| Ticker | $ Bought |
|---|---|
| qxo inc com new | 11,842,000 |
| solventum corp com shs | 7,008,000 |
| progressive corp com | 455,000 |
| brookfield corp cl a ltd vt sh | 358,000 |
| profesionally managed portfoli | 344,000 |
| nextera energy inc com | 321,000 |
| qnity electronics inc common s | 309,000 |
| expedia group inc com new | 280,000 |
| Ticker | % Inc. |
|---|---|
| netflix inc com | 916 |
| honeywell intl inc com | 642 |
| servicenow inc com | 353 |
| t-mobile us inc com | 105 |
| select sector spdr tr energy | 101 |
| select sector spdr tr sbi int- | 96.42 |
| select sector spdr tr state st | 86.18 |
| accenture plc ireland shs clas | 35.58 |
| Ticker | % Reduced |
|---|---|
| global x fds us pfd etf | -34.8 |
| ishares tr s&p 500 val etf | -34.25 |
| vanguard world fd inf tech etf | -28.64 |
| rli corp com | -23.52 |
| ishares tr u.s. energy etf | -18.15 |
| vanguard intl equity index fds | -15.21 |
| ishares tr core univrsl usd | -14.98 |
| coca cola co com | -13.89 |
| Ticker | $ Sold |
|---|---|
| chipotle mexican grill inc | -8,189,000 |
| broadstone net lease inc | -654,000 |
| first trust nasdaq clean edge | -351,000 |
| marvell technology inc | -270,000 |
| ishares msci usa min vol facto | -203,000 |
| ishares core u.s. aggregate bo | -201,000 |
| united rentals inc | -200,000 |
APPLETON PARTNERS INC/MA has about 34.3% of it's holdings in Others sector.
| Sector | % |
|---|---|
| Others | 34.3 |
| Technology | 21.7 |
| Financial Services | 11.3 |
| Communication Services | 7.2 |
| Healthcare | 6.7 |
| Consumer Cyclical | 6.4 |
| Industrials | 5.1 |
| Consumer Defensive | 3.3 |
| Basic Materials | 2 |
| Real Estate | 1.6 |
APPLETON PARTNERS INC/MA has about 62.8% of it's portfolio invested in the large-cap and mega-cap stocks.
| Category | % |
|---|---|
| MEGA-CAP | 35.7 |
| UNALLOCATED | 34.6 |
| LARGE-CAP | 27.1 |
| MID-CAP | 1.6 |
| MICRO-CAP | 1.1 |
About 62.3% of the stocks held by APPLETON PARTNERS INC/MA either belong to S&P 500 or RUSSELL 2000 index.
| Index | % |
|---|---|
| S&P 500 | 61.2 |
| Others | 37.8 |
| RUSSELL 2000 | 1.1 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
APPLETON PARTNERS INC/MA has 263 stocks in it's portfolio. About 31.9% of the portfolio is in top 10 stocks. NFLX proved to be the most loss making stock for the portfolio. MU was the most profitable stock for APPLETON PARTNERS INC/MA last quarter.
Last Reported on: 09 Jan, 2026| Ticker | Namesorted ascending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
|---|---|---|---|---|---|---|---|---|
| AAPL | apple inc com | 6.12 | 341,715 | 92,899,000 | reduced | -1.83 | ||
| ABBV | abbvie inc com | 0.51 | 34,177 | 7,809,000 | reduced | -11.12 | ||
| ABT | abbott labs com | 0.11 | 13,856 | 1,736,000 | added | 0.72 | ||
| ACN | accenture plc ireland shs clas | 0.05 | 2,774 | 744,000 | added | 35.58 | ||
| ACWF | ishares tr core univrsl usd | 0.05 | 16,680 | 776,000 | reduced | -14.98 | ||
| ACWV | ishares inc msci gbl min vol | 0.03 | 3,575 | 425,000 | unchanged | 0.00 | ||
| ACWV | ishares inc msci emerg mrkt | 0.02 | 4,987 | 319,000 | unchanged | 0.00 | ||
| ADBE | adobe inc com | 0.08 | 3,346 | 1,171,000 | reduced | -3.32 | ||
| ADM | archer daniels midland co com | 0.04 | 9,282 | 534,000 | reduced | -2.26 | ||
| ADP | automatic data processing inc | 0.14 | 8,102 | 2,084,000 | added | 2.44 | ||
| ADSK | autodesk inc com | 0.54 | 27,457 | 8,128,000 | added | 11.31 | ||
| AFL | aflac inc com | 0.04 | 4,863 | 536,000 | unchanged | 0.00 | ||
| AGNG | global x fds us pfd etf | 0.07 | 55,536 | 1,050,000 | reduced | -34.8 | ||
| AGNG | global x fds vdeo gam esprt | 0.02 | 12,157 | 362,000 | unchanged | 0.00 | ||
| AGT | ishares tr core intl aggr | 0.45 | 135,723 | 6,788,000 | added | 4.19 | ||
| AGT | ishares tr esg aw msci eafe | 0.03 | 4,664 | 443,000 | added | 0.32 | ||
| AGZD | wisdomtree tr us midcap divid | 0.02 | 4,689 | 242,000 | unchanged | 0.00 | ||
| AJG | gallagher arthur j & co com | 0.84 | 49,292 | 12,756,000 | added | 0.9 | ||
| ALTS | proshares tr sp500 ex enrgy | 0.02 | 3,321 | 245,000 | unchanged | 0.00 | ||
| AMGN | amgen inc com | 0.11 | 5,302 | 1,735,000 | reduced | -1.39 | ||