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BRADLEY FOSTER & SARGENT INC/CT

CIK 1015086 · 2024-Q3 · 1 filing(s)

Total Portfolio Value

$6.0T

Positions

457

Latest Filing

2024-Q3

Due Diligence Score

Institutional quality assessment based on 13F data

D

47 / 100

Filing Longevity1/30

1 quarters of history

Portfolio Breadth11/25

457 positions

Equity Purity20/20

0 options positions (0.0%)

Concentration Balance15/25

Top-5 = 19.6% of portfolio

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AI Portfolio Analysis

Claude-powered institutional analyst commentary

Portfolio Profile

Relative positioning across key dimensions (0–100)

Top Holdings by Value

Top 30 positions by value

#IssuerClassCUSIPValueShares% PortfolioType
1
NEWMicrosoft
com594918104$328.4B763,2905.49%EQ
2
NEWApple Inc
com037833100$263.6B1,131,1514.41%EQ
3
NEWJ P Morgan Chase
com46625H100$222.2B1,053,7693.72%EQ
4
NEWAlphabet Inc. Class A
com02079K305$189.2B1,140,5213.16%EQ
5
NEWDanaher
com235851102$168.5B605,9922.82%EQ
6
NEWAmazon.com
com023135106$149.9B804,2912.51%EQ
7
NEWCostco
com22160K105$131.6B148,4182.20%EQ
8
NEWBerkshire Hathaway Cl B
com084670702$128.7B279,5512.15%EQ
9
NEWThermo Fisher Scientific
com883556102$125.3B202,5002.09%EQ
10
NEWUnited Health Group
com91324P102$119.1B203,7211.99%EQ
11
NEWMarsh & McLennan
com571748102$114.9B515,1171.92%EQ
12
NEWSPDR S&P 500 ETF Index
com78462F103$100.0B174,3071.67%EQ
13
NEWSherwin-Williams
com824348106$96.8B253,6971.62%EQ
14
NEWAdobe Inc
com00724F101$96.1B185,5831.61%EQ
15
NEWAgnico Eagle Mines
com008474108$92.6B1,149,0531.55%EQ
16
NEWPepsico
com713448108$91.9B540,4091.54%EQ
17
NEWFiserv Inc
com337738108$88.7B493,7121.48%EQ
18
NEWNvidia Corp
com67066G104$88.5B728,4661.48%EQ
19
NEWHome Depot
com437076102$88.2B217,6861.48%EQ
20
NEWSPDR Gold Shares
com78463V107$72.5B298,2061.21%EQ
21
NEWAnalog Devices Inc
com032654105$72.1B313,0841.21%EQ
22
NEWDeere
com244199105$71.7B171,8931.20%EQ
23
NEWConstellation Brands Inc Cl A
com21036P108$69.0B267,6801.15%EQ
24
NEWAbbott Labs
com002824100$68.4B600,3301.14%EQ
25
NEWAmphenol
com032095101$67.3B1,032,4121.13%EQ
26
NEWIntuit
com461202103$66.8B107,5651.12%EQ
27
NEWMastercard Inc Cl A
com57636Q104$66.6B134,8961.11%EQ
28
NEWConoco Phillips
com20825C104$63.7B605,3301.07%EQ
29
NEWJohnson & Johnson
com478160104$63.5B391,7241.06%EQ
30
NEWNorthrop Grumman
com666807102$58.1B110,0750.97%EQ
31
NEWMcDonalds
com580135101$53.1B174,2250.89%EQ
32
NEWCanadian National Railway
com136375102$51.9B442,6060.87%EQ
33
NEWIQVIA Holdings
com46266C105$49.3B207,9320.82%EQ
34
NEWBoston Scientific
com101137107$49.1B586,2080.82%EQ
35
NEWChevron Corp
com166764100$48.6B330,2200.81%EQ
36
NEWMerck
com58933Y105$47.6B419,3580.80%EQ
37
NEWAbbvie Inc
com00287Y109$47.1B238,3740.79%EQ
38
NEWUnion Pacific
com907818108$44.7B181,2200.75%EQ
39
NEWS&P Global Inc
com78409V104$44.1B85,4430.74%EQ
40
NEWOracle
com68389X105$43.0B252,4850.72%EQ
41
NEWCaterpillar
com149123101$42.4B108,5060.71%EQ
42
NEWRBC Bearings Inc
com75524B104$41.4B138,2920.69%EQ
43
NEWApplied Materials
com038222105$41.0B202,7670.69%EQ
44
NEWAutomatic Data Processing
com053015103$40.4B145,8470.68%EQ
45
NEWProcter & Gamble
com742718109$40.0B230,8020.67%EQ
46
NEWZoetis Inc
com98978V103$38.4B196,7400.64%EQ
47
NEWGE Healthcare Technologies Inc
com36266G107$38.0B405,1870.64%EQ
48
NEWLiberty Media Corp Series C Fo
com531229755$38.0B491,0620.64%EQ
49
NEWAmerican Express
com025816109$37.0B136,4900.62%EQ
50
NEWMondelez International
com609207105$36.3B492,4860.61%EQ
51
NEWLowes
com548661107$35.0B129,0470.58%EQ
52
NEWAlphabet Inc. Class C
com02079K107$33.4B199,7070.56%EQ
53
NEWCisco Systems
com17275R102$31.0B582,4400.52%EQ
54
NEWBroadcom Inc.
com11135F101$29.0B168,0860.48%EQ
55
NEWChubb Ltd
comH1467J104$28.0B97,1810.47%EQ
56
NEWMcCormick
com579780206$27.9B338,3970.47%EQ
57
NEWExxon Mobil
com30231G102$25.8B220,2240.43%EQ
58
NEWCarrier Global Corp
com14448C104$24.7B306,2830.41%EQ
59
NEWNike Inc Class B
com654106103$23.9B270,1210.40%EQ
60
NEWCoca Cola
com191216100$23.6B328,4790.39%EQ
61
NEWMeta Platforms Inc Class A
com30303M102$23.5B41,0750.39%EQ
62
NEWWatsco Inc
com942622200$23.0B46,7680.38%EQ
63
NEWTJX Corp
com872540109$22.2B188,8810.37%EQ
64
NEWRTX Corporation
com75513E101$21.8B179,8480.36%EQ
65
NEWStryker
com863667101$21.2B58,6500.35%EQ
66
NEWEnbridge Inc
com29250N105$21.1B520,6190.35%EQ
67
NEWHoneywell International
com438516106$20.8B100,4210.35%EQ
68
NEWIntuitive Surgical
com46120E602$20.2B41,1890.34%EQ
69
NEWHowmet Aerospace
com443201108$20.1B200,0680.34%EQ
70
NEWInternational Business Machine
com459200101$19.5B88,3190.33%EQ
71
NEWiShares Core S&P 500 ETF
com464287200$19.2B33,3660.32%EQ
72
NEWAutoZone Inc
com053332102$19.1B6,0700.32%EQ
73
NEWGE Aerospace
com369604301$19.0B100,9210.32%EQ
74
NEWRealty Income Corp
com756109104$18.6B293,0740.31%EQ
75
NEWiShares Tr Russell 1000 Growth
com464287614$18.4B49,0980.31%EQ
76
NEWEli Lilly
com532457108$18.3B20,6230.31%EQ
77
NEWVanguard Small Cap ETF
com922908751$17.8B75,2020.30%EQ
78
NEWWalmart
com931142103$17.3B214,7140.29%EQ
79
NEWVisa Incorporated
com92826C839$16.7B60,6710.28%EQ
80
NEWStarbucks
com855244109$16.6B170,6510.28%EQ
81
NEWQuanta Services
com74762E102$16.0B53,6850.27%EQ
82
NEWD R Horton Inc
com23331A109$15.8B82,5810.26%EQ
83
NEWEcolab
com278865100$15.6B61,0750.26%EQ
84
NEWTransUnion
com89400J107$15.4B147,0740.26%EQ
85
NEWSalesforce.com Inc
com79466L302$15.1B55,2630.25%EQ
86
NEWSS & C Technologies
com78467J100$14.9B200,1510.25%EQ
87
NEWLockheed Martin
com539830109$14.8B25,3970.25%EQ
88
NEWT-Mobile US Inc
com872590104$14.7B71,0720.25%EQ
89
NEWVanguard FTSE ETF Developed Ma
com921943858$14.4B273,1900.24%EQ
90
NEWiShares Russell Midcap ETF
com464287499$13.7B155,0940.23%EQ
91
NEWMettler-Toledo International
com592688105$13.6B9,0520.23%EQ
92
NEWVeralto Corporation
com92338C103$13.1B117,3030.22%EQ
93
NEWTexas Instruments
com882508104$12.7B61,6020.21%EQ
94
NEWLincoln Electric
com533900106$12.4B64,5900.21%EQ
95
NEWLinde Plc
comG54950103$12.4B25,9520.21%EQ
96
NEWAccenture Plc Class A F
comG1151C101$12.2B34,4050.20%EQ
97
NEWiShares Russell 1000 Index
com464287622$11.9B37,9970.20%EQ
98
NEWInvesco S&P 500 Equal Weight E
com46137V357$11.4B63,7510.19%EQ
99
NEWCrowdStrike Holdings Inc Cl A
com22788C105$11.0B39,3480.18%EQ
100
NEWParker-Hannifin
com701094104$11.0B17,3820.18%EQ
101
NEWBank of America
com060505104$10.7B270,0850.18%EQ
102
NEWBlackstone Inc
com09260D107$10.5B68,7990.18%EQ
103
NEWWalt Disney
com254687106$10.5B109,2360.18%EQ
104
NEWVanEck Vectors Gold Miners ETF
com92189F106$10.3B259,1710.17%EQ
105
NEWNVR Inc
com62944T105$9.6B9760.16%EQ
106
NEWNextEra Energy
com65339F101$9.5B112,8340.16%EQ
107
NEWThe Travelers Companies Inc
com89417E109$9.1B38,9750.15%EQ
108
NEWVanguard Small Cap Value ETF
com922908611$9.0B44,9850.15%EQ
109
NEWWeyerhaeuser
com962166104$9.0B266,7230.15%EQ
110
NEWVanguard Total Stock Market Vi
com922908769$8.9B31,2820.15%EQ
111
NEWInvesco QQQ Trust Series 1
com46090E103$8.8B17,9350.15%EQ
112
NEWFranco Nevada Corp
com351858105$8.7B69,7870.15%EQ
113
NEWUber Technologies Inc
com90353T100$8.7B115,1760.14%EQ
114
NEWVanguard Dividend Appreciation
com921908844$8.6B43,4600.14%EQ
115
NEWVanguard Mid Cap ETF
com922908629$8.5B32,2080.14%EQ
116
NEWCrown Castle Inc
com22822V101$8.4B70,6170.14%EQ
117
NEWAir Products & Chemicals Inc
com009158106$8.2B27,6390.14%EQ
118
NEWPfizer
com717081103$8.2B284,0150.14%EQ
119
NEWFortive Corp
com34959J108$8.1B102,1320.13%EQ
120
NEWKinder Morgan Inc
com49456B101$7.8B353,2860.13%EQ
121
NEWVanguard S&P 500 ETF
com922908363$7.8B14,7270.13%EQ
122
NEWiShares S&P 500 Value Index
com464287408$7.7B39,1660.13%EQ
123
NEWWabtec Corp
com929740108$7.6B41,7330.13%EQ
124
NEWEaton Corp PLC
comG29183103$7.6B22,8650.13%EQ
125
NEWNisource
com65473P105$7.3B211,4000.12%EQ
126
NEWComcast Cl A
com20030N101$7.3B174,4490.12%EQ
127
NEWiShares Russell 2000 ETF
com464287655$7.2B32,7900.12%EQ
128
NEWNovo Nordisk A/S ADR
com670100205$7.1B59,4860.12%EQ
129
NEWEOG Resources
com26875P101$7.0B57,1490.12%EQ
130
NEWArthur J Gallagher
com363576109$7.0B24,8560.12%EQ
131
NEWBank of New York Mellon
com064058100$6.9B95,3330.11%EQ
132
NEWOtis Worldwide Corp
com68902V107$6.8B65,2690.11%EQ
133
NEWAnsys
com03662Q105$6.7B21,1500.11%EQ
134
NEW3M Company
com88579Y101$6.6B48,3360.11%EQ
135
NEWXylem Inc
com98419M100$6.5B48,2280.11%EQ
136
NEWCIGNA Corp
com125523100$6.5B18,7870.11%EQ
137
NEWQualcomm
com747525103$6.5B38,2230.11%EQ
138
NEWEnterprise Products LP
com293792107$6.4B220,1670.11%EQ
139
NEWBecton Dickinson
com075887109$6.4B26,4520.11%EQ
140
NEWTC Energy Corp
com87807B107$6.2B131,3080.10%EQ
141
NEWKenvue Inc.
com49177J102$6.1B261,9430.10%EQ
142
NEWVanguard FTSE Emerging Markets
com922042858$5.9B123,6870.10%EQ
143
NEWNasdaq Inc
com631103108$5.9B80,8240.10%EQ
144
NEWColgate-Palmolive
com194162103$5.6B54,3340.09%EQ
145
NEWBerkshire Hathaway Cl A
com084670108$5.5B80.09%EQ
146
NEWDuPont De Nemours Inc
com26614N102$5.5B61,6270.09%EQ
147
NEWWaste Management
com94106L109$5.4B25,9230.09%EQ
148
NEWAmgen
com031162100$5.2B16,1990.09%EQ
149
NEWEntegris Inc
com29362U104$5.0B44,7800.08%EQ
150
NEWNorfolk Southern
com655844108$4.9B19,8750.08%EQ
151
NEWVanguard Small Cap Growth
com922908595$4.9B18,4700.08%EQ
152
NEWTaiwan Semiconductor Mft Co Lt
com874039100$4.7B27,2670.08%EQ
153
NEWFirst Solar Inc
com336433107$4.7B18,9750.08%EQ
154
NEWOneok Inc
com682680103$4.7B51,7560.08%EQ
155
NEWFastenal Company
com311900104$4.7B65,4350.08%EQ
156
NEWTarget
com87612E106$4.4B28,2260.07%EQ
157
NEWiShares MSCI EAFE Index Fund
com464287465$4.3B51,3970.07%EQ
158
NEWWells Fargo
com949746101$3.8B67,7880.06%EQ
159
NEWCME Group Inc
com12572Q105$3.8B17,2350.06%EQ
160
NEWGoldman Sachs
com38141G104$3.7B7,4810.06%EQ
161
NEWEmerson Electric
com291011104$3.7B33,7250.06%EQ
162
NEWiShares Core S&P MidCap ETF
com464287507$3.6B58,4680.06%EQ
163
NEWState Street
com857477103$3.6B41,1030.06%EQ
164
NEWUS Bancorp
com902973304$3.6B79,2820.06%EQ
165
NEWWheaton Precious Metals Corp
com962879102$3.5B56,5740.06%EQ
166
NEWASML Holding NV NY Registry Sh
comN07059210$3.5B4,1450.06%EQ
167
NEWSysco
com871829107$3.4B43,9580.06%EQ
168
NEWVertiv Holdings Co
com92537N108$3.4B34,4690.06%EQ
169
NEWTE Connectivity Plc
comG87052109$3.4B22,6180.06%EQ
170
NEWNovartis A G ADR
com66987V109$3.3B28,8830.06%EQ
171
NEWPalo Alto Networks Inc
com697435105$3.3B9,5130.05%EQ
172
NEWiShares Gold Trust
com464285204$3.2B64,8220.05%EQ
173
NEWGilead Sciences
com375558103$3.2B38,2820.05%EQ
174
NEWKimberly-Clark
com494368103$3.1B21,7050.05%EQ
175
NEWVulcan Materials
com929160109$3.0B12,0450.05%EQ
176
NEWPhilip Morris International
com718172109$3.0B24,4690.05%EQ
177
NEWDominion Energy
com25746U109$2.7B47,5690.05%EQ
178
NEWAramark
com03852U106$2.7B69,9870.05%EQ
179
NEWGeneral Mills
com370334104$2.7B36,1940.04%EQ
180
NEWVanguard Information Techology
com92204A702$2.7B4,5430.04%EQ
181
NEWFinancial Select Sectors SPDR
com81369Y605$2.6B57,3840.04%EQ
182
NEWBooz Allen Hamilton Holdings
com099502106$2.5B15,6640.04%EQ
183
NEWRyan Specialty Holdings Inc
com78351F107$2.5B38,2540.04%EQ
184
NEWAmeriprise Financial
com03076C106$2.5B5,3500.04%EQ
185
NEWCrane Co
com224408104$2.5B15,6190.04%EQ
186
NEWTexas Pacific Land
com88262P102$2.4B2,7470.04%EQ
187
NEWAlamos Gold Inc - Class A
com011532108$2.4B119,8970.04%EQ
188
NEWVanguard Russell 1000 Value ET
com92206C714$2.3B27,8310.04%EQ
189
NEWJohnson Controls
comG51502105$2.3B29,8200.04%EQ
190
NEWCameco Corporation
com13321L108$2.3B48,1590.04%EQ
191
NEWIllinois Tool Works
com452308109$2.3B8,7400.04%EQ
192
NEWIDEXX Labs
com45168D104$2.1B4,2230.04%EQ
193
NEWTractor Supply Company
com892356106$2.1B7,1810.03%EQ
194
NEWRoss Stores
com778296103$2.1B13,7410.03%EQ
195
NEWKKR & Co Inc
com48251W104$2.1B15,8220.03%EQ
196
NEWVanguard FTSE All-World Ex-US
com922042775$2.0B32,5390.03%EQ
197
NEWWaters Corp
com941848103$2.0B5,6750.03%EQ
198
NEWCSX
com126408103$2.0B59,0740.03%EQ
199
NEWMedtronic PLC
comG5960L103$2.0B22,5600.03%EQ
200
NEWRegeneron Pharmaceuticals Inc
com75886F107$2.0B1,9080.03%EQ
201
NEWGeneral Dynamics
com369550108$2.0B6,5200.03%EQ
202
NEWBlackRock Inc
com09247X101$2.0B2,0720.03%EQ
203
NEWVerizon
com92343V104$2.0B43,7560.03%EQ
204
NEWTrane Technologies
comG8994E103$1.9B5,0160.03%EQ
205
NEWBristol-Myers Squibb
com110122108$1.9B37,6150.03%EQ
206
NEWAirbnb Inc
com009066101$1.9B15,2070.03%EQ
207
NEWDiamondback Energy Inc
com25278X109$1.9B11,0150.03%EQ
208
NEWEversource Energy
com30040W108$1.9B27,3870.03%EQ
209
NEWEQT Corp
com26884L109$1.9B50,8000.03%EQ
210
NEWOmnicom
com681919106$1.9B17,9750.03%EQ
211
NEWPNC Financial
com693475105$1.9B10,0490.03%EQ
212
NEWVerra Mobility Corp
com92511U102$1.8B66,0150.03%EQ
213
NEWDuke Energy
com26441C204$1.8B15,7790.03%EQ
214
NEWTeledyne Technologies
com879360105$1.8B4,0710.03%EQ
215
NEWMorgan Stanley
com617446448$1.8B17,0420.03%EQ
216
NEWPayPal Holdings
com70450Y103$1.8B22,6910.03%EQ
217
NEWFreeport McMoRan
com35671D857$1.8B35,2160.03%EQ
218
NEWHubbell Inc
com443510607$1.7B3,9700.03%EQ
219
NEWEquifax
com294429105$1.7B5,7290.03%EQ
220
NEWSelect Sector S&P Technology I
com81369Y803$1.7B7,4330.03%EQ
221
NEWTechnipFMC PLC
comG87110105$1.7B63,6790.03%EQ
222
NEWPaylocity Holding Corp
com70438V106$1.7B10,0840.03%EQ
223
NEWAFLAC
com001055102$1.7B14,8690.03%EQ
224
NEWEast West Bancorp
com27579R104$1.7B20,0840.03%EQ
225
NEWDow Inc
com260557103$1.6B29,7660.03%EQ
226
NEWAltria Group Inc
com02209S103$1.6B31,6100.03%EQ
227
NEWChurch & Dwight
com171340102$1.6B15,3470.03%EQ
228
NEWiShares S&P 500 Growth Index F
com464287309$1.6B16,7810.03%EQ
229
NEWAcademy Sport and Outdoors Inc
com00402L107$1.6B27,4000.03%EQ
230
NEWAmer Tower Cl A
com03027X100$1.6B6,8400.03%EQ
231
NEWValmont Industries Inc
com920253101$1.6B5,4400.03%EQ
232
NEWLabcorp Holdings Inc
com504922105$1.6B6,9930.03%EQ
233
NEWiShares Nasdaq Biotechnology I
com464287556$1.6B10,6620.03%EQ
234
NEWiShares MSCI India ETF
com46429b598$1.6B26,5050.03%EQ
235
NEWL3Harris Technologies Inc
com502431109$1.6B6,5200.03%EQ
236
NEWCVS Health Corp
com126650100$1.5B24,2260.03%EQ
237
NEWM&T Bank
com55261F104$1.5B8,4080.03%EQ
238
NEWiShares MSCI Emerg Mkts ETF
com464287234$1.5B32,3710.02%EQ
239
NEWSPDR S&P Fossil Fuel Reserve E
com78468R796$1.5B31,3620.02%EQ
240
NEWFedEx Corporation
com31428X106$1.5B5,3860.02%EQ
241
NEWUnited Parcel Service Class B
com911312106$1.5B10,8000.02%EQ
242
NEWDiamonds Trust Ser 1
com78467X109$1.5B3,4570.02%EQ
243
NEWHunt JB Transport Services
com445658107$1.5B8,4360.02%EQ
244
NEWiShares Russell 1000 Value Ind
com464287598$1.4B7,4380.02%EQ
245
NEWAltair Engineering
com021369103$1.4B14,6360.02%EQ
246
NEWLantheus Holdings Inc
com516544103$1.4B12,5010.02%EQ
247
NEWGrainger W W
com384802104$1.4B1,3140.02%EQ
248
NEWTesla Inc
com88160R101$1.4B5,1620.02%EQ
249
NEWBooking Holdings Inc
com09857L108$1.3B3180.02%EQ
250
NEWSynopsys Inc
com871607107$1.3B2,6220.02%EQ
251
NEWFirstService Corp
com33767E202$1.3B7,2440.02%EQ
252
NEWHershey Co
com427866108$1.3B6,8870.02%EQ
253
NEWPaychex
com704326107$1.3B9,7700.02%EQ
254
NEWSchwab US Large Cap ETF
com808524201$1.3B19,1700.02%EQ
255
NEWRepligen Corp
com759916109$1.3B8,5820.02%EQ
256
NEWiShares Russell Midcap Growth
com464287481$1.3B10,8640.02%EQ
257
NEWGE Vernova Inc
com36828A101$1.2B4,8770.02%EQ
258
NEWYum Brands Inc
com988498101$1.2B8,6310.02%EQ
259
NEWAdvanced Micro Devices Inc
com007903107$1.2B7,3420.02%EQ
260
NEWSpotify Technology
comL8681T102$1.2B3,2640.02%EQ
261
NEWRepublic Services
com760759100$1.2B5,9480.02%EQ
262
NEWO'Reilly Automotive
com67103H107$1.2B1,0240.02%EQ
263
NEWProgressive
com743315103$1.2B4,6100.02%EQ
264
NEWSPDR S&P 400 ETF Trust
com78467Y107$1.2B2,0480.02%EQ
265
NEWHyatt Hotels Corp Cl A
com448579102$1.1B7,5200.02%EQ
266
NEWAxogen Inc
com05463X106$1.1B81,1640.02%EQ
267
NEWCorning
com219350105$1.1B24,9760.02%EQ
268
NEWNetflix
com64110L106$1.1B1,5670.02%EQ
269
NEWiShares Russell Midcap Value I
com464287473$1.1B8,3890.02%EQ
270
NEWAmerican Water Works Company I
com030420103$1.1B7,4890.02%EQ
271
NEWNordson Corp
com655663102$1.1B4,1240.02%EQ
272
NEWSector SPDR Indl Select of Ben
com81369Y704$1.1B7,9740.02%EQ
273
NEWServiceNow Inc
com81762P102$1.1B1,2010.02%EQ
274
NEWPultegroup Inc.
com745867101$1.1B7,4050.02%EQ
275
NEWPrice T Rowe Group Inc
com74144T108$1.1B9,6890.02%EQ
276
NEWViper Energy Inc
com927959106$1.1B23,3690.02%EQ
277
NEWStanley Black & Decker Inc
com854502101$1.0B9,5130.02%EQ
278
NEWAvery Dennison
com053611109$1.0B4,7170.02%EQ
279
NEWCheck Point Software
comM22465104$1.0B5,2010.02%EQ
280
NEWEnergy Select Sector SPDR
com81369Y506$995.8M11,3420.02%EQ
281
NEWPhillips 66
com718546104$992.6M7,5510.02%EQ
282
NEWOld Dominion Freight
com679580100$983.1M4,9490.02%EQ
283
NEWEdwards Lifesciences
com28176E108$979.6M14,8440.02%EQ
284
NEWMorningstar Inc
com617700109$964.1M3,0210.02%EQ
285
NEWMarathon Petroleum Corporation
com56585A102$955.9M5,8680.02%EQ
286
NEWJFrog Ltd
comM6191J100$955.8M32,9120.02%EQ
287
NEWBaxter International
com071813109$943.1M24,8370.02%EQ
288
NEWKeysight Technologies Inc
com49338L103$932.9M5,8700.02%EQ
289
NEWCummins Inc
com231021106$929.0M2,8690.02%EQ
290
NEWiShares Core MSCI EAFE ETF
com46432F842$922.0M11,8130.02%EQ
291
NEWishares MSCI Japanese Index Fu
com46434G822$913.2M12,7650.02%EQ
292
NEWSelect Sector S&P Consumer Ind
com81369Y407$912.9M4,5560.02%EQ
293
NEWSPDR S&P Dividend ETF
com78464A763$904.1M6,3650.02%EQ
294
NEWiShares Core S&P 600 Small Cap
com464287804$902.6M7,7170.02%EQ
295
NEWPotlatch Corporation
com737630103$895.5M19,8780.01%EQ
296
NEWIntel
com458140100$884.1M37,6870.01%EQ
297
NEWThomson Reuters Corporation
com884903808$883.5M5,1790.01%EQ
298
NEWPrivia Health Group
com74276R102$872.7M47,9260.01%EQ
299
NEWAutodesk
com052769106$861.7M3,1280.01%EQ
300
NEWiShares DJ Select Dividend Ind
com464287168$857.7M6,3500.01%EQ
301
NEWVerisk Analytics Inc
com92345Y106$850.8M3,1750.01%EQ
302
NEWBio-Techne Corp
com09073M104$850.4M10,6390.01%EQ
303
NEWTapestry Inc
com876030107$845.6M18,0000.01%EQ
304
NEWMarriott International
com571903202$840.5M3,3810.01%EQ
305
NEWSouthern Co
com842587107$837.8M9,2900.01%EQ
306
NEWIshares S&P NA Technology Sect
com464287549$836.9M8,7230.01%EQ
307
NEWVertex Pharmaceuticals Inc
com92532F100$835.3M1,7960.01%EQ
308
NEWKeyCorp
com493267108$833.8M49,7800.01%EQ
309
NEWLeidos Holdings Inc
com525327102$832.4M5,1070.01%EQ
310
NEWBarrick Gold Corp
com067901108$830.2M41,7410.01%EQ
311
NEWRaymond James Financial Inc
com754730109$822.3M6,7150.01%EQ
312
NEWMaterion Corp
com576690101$783.0M7,0000.01%EQ
313
NEWiShares Dow Jones US Technolog
com464287721$778.0M5,1310.01%EQ
314
NEWRoper Industries Inc
com776696106$777.3M1,3970.01%EQ
315
NEWVanguard ESG US Stock ETF
com921910733$758.8M7,4650.01%EQ
316
NEWSelect Sector S&P Health Care
com81369Y209$755.0M4,9020.01%EQ
317
NEWEastman Chemical
com277432100$734.1M6,5570.01%EQ
318
NEWDover Corp
com260003108$726.9M3,7910.01%EQ
319
NEWPublic Service Enterprise
com744573106$724.6M8,1220.01%EQ
320
NEWMSCI EAFE Fossil Fuel Free ETF
com78470E106$719.1M16,4400.01%EQ
321
NEWHeico Corp
com422806109$715.9M2,7380.01%EQ
322
NEWSprott Physical Gold Trust
com85207H104$715.8M35,1220.01%EQ
323
NEWIntercontinentalExchange Group
com45866F104$710.7M4,4240.01%EQ
324
NEWiShares S&P SmallCap 600 Growt
com464287887$697.3M4,9990.01%EQ
325
NEWPPG Industries
com693506107$693.2M5,2330.01%EQ
326
NEWSLB
com806857108$685.1M16,3300.01%EQ
327
NEWHenry Schein
com806407102$682.1M9,3560.01%EQ
328
NEWAT & T
com00206R102$681.9M30,9950.01%EQ
329
NEWShell Plc ADR
com780259305$679.0M10,2960.01%EQ
330
NEWZimmer Biomet Holdings Inc
com98956P102$672.3M6,2280.01%EQ
331
NEWiShares TR Russell 2000 Growth
com464287648$654.3M2,3040.01%EQ
332
NEWAlerian MLP
com00162Q452$639.5M13,5690.01%EQ
333
NEWBroadridge Financial Solutions
com11133T103$636.1M2,9580.01%EQ
334
NEWToyota Motor
com892331307$635.2M3,5570.01%EQ
335
NEWInternational Paper
com460146103$617.1M12,6330.01%EQ
336
NEWVanguard REIT Index ETF
com922908553$615.9M6,3220.01%EQ
337
NEWMSCI Inc
com55354G100$614.4M1,0540.01%EQ
338
NEWiShares S&P MidCap 400 Value I
com464287705$603.0M4,8780.01%EQ
339
NEWHumana
com444859102$600.9M1,8970.01%EQ
340
NEWDiageo Plc ADR
com25243Q205$596.2M4,2480.01%EQ
341
NEWHP Inc
com40434L105$595.2M16,5920.01%EQ
342
NEWFair Isaac Corp
com303250104$585.0M3010.01%EQ
343
NEWWEC Energy Group Inc
com92939U106$581.6M6,0470.01%EQ
344
NEWTransdigm Group Inc
com893641100$570.9M4000.01%EQ
345
NEWCorteva Inc
com22052L104$565.6M9,6200.01%EQ
346
NEWCullen/Frost Bankers
com229899109$565.1M5,0520.01%EQ
347
NEWEbay
com278642103$560.1M8,6020.01%EQ
348
NEWSchwab International Equity ET
com808524805$557.5M13,5590.01%EQ
349
NEWWR Berkley Corporation
com084423102$553.0M9,7470.01%EQ
350
NEWN B T Bankcorp Inc
com628778102$546.9M12,3640.01%EQ
351
NEWMicrochip Technology
com595017104$539.1M6,7140.01%EQ
352
NEWCoterra Energy Inc
com127097103$535.7M22,3690.01%EQ
353
NEWVanguard High Dvd Yield ETF
com921946406$532.5M4,1530.01%EQ
354
NEWThe Charles Schwab Corp
com808513105$527.7M8,1420.01%EQ
355
NEWAstrazeneca PLC Sponsored ADR
com046353108$515.1M6,6120.01%EQ
356
NEWLAM Research Corp
com512807108$512.5M6280.01%EQ
357
NEWXCEL Energy
com98389B100$510.3M7,8150.01%EQ
358
NEWSolventum Corporation
com83444M101$509.9M7,3130.01%EQ
359
NEWMoody's Corp
com615369105$509.2M1,0730.01%EQ
360
NEWUlta Salon Cosmetics and Fragr
com90384S303$491.5M1,2630.01%EQ
361
NEWGraco Inc
com384109104$480.3M5,4880.01%EQ
362
NEWEquinix Inc
com29444U700$470.4M5300.01%EQ
363
NEWAllstate
com020002101$462.6M2,4390.01%EQ
364
NEWNucor
com670346105$462.0M3,0730.01%EQ
365
NEWIngersoll Rand Inc
com45687V106$461.1M4,6970.01%EQ
366
NEWWilliams Cos
com969457100$458.6M10,0460.01%EQ
367
NEWJacobs Solutions Inc
com46982L108$456.1M3,4840.01%EQ
368
NEWiShares Core S&P U.S. Value
com464287663$451.5M4,7280.01%EQ
369
NEWVanguard Growth ETF
com922908736$448.4M1,1680.01%EQ
370
NEWSimon Property Group
com828806109$445.9M2,6380.01%EQ
371
NEWVanguard Value ETF
com922908744$443.2M2,5390.01%EQ
372
NEWOccidental Petroleum
com674599105$438.6M8,5090.01%EQ
373
NEWiShares MSCI USA ESG Select
com464288802$433.3M3,6000.01%EQ
374
NEWPrudential Financial Inc
com744320102$430.5M3,5550.01%EQ
375
NEWiShares US Real Estate ETF
com464287739$421.1M4,1340.01%EQ
376
NEWNorthern Trust Corp
com665859104$419.5M4,6600.01%EQ
377
NEWGenuine Parts
com372460105$416.0M2,9780.01%EQ
378
NEWChewy Inc. Class A
com16679l109$405.2M13,8330.01%EQ
379
NEWEmcorp Group Inc
com29084Q100$404.7M9400.01%EQ
380
NEWCanadian Pacific Kansas City L
com13646K108$401.8M4,6970.01%EQ
381
NEWSector SPDR TR Con Stpls of Be
com81369Y308$401.1M4,8320.01%EQ
382
NEWClean Harbors
com184496107$399.5M1,6530.01%EQ
383
NEWRPM International Inc
com749685103$399.5M3,3020.01%EQ
384
NEWSchwab International Small Cap
com808524888$393.6M10,2150.01%EQ
385
NEWLamar Advertising Co
com512816109$388.6M2,9090.01%EQ
386
NEWSmucker
com832696405$388.1M3,2050.01%EQ
387
NEWUnilever Plc Sponsored ADR
com904767704$383.9M5,9100.01%EQ
388
NEWGen Digital Inc
com668771108$383.3M13,9720.01%EQ
389
NEWBrookfield Corporation
com11271J107$380.8M7,1650.01%EQ
390
NEWShift4 Payments Inc Cl A
com82452J109$365.8M4,1290.01%EQ
391
NEWiShares North America Tech
com464287515$365.1M4,0850.01%EQ
392
NEWCognizant Technology Solutions
com192446102$364.4M4,7210.01%EQ
393
NEWAgilent Technologies
com00846U101$363.3M2,4470.01%EQ
394
NEWApollo Global Management A
com03769M106$362.6M2,9030.01%EQ
395
NEWAon Plc Class A Ordinary Share
comG0403H108$362.3M1,0470.01%EQ
396
NEWToast Inc Cl A
com888787108$349.4M12,3410.01%EQ
397
NEWValvoline Inc
com92047W101$347.6M8,3060.01%EQ
398
NEWCharter Communications
com16119P108$344.5M1,0630.01%EQ
399
NEWDell Technologies - C
com24703L202$335.2M2,8280.01%EQ
400
NEWArch Capital Group Ltd
comG0450A105$333.7M2,9830.01%EQ
401
NEWHewlett Packard Enterprise Co
com42824C109$329.5M16,1050.01%EQ
402
NEWWebster Financial
com947890109$329.1M7,0600.01%EQ
403
NEWiShares S&P Global Healthcare
com464287325$328.5M3,3470.01%EQ
404
NEWOn Holding AG Cl A
comH5919C104$325.8M6,4970.01%EQ
405
NEWLuna Innovations Inc.
com550351100$317.1M134,9550.01%EQ
406
NEWElevance Health Inc
com036752103$312.5M6010.01%EQ
407
NEWCencora Inc
com03073E105$308.9M1,3720.01%EQ
408
NEWCelanese Corporation
com150870103$305.2M2,2450.01%EQ
409
NEWCogent Communications Group
com19239V302$299.7M3,9470.01%EQ
410
NEWCadence Design System
com127387108$298.1M1,1000.00%EQ
411
NEWBroadstone Net Lease Inc
com11135E203$297.4M15,6950.00%EQ
412
NEWBlock Inc
com852234103$292.8M4,3620.00%EQ
413
NEWiShares Tr S&P 100 Index
com464287101$287.6M1,0390.00%EQ
414
NEWICON Plc
comG4705A100$287.3M1,0000.00%EQ
415
NEWiShares S&P SmallCap 600 Value
com464287879$285.9M2,6560.00%EQ
416
NEWCaseys General Stores
com147528103$285.5M7600.00%EQ
417
NEWEnphase Energy Inc
com29355A107$284.7M2,5190.00%EQ
418
NEWMotorola Solutions Inc
com620076307$284.6M6330.00%EQ
419
NEWFactset Resh Systems Inc
com303075105$284.2M6180.00%EQ
420
NEWMetlife Inc
com59156R108$280.8M3,4040.00%EQ
421
NEWAlign Technology Inc
com016255101$279.0M1,0970.00%EQ
422
NEWElectronic Arts
com285512109$277.4M1,9340.00%EQ
423
NEWManhattan Associates
com562750109$276.6M9830.00%EQ
424
NEWInvesco S&P 500 Pure Growth
com46137V266$276.5M7,0400.00%EQ
425
NEWChemed Corp
com16359R103$273.4M4550.00%EQ
426
NEWKellanova
com487836108$272.7M3,3790.00%EQ
427
NEWArcher-Daniels-Midland
com039483102$272.7M4,5640.00%EQ
428
NEWEastGroup Properties Inc REIT
com277276101$271.8M1,4550.00%EQ
429
NEWAshland Global Holdings Inc
com044186104$267.1M3,0710.00%EQ
430
NEWPrologis Inc
com74340W103$263.2M2,0840.00%EQ
431
NEWiShares Core Dividend Growth
com46434V621$262.8M4,1920.00%EQ
432
NEWTextron
com883203101$260.1M2,9360.00%EQ
433
NEWVanguard Mid-Cap Value
com922908512$255.4M1,5230.00%EQ
434
NEWLincoln National
com534187109$252.4M8,0100.00%EQ
435
NEWAmerican Electric Power
com025537101$241.9M2,3580.00%EQ
436
NEWQuest Diagnostics
com74834L100$240.3M1,5480.00%EQ
437
NEWConsolidated Edison
com209115104$236.1M2,2680.00%EQ
438
NEWPentair Plc
comG7S00T104$232.3M2,3750.00%EQ
439
NEWClorox
com189054109$230.7M1,4160.00%EQ
440
NEWFidelity Natl Information Svcs
com31620M106$229.6M2,7410.00%EQ
441
NEWWestern Midstream Partners LP
com958669103$229.3M5,9930.00%EQ
442
NEWRockwell Automation Inc
com773903109$227.2M8460.00%EQ
443
NEWCincinnati Financial Corp
com172062101$226.8M1,6660.00%EQ
444
NEWAptiv Plc
comG6095L109$223.2M3,0990.00%EQ
445
NEWShake Shack Inc
com819047101$222.2M2,1530.00%EQ
446
NEWiShares S&P Midcap 400 Growth
com464287606$221.4M2,4080.00%EQ
447
NEWGSK Plc
com37733W204$217.6M5,3220.00%EQ
448
NEWGlobal X S&P 500 Catholic Valu
com37954Y889$217.3M3,1320.00%EQ
449
NEWBoeing
com097023105$208.7M1,3730.00%EQ
450
NEWVanguard Large Cap ETF
com922908637$208.5M7920.00%EQ
451
NEWEnergy Transfer LP
com29273V100$208.5M12,9900.00%EQ
452
NEWCMS Energy
com125896100$208.4M2,9500.00%EQ
453
NEWDelta Airlines
com247361702$204.4M4,0240.00%EQ
454
NEWInvesco S&P 100 Equal Weight
com46137V449$204.2M1,9960.00%EQ
455
NEWLexington Realty Trust
com529043101$184.4M18,3500.00%EQ
456
NEWClarivate Plc
comG21810109$80.3M11,3150.00%EQ
457
NEWCytoSorbents Corp
com23283X206$15.0M10,0000.00%EQ
Fund Intelligence | Institutional Investment Analytics