21 840 $92 917 Hausse ×1
RTX RTX Corporation Common Stock $2 607 270 0,77% 13 742 $-43 562
LH Labcorp Holdings Inc. Common Stock $2 536 800 0,75% 9 060 $106 161 Baisse ×1
CSL Carlisle Companies Incorporated Common Stock $2 328 855 0,69% 6 420 $408 872 Hausse ×1
TEL TE Connectivity plc Ordinary Shares $2 238 677 0,66% 11 104 $-103 183 Baisse ×1
BMY Bristol-Myers Squibb Company Common Stock $2 167 371 0,64% 37 615 $-108 581 Hausse ×4
VGSH Vanguard Short-Term Treasury ETF $2 027 397 0,60% 34 835 $-71 555 Baisse ×1
CRD-B (déposé en tant que CRDB) Crawford & Company Class B $1 836 118 0,54% 176 042 $51 052
AJG Arthur J. Gallagher & Co. Common Stock $1 827 377 0,54% 7 960 Hausse ×1
CB Chubb Limited Common Stock $1 809 329 0,54% 5 310 $59 085 Baisse ×1
VAC Marriott Vacations Worldwide Corporation Common Stock $1 758 449 0,52% 17 260 $627 966 Baisse ×4
VBIL Vanguard 0-3 Month Treasury Bill ETF $1 703 557 0,51% 22 510 Hausse ×1
AIG American International Group, Inc. New Common Stock $1 681 397 0,50% 22 560 $-32 798 Baisse ×1
NVST Envista Holdings Corporation Common Stock $1 546 218 0,46% 58 680 $57 506
MINT PIMCO ETF Trust $1 376 863 0,41% 13 658 $-53 041 Baisse ×1
CRD-A (déposé en tant que CRDA) Crawford & Company Class A $1 343 587 0,40% 119 218 $137 038 Baisse ×1
BAC Bank of America Corporation Common Stock $1 341 252 0,40% 23 539 $193 726
CNNE Cannae Holdings, Inc. Common Stock $1 211 947 0,36% 84 163 $249 101 Baisse ×1
AMCR Amcor plc Ordinary Shares $1 118 994 0,33% 25 813 $92 927
NSC Norfolk Southern Corporation Common Stock $1 115 537 0,33% 3 546 $97 835
VUG VANGUARD INDEX FUNDS $1 085 364 0,32% 12 600 $168 105 Hausse ×1
IEFA iShares Trust $1 078 702 0,32% 11 169 $88 938 Hausse ×1
VB VANGUARD INDEX FUNDS $1 077 895 0,32% 3 556 $143 888 Baisse ×1
EFA iShares Trust $1 044 306 0,31% 10 053 $67 858
QCOM QUALCOMM Incorporated - Common Stock $964 263 0,29% 5 218 $292 300
KMB Kimberly-Clark Corporation - Common Stock $953 352 0,28% 8 685 $115 028 Baisse ×1
TIP iShares Trust $945 475 0,28% 8 640 $-30 107 Baisse ×2
VCSH Vanguard Short-Term Corporate Bond ETF $921 253 0,27% 11 657 $-23 804 Baisse ×6
EWY iShares, Inc. $883 313 0,26% 4 375 $345 144
ADP Automatic Data Processing, Inc. - Common Stock $820 777 0,24% 3 665 $76 122
HUN Huntsman Corporation Common Stock $773 348 0,23% 72 820 $-200 145 Baisse ×4
Émetteur inconnu (CUSIP: G9600F104) $740 342 0,22% 17 623 Hausse ×1
MRK Merck & Company, Inc. Common Stock (new) $721 014 0,21% 5 611 $46 067
AMZN Amazon.com, Inc. - Common Stock $667 352 0,20% 2 800 $84 196
BNDX Vanguard Total International Bond ETF $625 231 0,19% 12 910 $-8 549 Baisse ×1
VTIP Vanguard Short-Term Inflation-Protected Securities Index Fund ETF Shares $550 019 0,16% 10 950 $3 066
META Meta Platforms, Inc. - Class A Common Stock $549 208 0,16% 975 $-8 618
XOM Exxon Mobil Corporation Common Stock $523 637 0,16% 3 830 $-126 161
JNJ Johnson & Johnson Common Stock $516 321 0,15% 2 033 $553 Baisse ×1
CAT Caterpillar, Inc. Common Stock $514 625 0,15% 483 $172 815 Hausse ×1
SGOV iShares Trust $513 417 0,15% 5 100 $51
DJCO Daily Journal Corp. (S.C.) - Common Stock $498 387 0,15% 829 $55 117 Baisse ×3
EWP iShares, Inc. $491 690 0,15% 8 279 $42 058
BSV VANGUARD BOND INDEX FUNDS $449 930 0,13% 5 775 $-2 888
CSCO Cisco Systems, Inc. - Common Stock $446 348 0,13% 3 800 $151 506
ACN Accenture plc Class A Ordinary Shares (Ireland) $413 514 0,12% 3 323 $-251 352 Baisse ×1
VEU VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $407 025 0,12% 4 860 $42 039
RF Regions Financial Corporation Common Stock $398 429 0,12% 13 193 $53 828
CVX Chevron Corporation Common Stock $386 884 0,11% 2 334 $-96 021
BP BP p.l.c. Common Stock $385 980 0,11% 10 446 $-104 982
DUK Duke Energy Corporation (Holding Company) Common Stock $364 804 0,11% 2 882 $-12 565
USMV iShares Trust $364 619 0,11% 3 780 $14 062
EWI iShares, Inc. $353 841 0,10% 5 973 $34 763
VMBS Vanguard Mortgage-Backed Securities ETF $348 454 0,10% 7 444 $-10 432 Baisse ×2
STT State Street Corporation Common Stock $348 189 0,10% 2 053 $-203 739 Baisse ×1
AGZ iShares Trust $321 819 0,10% 2 945 $-11 151 Baisse ×1
VO VANGUARD INDEX FUNDS $309 227 0,09% 3 838 $55 360 Hausse ×1
JMST J.P. Morgan Exchange-Traded Fund Trust $306 000 0,09% 6 000 $120
PNFP Pinnacle Financial Partners, Inc. - Common Stock $302 640 0,09% 3 000 $44 220
IVV iShares Trust $297 309 0,09% 397 $11 856 Baisse ×3
COP ConocoPhillips Common Stock $292 024 0,09% 2 809 $-78 764
IEF iShares 7-10 Year Treasury Bond ETF $287 493 0,09% 3 040 $-2 645
VWO VANGUARD INTERNATIONAL EQUITY INDEX FUNDS $285 080 0,08% 4 776 $75 798 Hausse ×1
DBEF DBX ETF Trust $265 830 0,08% 4 866 $25 450
STZ Constellation Brands, Inc. Common Stock $257 317 0,08% 1 850 $-20 183
ABT Abbott Laboratories Common Stock $254 072 0,08% 2 800 $-33 404
TFC Truist Financial Corporation Common Stock $251 791 0,07% 5 054 $19 458
VV VANGUARD INDEX FUNDS $248 991 0,07% 724 $32 624
NHI National Health Investors, Inc. Common Stock $236 406 0,07% 3 100 $-14 260
ABBV AbbVie Inc. Common Stock $228 237 0,07% 907
UNP Union Pacific Corporation Common Stock $228 208 0,07% 839 $24 650
GE GE Aerospace Common Stock $220 875 0,07% 591
VOT VANGUARD INDEX FUNDS $201 852 0,06% 659 Hausse ×1

Participations à forte conviction

08

Positions augmentées pendant 3 trimestres consécutifs ou plus.

Les nombres d'actions sont tels que rapportés dans les dépôts 13F (non ajustés des divisions)

TitreValeur% du portefeuilleSérie
AAPL $3 491 531 1,04% en hausse ×6
BMY $2 167 371 0,64% en hausse ×4

Plus gros nouveaux paris

09

Nouvelles positions ouvertes ce trimestre, par ordre décroissant.

TitreValeurActions% du portefeuille
AJG $1 827 377 7 960 0,54%
VBIL $1 703 557 22 510 0,51%
Émetteur inconnu (CUSIP: G9600F104) $740 342 17 623 0,22%
ABBV $228 237 907 0,07%
GE $220 875 591 0,07%
VOT $201 852 659 0,06%
IEMG $200 970 2 426 0,06%

Principaux mouvements (T/T)

10
TitreMouvementΔ ActionsΔ Valeur
HCA Mouvement de prix uniquement +0 -$7.6M
AMAT Réduit -5K +$4.2M
BRK-A (déposé en tant que BRKA) Réduit -5 -$3.1M
VTI Réduit -315 +$1.8M
GOOGL Réduit -310 +$1.7M
SYY Réduit -5K +$1.6M
AXP Réduit -75 +$1.4M
UNH Réduit -60 +$1.1M
THO A acheté plus +14K +$930K
RHI Réduit -50 +$812K

Positions clôturées

11

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.

TitreTrimestreActions avantValeur avantPrix depuis la sortie
BERY 30 juin 2025 17 690 $1 234 939 Ne suit plus
ORCL 30 juin 2025 5 072 $709 108 -34,9%
BSCP 31 décembre 2025 26 325 $544 664 Ne suit plus
EPOL 30 juin 2025 12 241 $342 870
NVDA 31 décembre 2025 1 343 $250 645 25,4%
PAYX 31 mars 2026 2 000 $224 360 7,4%
PEP 30 juin 2025 1 485 $222 661 -4,7%
GE 31 mars 2026 675 $207 920 9,1%
ABBV 31 mars 2026 907 $207 240 20,8%
SYK 31 mars 2026 585 $205 610 -16,2%