| Ticker | $ Bought |
|---|---|
| salesforce.com inc | 2,863,000 |
| eversource energy | 1,478,000 |
| alliancebernstein holding l.p. | 594,000 |
| intuit inc | 362,000 |
| vanguard information technology etf | 319,000 |
| veralto ord wi | 238,000 |
| vanguard russell 2000 etf | 190,000 |
| genuine parts co | 139,000 |
| Ticker | % Inc. |
|---|---|
| webster financial corp | 48,000 |
| vanguard growth etf | 13,542 |
| microsoft corp | 10,177 |
| windswept environmental group inc. | 8,547 |
| toronto-dominion bank | 7,088 |
| novartis ag adr | 6,487 |
| abbvie inc | 6,418 |
| pfizer inc | 5,341 |
| Ticker | % Reduced |
|---|---|
| bank of nova scotia | -99.42 |
| talen energy corp | -90.25 |
| ameren corp | -83.93 |
| vanguard small cap etf | -78.96 |
| ishares nasdaq biotechnology | -77.82 |
| vanguard reit etf | -72.62 |
| zoetis inc | -63.87 |
| ppl corp | -40.00 |
| Ticker | $ Sold |
|---|---|
| fifth third bancorp | -1,193,000 |
| bankunited inc | -657,000 |
| washington trust bancorp inc | -496,000 |
| glacier bancorp inc | -668,000 |
| dime community bancshares inc | -226,000 |
| first bancorp | -339,000 |
| independent bank corp | -424,000 |
| city holding co | -612,000 |
RESOURCES MANAGEMENT CORP /CT/ /ADV has about 21.9% of it's holdings in Technology sector.
| Sector | % |
|---|---|
| Technology | 21.9 |
| Industrials | 13.8 |
| Others | 10.3 |
| Communication Services | 10.3 |
| Consumer Cyclical | 10.2 |
| Healthcare | 10.1 |
| Financial Services | 8.2 |
| Consumer Defensive | 6 |
| Energy | 3.6 |
| Utilities | 2.7 |
| Basic Materials | 1.9 |
| Real Estate | 1.1 |
RESOURCES MANAGEMENT CORP /CT/ /ADV has about 87.9% of it's portfolio invested in the large-cap and mega-cap stocks.
| Category | % |
|---|---|
| LARGE-CAP | 50.6 |
| MEGA-CAP | 37.3 |
| UNALLOCATED | 10.3 |
| MID-CAP | 1.8 |
About 86.9% of the stocks held by RESOURCES MANAGEMENT CORP /CT/ /ADV either belong to S&P 500 or RUSSELL 2000 index.
| Index | % |
|---|---|
| S&P 500 | 85.8 |
| Others | 13.1 |
| RUSSELL 2000 | 1.1 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
RESOURCES MANAGEMENT CORP /CT/ /ADV has 427 stocks in it's portfolio. About 28.9% of the portfolio is in top 10 stocks. MSFT proved to be the most loss making stock for the portfolio. VZ was the most profitable stock for RESOURCES MANAGEMENT CORP /CT/ /ADV last quarter.
Last Reported on: 14 Nov, 2025| Ticker | Namesorted ascending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
|---|---|---|---|---|---|---|---|---|
| AAL | adapthealth corp ordinary shares | 0.00 | 346 | 3,000 | added | 260 | ||
| AAPL | apple inc | 3.62 | 223,893 | 56,005,000 | added | 11.92 | ||
| AAXJ | ishares u.s. preferred stock etf | 0.01 | 5,020 | 158,000 | added | 93.08 | ||
| AAXJ | ishares us home construction etf | 0.00 | 16.00 | 2,000 | added | 100 | ||
| AB | travelers companies inc | 0.16 | 22,043 | 2,407,000 | added | 41.76 | ||
| ABBV | abbott laboratories | 1.73 | 137,566 | 26,689,000 | added | 61.06 | ||
| ABC | amerisourcebergen corp | 0.00 | 200 | 46,000 | added | 42.86 | ||
| ABR | ameren corp | 0.00 | 590 | 10,000 | added | 5.36 | ||
| ABT | air products & chemicals inc | 0.71 | 67,028 | 10,939,000 | added | 23.64 | ||
| ACN | analog devices inc | 1.06 | 66,630 | 16,418,000 | added | 34.29 | ||
| ACWF | ishares msci acwi low carbon target etf | 0.00 | 300 | 68,000 | new | |||
| ADI | analog devices inc | 0.35 | 55,147 | 5,370,000 | added | 251 | ||
| ADP | amphenol corp class a | 3.14 | 358,950 | 48,666,000 | added | 1,433 | ||
| AEE | ameren corp | 0.00 | 45.00 | 5,000 | reduced | -83.93 | ||
| AEP | american electric power co inc | 0.01 | 1,956 | 220,000 | added | 100 | ||
| AFL | bank of america corporation | 0.43 | 121,511 | 6,650,000 | added | 1,818 | ||
| AGNG | global x data cntr dgtl infr etf | 0.00 | 450 | 10,000 | added | 100 | ||
| AGT | ishares esg aware msci eafe etf | 0.00 | 174 | 16,000 | new | |||
| AGT | ishares esg aware msci usa etf | 0.00 | 62.00 | 10,000 | new | |||
| AHCO | adapthealth corp ordinary shares | 0.00 | 575 | 39,000 | added | 130 | ||