Ticker | $ Bought |
---|---|
credo technology group holding ordinary shares | 437,025 |
tractor supply company | 352,241 |
oracle corporation | 285,351 |
invesco qqq tr | 212,788 |
carrier global corporation | 212,492 |
williams sonoma incorporated | 202,999 |
vicor corporation | 201,852 |
travelers companies incorporated | 200,031 |
Ticker | % Reduced |
---|---|
intercontinental exchange incorporated | -84.53 |
tjx companies incorporated new | -72.44 |
air products & chemicals incorporated | -51.76 |
marathon pete corporation | -49.32 |
icon plc shs | -30.24 |
lauder estee companies incorporated class a | -29.97 |
cvs health corporation | -28.46 |
halliburton company | -28.09 |
Ticker | $ Sold |
---|---|
chubb limited | -6,510,420 |
intel corporation | -215,638 |
bp plc sponsored adr | -202,818 |
phillips 66 | -205,452 |
CULLEN INVESTMENT GROUP, LTD. has about 22.3% of it's holdings in Technology sector.
Sector | % |
---|---|
Technology | 22.3 |
Industrials | 14.4 |
Others | 11.8 |
Financial Services | 11.5 |
Healthcare | 9.2 |
Consumer Cyclical | 8 |
Consumer Defensive | 7.5 |
Energy | 6.4 |
Communication Services | 5.7 |
Utilities | 1.7 |
CULLEN INVESTMENT GROUP, LTD. has about 86.2% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
LARGE-CAP | 43.6 |
MEGA-CAP | 42.6 |
UNALLOCATED | 11.8 |
MID-CAP | 1.3 |
About 85% of the stocks held by CULLEN INVESTMENT GROUP, LTD. either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
S&P 500 | 85 |
Others | 14.1 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
CULLEN INVESTMENT GROUP, LTD. has 173 stocks in it's portfolio. About 39% of the portfolio is in top 10 stocks. AAPL proved to be the most loss making stock for the portfolio. JNJ was the most profitable stock for CULLEN INVESTMENT GROUP, LTD. last quarter.
Last Reported on: 01 Jul, 2025Ticker | Namesorted descending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
berkshire hathaway incorporated del class b new | 6.68 | 97,409 | 47,318,400 | reduced | -0.03 | |||
MSFT | microsoft corporation | 6.22 | 88,611 | 44,076,200 | added | 0.78 | ||
AAPL | apple incorporated | 6.13 | 211,592 | 43,412,300 | added | 0.3 | ||
WMT | walmart incorporated | 4.52 | 327,474 | 32,020,400 | added | 0.71 | ||
JPM | jpmorgan chase & company. | 4.24 | 103,470 | 29,997,000 | added | 1.75 | ||
ETN | eaton corporation plc shs | 3.69 | 73,260 | 26,153,100 | added | 2.04 | ||
AVGO | broadcom incorporated | 3.28 | 84,170 | 23,201,400 | added | 3.45 | ||
NVDA | nvidia corporation | 2.51 | 112,430 | 17,762,900 | added | 0.27 | ||
GOOG | alphabet incorporated cap stk class c | 2.36 | 94,105 | 16,693,300 | reduced | -0.98 | ||
AMZN | amazon com incorporated | 1.77 | 57,202 | 12,549,500 | added | 1.56 | ||
DE | deere & company | 1.73 | 24,153 | 12,281,600 | reduced | -3.96 | ||
UNP | union pac corporation | 1.68 | 51,729 | 11,901,800 | added | 3.87 | ||
TT | trane technologies plc shs | 1.65 | 26,762 | 11,706,100 | reduced | -1.14 | ||
XOM | exxon mobil corporation | 1.59 | 104,777 | 11,295,000 | added | 9.29 | ||
MSI | motorola solutions incorporated com new | 1.50 | 25,322 | 10,647,000 | added | 7.94 | ||
V | visa incorporated com class a | 1.43 | 28,545 | 10,134,800 | reduced | -4.99 | ||
PEP | pepsico incorporated | 1.42 | 76,100 | 10,048,200 | added | 136 | ||
JCI | johnson controls international plc shs | 1.39 | 93,142 | 9,837,690 | added | 6.05 | ||
LLY | eli lilly & company | 1.38 | 12,502 | 9,745,910 | reduced | -1.35 | ||
MRK | merck & company incorporated | 1.35 | 120,426 | 9,532,900 | added | 9.29 | ||