Répartition sectorielle

04
Technology 16,1%
Healthcare 12,9%
Financials 9,7%
Industrials 9,1%
Communication Services 7,2%
Materials 2,6%
Consumer products 2,2%
Retail 1,7%
Consumer Staples 1,6%
Energy 1,2%
Consumer Discretionary 0,5%
Utilities 0,2%
Autre/Non mappé 35,1%

Portefeuille complet 111 positions

05
Type Série Tendance 8 trimestres
VTIP Vanguard Short-Term Inflation-Protected Securities Index Fund ETF Shares $25 645 278 6,99% 510 557 $818 829 Hausse ×2
GOOGL Alphabet Inc. - Class A Common Stock $20 024 871 5,46% 56 034 $3 656 093 Baisse ×6
MSFT Microsoft Corporation - Common Stock $19 101 982 5,21% 51 209 $36 005 Baisse ×6
VOO Vanguard S&P 500 ETF $13 746 130 3,75% 20 014 $1 693 880 Baisse ×6
VCSH Vanguard Short-Term Corporate Bond ETF $13 663 825 3,73% 172 894 $-22 027 Hausse ×2
JPM JP Morgan Chase & Co. Common Stock $12 452 375 3,39% 38 042 $1 339 892 Hausse ×1
SCHI SCHWAB STRATEGIC TRUST $11 410 719 3,11% 504 007 $-121 494 Baisse ×1
JNJ Johnson & Johnson Common Stock $11 335 190 3,09% 44 632 $408 233 Baisse ×2
AMGN Amgen Inc. - Common Stock $11 316 250 3,09% 31 250 $304 400 Baisse ×5
ADP Automatic Data Processing, Inc. - Common Stock $11 113 968 3,03% 49 627 $1 051 274 Hausse ×2
ABBV AbbVie Inc. Common Stock $9 505 301 2,59% 37 773 $1 105 095 Baisse ×5
ECL Ecolab Inc. Common Stock $9 152 337 2,50% 32 850 $488 333 Hausse ×1
IBM International Business Machines Corporation Common Stock $8 601 371 2,35% 30 587 $1 134 420 Baisse ×5
SCHX SCHWAB STRATEGIC TRUST $8 518 252 2,32% 289 441 $1 830 617 Hausse ×4
PANW Palo Alto Networks, Inc. - Common Stock $8 473 324 2,31% 24 847 $4 521 916 Hausse ×3
VTI Vanguard Morningstar Total Stock Market ETF $8 077 247 2,20% 21 828 $1 094 940 Hausse ×2
VCIT Vanguard Intermediate-Term Corporate Bond ETF $7 644 795 2,08% 92 496 $-360 937 Baisse ×1
PG Procter & Gamble Company (The) Common Stock $7 504 009 2,05% 51 173 $205 455 Hausse ×1
EMR Emerson Electric Company Common Stock $6 863 470 1,87% 47 946 $629 669 Hausse ×1
LLY Eli Lilly and Company Common Stock $6 811 563 1,86% 5 679 $1 246 034 Baisse ×5
SCHP SCHWAB STRATEGIC TRUST $6 444 853 1,76% 243 202 $157 921 Hausse ×4
VXUS Vanguard Total International Stock ETF $6 111 023 1,67% 71 482 $1 010 269 Hausse ×5
XLE SELECT SECTOR SPDR TRUST $5 611 391 1,53% 105 656 $-754 320 Hausse ×1
COF Capital One Financial Corporation Common Stock $5 583 255 1,52% 27 830 $514 072 Hausse ×1
PEP PepsiCo, Inc. - Common Stock $5 517 821 1,50% 40 752 $-702 321 Hausse ×1
SCHJ SCHWAB STRATEGIC TRUST $5 392 181 1,47% 218 661 $136 882 Hausse ×6
DIS Walt Disney Company (The) Common Stock $4 814 329 1,31% 50 019 $-10 165 Baisse ×5
VWO Vanguard FTSE Emerging Markets ETF $4 567 479 1,25% 76 520 $408 547 Baisse ×1
QCOM QUALCOMM Incorporated - Common Stock $4 184 016 1,14% 22 642 $1 181 896 Baisse ×2
CAT Caterpillar, Inc. Common Stock $3 988 051 1,09% 3 745 $1 278 191 Baisse ×2
CRM Salesforce, Inc. Common Stock $3 802 139 1,04% 24 270 $-750 743 Baisse ×1
TXN Texas Instruments Incorporated - Common Stock $3 451 651 0,94% 11 580 $1 195 744 Baisse ×1
AXP American Express Company Common Stock $3 415 638 0,93% 10 098 $393 862 Hausse ×1
AVGO Broadcom Inc. - Common Stock $3 324 201 0,91% 8 800 $630 845 Hausse ×6
GE GE Aerospace Common Stock $3 234 260 0,88% 8 654 $778 514
STIP iShares 0-5 Year TIPS Bond ETF $3 211 809 0,88% 31 439 $247 815 Hausse ×2
AMZN Amazon.com, Inc. - Common Stock $3 149 187 0,86% 13 213 $935 901 Hausse ×6
MCO Moody's Corporation Common Stock $3 117 449 0,85% 6 883 $114 740
CVX Chevron Corporation Common Stock $3 014 772 0,82% 18 188 $-801 184 Baisse ×1
HPQ HP Inc. Common Stock $2 929 057 0,80% 133 503 $320 089 Baisse ×6
RTX RTX Corporation Common Stock $2 666 845 0,73% 14 056 $-116 895 Baisse ×5
GEV GE Vernova Inc. Common Stock $2 618 764 0,71% 2 229 $664 340 Baisse ×1
BRK-B (déposé en tant que BRKB) Berkshire Hathaway Inc. Class B $2 597 525 0,71% 5 191 $109 997
IVV iShares Trust $2 503 347 0,68% 3 343 $308 451 Baisse ×6
PFE Pfizer, Inc. Common Stock $2 047 861 0,56% 85 044 $-340 176
MA Mastercard Incorporated Common Stock $1 733 400 0,47% 3 375 $47 047
SCHV SCHWAB STRATEGIC TRUST $1 720 763 0,47% 49 433 $213 056
MRK Merck & Company, Inc. Common Stock (new) $1 708 151 0,47% 13 293 $109 135
INTC Intel Corporation - Common Stock $1 384 153 0,38% 9 913 $926 304 Baisse ×1
AAPL Apple Inc. - Common Stock $1 312 827 0,36% 4 537 $144 885 Baisse ×1
MAR Marriott International - Class A Common Stock $1 224 800 0,33% 3 305 $143 833
VTEC Vanguard California Tax-Exempt Bond ETF $1 171 990 0,32% 11 650 $414 028 Hausse ×2
GOOG Alphabet Inc. - Class C Capital Stock $1 045 151 0,28% 2 958 $162 195 Baisse ×2
LOW Lowe's Companies, Inc. Common Stock $1 001 025 0,27% 4 540 $-71 687
BMY Bristol-Myers Squibb Company Common Stock $944 508 0,26% 16 392 $-49 667
AMP Ameriprise Financial, Inc. Common Stock $821 181 0,22% 1 790 $25 705
WFC Wells Fargo & Company Common Stock $795 080 0,22% 9 621 $29 152
WMT Walmart Inc. - Common Stock $763 486 0,21% 6 741 $-74 286
BK The Bank of New York Mellon Corporation Common Stock $763 107 0,21% 5 277 $137 096
UNP Union Pacific Corporation Common Stock $754 150 0,21% 2 773 $75 393 Baisse ×1
SCHR SCHWAB STRATEGIC TRUST $671 862 0,18% 27 245 $-6 811
CAH Cardinal Health, Inc. Common Stock $666 119 0,18% 2 804 $73 605
ALL Allstate Corporation (The) Common Stock $661 474 0,18% 2 780 $85 068
MCD McDonald's Corporation Common Stock $648 744 0,18% 2 400 $-97 152
EW Edwards Lifesciences Corporation Common Stock $640 548 0,17% 7 081 $73 501
COST Costco Wholesale Corporation - Common Stock $635 100 0,17% 679 $-9 458 Hausse ×1
SCHE SCHWAB STRATEGIC TRUST $616 017 0,17% 16 989 $179 057 Hausse ×2
BAC Bank of America Corporation Common Stock $608 903 0,17% 10 686 $98 002 Hausse ×2
HPE Hewlett Packard Enterprise Company Common Stock $596 806 0,16% 13 230 $281 799
PNC PNC Financial Services Group, Inc. (The) Common Stock $560 643 0,15% 2 277 $24 395 Baisse ×1
ADBE Adobe Inc. - Common Stock $555 400 0,15% 2 709 $104 972 Hausse ×1
CDNS Cadence Design Systems, Inc. - Common Stock $549 844 0,15% 1 465 $113 032 Baisse ×1
VGT Vanguard Information Tech ETF $543 099 0,15% 4 544 $146 794 Hausse ×1
PSX Phillips 66 Common Stock $512 391 0,14% 3 031 $-39 797
ICE Intercontinental Exchange Inc. Common Stock $492 440 0,13% 4 000 $-136 680
GLW Corning Incorporated Common Stock $485 317 0,13% 1 900 $220 175 Baisse ×1
TECH Bio-Techne Corp - Common Stock $480 420 0,13% 6 800 $125 052
ABT Abbott Laboratories Common Stock $469 761 0,13% 5 177 $-61 762
VDC Vanguard Consumer Staples ETF $464 509 0,13% 2 060 $-22 627 Baisse ×1
HD Home Depot, Inc. (The) Common Stock $463 088 0,13% 1 313 $50 660 Hausse ×1
WTFC Wintrust Financial Corporation - Common Stock $461 267 0,13% 2 870 $62 509
TRV The Travelers Companies, Inc. Common Stock $430 477 0,12% 1 304 $50 126
ITW Illinois Tool Works Inc. Common Stock $430 048 0,12% 1 590 $16 186
MS Morgan Stanley Common Stock $410 764 0,11% 1 965 $25 670 Baisse ×1
UNH UnitedHealth Group Incorporated Common Stock (DE) $392 771 0,11% 945 $137 063
INTU Intuit Inc. - Common Stock $387 846 0,11% 1 486 $-254 671
CSCO Cisco Systems, Inc. - Common Stock $385 857 0,11% 3 285 $114 291 Baisse ×5
NVS Novartis AG Common Stock $383 494 0,10% 2 447 $21 171 Hausse ×1
FDX FedEx Corporation Common Stock $382 645 0,10% 1 222 $-64 361 Baisse ×1
COP ConocoPhillips Common Stock $381 846 0,10% 3 673 $-102 990
IWM iShares Russell 2000 Index Fund $368 052 0,10% 1 225 $64 252
SCHW Charles Schwab Corporation (The) Common Stock $364 467 0,10% 3 950 $-6 754
DUK Duke Energy Corporation (Holding Company) Common Stock $363 918 0,10% 2 875 $-21 177 Baisse ×1
TMO Thermo Fisher Scientific Inc Common Stock $358 473 0,10% 715 $7 029
NTRS Northern Trust Corporation - Common Stock $356 372 0,10% 2 050 $70 253
MMM 3M Company Common Stock $343 250 0,09% 2 120 $35 362
ZBRA Zebra Technologies Corporation - Class A Common Stock $329 075 0,09% 1 250 $5 001 Baisse ×1
PPG PPG Industries, Inc. Common Stock $309 896 0,08% 2 555 $36 817
MDY State Street SPDR S&P MIDCAP 400 ETF Trust $302 437 0,08% 430 $37 230
KMB Kimberly-Clark Corporation - Common Stock $296 379 0,08% 2 700 $35 910

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
SCHX $8 518 252 2,32% en hausse ×4
PANW $8 473 324 2,31% en hausse ×3
SCHP $6 444 853 1,76% en hausse ×4
VXUS $6 111 023 1,67% en hausse ×5
SCHJ $5 392 181 1,47% en hausse ×6
AVGO $3 324 201 0,91% en hausse ×6
AMZN $3 149 187 0,86% en hausse ×6

Plus gros nouveaux paris

09

Nouvelles positions ouvertes ce trimestre, par ordre décroissant.

TitreValeurActions% du portefeuille
AMAT $289 200 400 0,08%
EEM $229 174 3 350 0,06%
TGT $208 323 1 595 0,06%

Principaux mouvements (T/T)

10
TitreMouvementΔ ActionsΔ Valeur
PANW A acheté plus +200 +$4.5M
GOOGL Réduit -889 +$3.7M
SCHX A acheté plus +29K +$1.8M
VOO Réduit -155 +$1.7M
JPM A acheté plus +265 +$1.3M
CAT Réduit -80 +$1.3M
LLY Réduit -372 +$1.2M
TXN Réduit -40 +$1.2M
QCOM Réduit -670 +$1.2M
IBM Réduit -219 +$1.1M

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
XOM 30 juin 2026 45 510 $7 721 199 20,0%
SPLB 31 mars 2026 266 938 $6 027 460 -8,8%
LQD 31 mars 2026 10 770 $1 186 747
SCHQ 31 mars 2026 34 681 $1 099 388
BRK-A (déposé en tant que BRKA) 31 mars 2026 1 $754 800 Ne suit plus
TIP 31 décembre 2025 6 405 $712 364
DFS 30 juin 2025 2 170 $370 419 Ne suit plus
NTR 31 mars 2026 5 742 $354 397 -6,9%
SHEL 30 juin 2025 4 630 $339 287 37,1%
SHEL 30 juin 2026 2 555 $237 615 24,5%
TROW 31 décembre 2025 2 200 $225 808 1,5%
DHR 31 mars 2026 980 $224 342 16,7%
GEHC 31 mars 2026 2 591 $212 514 -7,6%
CMCSA 30 juin 2026 7 310 $209 871 -12,1%
GEHC 30 juin 2025 2 591 $209 120 -11,2%
EPD 30 juin 2025 6 100 $208 254 18,7%
DHR 30 juin 2025 980 $200 900 12,0%