Ticker | $ Bought |
---|---|
ringcentral inc cl a | 20,791,900 |
arista networks inc com shs | 1,689,340 |
apollo global mgmt inc com | 607,954 |
vanguard ftse europe etf | 153,026 |
vaneck retail etf | 71,523 |
ishares u.s. aerospace & defense etf | 55,669 |
ishares global clean energy etf | 22,293 |
ishares us transportation etf | 15,879 |
Ticker | % Inc. |
---|---|
spdr s&p regional banking etf | 22,750 |
trane technologies plc shs | 840 |
sony group corp sponsored adr | 400 |
tractor supply co com | 400 |
vanguard high dividend yield index etf | 314 |
schwab u.s. large-cap growth etf | 300 |
schwab us dividend equity etf | 201 |
schwab u.s. mid-cap etf | 200 |
Ticker | % Reduced |
---|---|
robo global robotics & automation index etf | -99.45 |
concentrix corp com | -96.18 |
bank america corp com | -95.91 |
ge vernova inc com | -93.94 |
ishares core msci international developed markets etf | -93.86 |
ge aerospace com new | -92.59 |
zoetis inc cl a | -76.59 |
vanguard growth etf | -68.29 |
Ticker | $ Sold |
---|---|
dubuque capital inc | -21,000 |
ishares ibonds dec 2024 term corporate etf | -1,841,470 |
cvs health corp com | -4,088,870 |
wildbrain ltd com var vtg | -6,675 |
arista networks inc com | -1,334,540 |
spdr portfolio short term treasury etf | -70,290 |
lazard global total return & i com | -21,768 |
aon plc shs cl a | -306,547 |
VALLEY WEALTH MANAGERS, INC. has about 27.1% of it's holdings in Technology sector.
Sector | % |
---|---|
Technology | 27.1 |
Others | 23.1 |
Financial Services | 10.6 |
Healthcare | 8.4 |
Consumer Cyclical | 6.8 |
Communication Services | 5.7 |
Energy | 5 |
Consumer Defensive | 4.7 |
Industrials | 4.6 |
Real Estate | 1.9 |
Basic Materials | 1.2 |
VALLEY WEALTH MANAGERS, INC. has about 66.8% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
LARGE-CAP | 43.8 |
MEGA-CAP | 23 |
UNALLOCATED | 21.5 |
MID-CAP | 11.5 |
About 64.7% of the stocks held by VALLEY WEALTH MANAGERS, INC. either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
S&P 500 | 61.5 |
Others | 35.3 |
RUSSELL 2000 | 3.2 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
VALLEY WEALTH MANAGERS, INC. has 397 stocks in it's portfolio. About 25.5% of the portfolio is in top 10 stocks. ELV proved to be the most loss making stock for the portfolio. AVGO was the most profitable stock for VALLEY WEALTH MANAGERS, INC. last quarter.
Last Reported on: 31 Jan, 2025Ticker | Namesorted descending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
AVGO | broadcom inc com | 3.99 | 230,360 | 53,406,600 | reduced | -8.8 | ||
Historical Trend of BROADCOM INC COM Position Held By HALLMARK CAPITAL MANAGEMENT INCWhat % of Portfolio is AVGO?:Number of AVGO shares held:Change in No. of Shares Held: | ||||||||
AAPL | apple inc com | 3.81 | 203,754 | 51,024,200 | reduced | -0.69 | ||
BNDW | vanguard russell 1000 growth etf | 3.47 | 449,798 | 46,464,200 | reduced | -12.95 | ||
MSFT | microsoft corp com | 2.39 | 75,746 | 31,927,000 | added | 0.78 | ||
JBL | jabil inc com | 2.02 | 187,708 | 27,011,200 | reduced | -3.84 | ||
ORCL | oracle corp com | 2.00 | 160,869 | 26,807,100 | reduced | -3.33 | ||
GOOG | alphabet inc cap stk cl a | 2.00 | 141,537 | 26,793,000 | added | 0.24 | ||
TPR | tapestry inc com | 1.98 | 404,939 | 26,454,700 | reduced | -4.74 | ||
MS | morgan stanley com new | 1.96 | 208,973 | 26,272,100 | reduced | -6.09 | ||
CSCO | cisco sys inc com | 1.85 | 417,549 | 24,718,900 | reduced | -1.9 | ||
MET | metlife inc com | 1.79 | 292,535 | 23,952,700 | reduced | -2.79 | ||
HUBB | hubbell inc com | 1.76 | 56,193 | 23,538,900 | reduced | -3.38 | ||
PGR | progressive corp com | 1.75 | 97,814 | 23,437,100 | reduced | -2.92 | ||
CSD | invesco s&p 500 equal weight etf | 1.73 | 131,904 | 23,113,500 | added | 43.35 | ||
AGNG | global x artificial intelligence & technology etf | 1.66 | 575,122 | 22,222,700 | added | 4.00 | ||
TMUS | t-mobile us inc com | 1.65 | 99,834 | 22,036,300 | reduced | -4.32 | ||
PYPL | paypal hldgs inc com | 1.58 | 248,151 | 21,179,700 | reduced | -3.63 | ||
amdocs ltd shs | 1.58 | 248,078 | 21,121,400 | added | 8.15 | |||
ABC | cencora inc com | 1.58 | 93,880 | 21,092,900 | reduced | -0.86 | ||
AMGN | amgen inc com | 1.57 | 80,604 | 21,008,600 | added | 4.28 | ||