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Latest Boltwood Capital Management Stock Portfolio

Boltwood Capital Management Performance:
2026 Q1: -0.48%YTD: -0.48%2025: 16.17%

Performance for 2026 Q1 is -0.48%, and YTD is -0.48%, and 2025 is 16.17%.

About Boltwood Capital Management and 13F Hedge Fund Stock Holdings

On 2026-04-08, the fund reported it's updated stock portfolio. In the 13F Holdings report, Boltwood Capital Management reported an equity portfolio of $392.1 Millions as of 31 Mar, 2026.

The top stock holdings of Boltwood Capital Management are FNDA, ASET, AAXJ. The fund has invested 7.2% of it's portfolio in SCHWAB STRATEGIC TR and 5.6% of portfolio in FLEXSHARES TR.

The fund managers got completely rid off SERVICENOW INC (NOW), TRUIST FINL CORP (TFC) and ISHARES TR (IJR) stocks. They significantly reduced their stock positions in MARSH & MCLENNAN COS INC (MMC), FLEXSHARES TR (ASET) and NORFOLK SOUTHN CORP (NSC). Boltwood Capital Management opened new stock positions in CORNING INC (GLW), SHELL PLC (SHEL) and SANDISK CORP. The fund showed a lot of confidence in some stocks as they added substantially to ISHARES TR (AMPS), MEDTRONIC PLC (MDT) and INTUIT (INTU).

Boltwood Capital Management Annual Return Estimates Vs S&P 500

Our best estimate is that Boltwood Capital Management made a return of -0.48% in the last quarter. In trailing 12 months, it's portfolio return was 15.67%.
  • Performance
  • S&P 500

New Buys

Ticker$ Bought
corning inc257,663
shell plc230,175
sandisk corp219,192
ge vernova inc213,861
ishares inc211,145

New stocks bought by Boltwood Capital Management

Additions to existing portfolio by Boltwood Capital Management

Reductions

Ticker% Reduced
marsh & mclennan cos inc-33.65
flexshares tr-20.53
norfolk southn corp-19.14
flexshares tr-8.43
chipotle mexican grill inc-7.71
caterpillar inc-3.5
flexshares tr-3.43
abbott laboratories-3.04

Boltwood Capital Management reduced stake in above stock

Sold off

Ticker$ Sold
truist finl corp-210,127
ishares tr-209,748
servicenow inc-297,342

Boltwood Capital Management got rid off the above stocks

Sector Distribution

Boltwood Capital Management has about 64.9% of it's holdings in Others sector.

Sector%
Others64.9
Technology10.7
Financial Services4.9
Communication Services3.6
Consumer Cyclical3.2
Industrials3.1
Healthcare2.9
Consumer Defensive2.5
Energy2.4
Utilities1.4

Market Cap. Distribution

Boltwood Capital Management has about 34.1% of it's portfolio invested in the large-cap and mega-cap stocks.

Category%
UNALLOCATED64.8
MEGA-CAP23.9
LARGE-CAP10.2
MID-CAP1.2

Stocks belong to which Index?

About 34.9% of the stocks held by Boltwood Capital Management either belong to S&P 500 or RUSSELL 2000 index.

Index%
Others65.1
S&P 50033.7
RUSSELL 20001.2
Top 5 Winners (%)%
XOM
exxon mobil corp
40.9 %
HAL
halliburton co
37.8 %
XLB
select sector spdr tr
37.0 %
VAW
vanguard world fd
36.9 %
CVX
chevron corporation
35.7 %
Top 5 Winners ($)$
XOM
exxon mobil corp
1.3 M
CVX
chevron corporation
1.2 M
ASET
flexshares tr
1.1 M
CAT
caterpillar inc
1.0 M
FNDA
schwab strategic tr
0.8 M
Top 5 Losers (%)%
reddit inc
-41.4 %
ADBE
adobe inc
-30.1 %
INTU
intuit
-29.8 %
CRM
salesforce inc
-29.5 %
ACN
accenture plc ireland
-25.9 %
Top 5 Losers ($)$
MSFT
microsoft corp
-2.1 M
CRM
salesforce inc
-0.7 M
GOOG
alphabet inc
-0.7 M
AAPL
apple inc
-0.7 M
NVDA
nvidia corporation
-0.6 M

Boltwood Capital Management Holdings Map

This heatmap illustrates the top 50 positions within the fund's portfolio.

Current Stock Holdings of Boltwood Capital Management

Boltwood Capital Management has 184 stocks in it's portfolio. About 33.7% of the portfolio is in top 10 stocks. MSFT proved to be the most loss making stock for the portfolio. XOM was the most profitable stock for Boltwood Capital Management last quarter.

Last Reported on: 08 Apr, 2026
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions