C000146537 Holdings — 1919 Socially Responsive Balanced Fund

All 209 reported holdings of 1919 Socially Responsive Balanced Fund (C000146537) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Microsoft Corp4.73%$35.88M
Apple Inc4.21%$31.95M
Alphabet Inc3.19%$24.22M
Fidelity Government Portfolio3.10%$23.53M
Amazon.com Inc2.56%$19.41M
Eli Lilly & Co2.06%$15.59M
Broadcom Inc2.01%$15.28M
NVIDIA Corp1.88%$14.30M
Eaton Corp PLC1.81%$13.70M
Palo Alto Networks Inc1.80%$13.63M
Boston Scientific Corp1.78%$13.52M
Cintas Corp1.77%$13.44M
Salesforce Inc1.60%$12.13M
Thermo Fisher Scientific Inc1.52%$11.50M
Netflix Inc1.51%$11.44M
Costco Wholesale Corp1.49%$11.31M
Bank of America Corp1.47%$11.14M
IQVIA Holdings Inc1.47%$11.12M
ServiceNow Inc1.37%$10.42M
Visa Inc1.37%$10.40M
UnitedHealth Group Inc1.36%$10.30M
Advanced Drainage Systems Inc1.35%$10.26M
US Treasury N/b1.33%$10.06M
Home Depot Inc/The1.31%$9.96M
American Water Works Co Inc1.30%$9.87M
Charles Schwab Corp/The1.25%$9.49M
TJX Cos Inc/The1.23%$9.31M
Intuit Inc1.22%$9.26M
AstraZeneca PLC1.16%$8.82M
Amadeus IT Group SA1.14%$8.65M
Prologis Inc1.10%$8.32M
Danaher Corp1.09%$8.31M
Truist Financial Corp1.03%$7.82M
Linde PLC1.03%$7.79M
PepsiCo Inc1.02%$7.73M
Rockwell Automation Inc1.01%$7.66M
Fannie Mae0.93%$7.08M
Old Dominion Freight Line Inc0.93%$7.02M
Union Pacific Corp0.92%$6.98M
Chipotle Mexican Grill Inc0.89%$6.78M
Chubb Ltd0.89%$6.77M
Reinsurance Group of America I0.88%$6.68M
US Treasury N/b0.84%$6.40M
Honda Motor Co. Ltd.0.79%$5.96M
Workday Inc0.78%$5.92M
Analog Devices Inc0.73%$5.54M
Zoetis Inc0.71%$5.41M
M&T Bank Corp0.68%$5.19M
US Treasury N/b0.67%$5.08M
Hershey Co/The0.66%$4.98M
Steel Dynamics Inc0.64%$4.87M
Estee Lauder Cos Inc/The0.63%$4.77M
Bank Of America Corp.0.56%$4.26M
US Treasury N/b0.54%$4.07M
Target Corp.0.48%$3.64M
Cvs Health Corp.0.46%$3.51M
Darling Ingredients Inc0.45%$3.45M
Mastercard, Inc.0.45%$3.42M
US Treasury N/b0.44%$3.36M
Amgen, Inc.0.43%$3.27M
Autodesk, Inc.0.43%$3.24M
Wells Fargo & Company0.43%$3.24M
Royal Bank Of Canada0.42%$3.20M
US Treasury N/b0.42%$3.19M
NVIDIA Corp.0.40%$3.05M
Walt Disney Company/the0.39%$2.98M
US Treasury N/b0.37%$2.80M
Duke Energy Florida LLC0.36%$2.73M
Comcast Corp.0.36%$2.70M
Archer-Daniels-Midland C0.35%$2.67M
Jabil, Inc.0.32%$2.45M
Truist Financial Corp.0.32%$2.45M
Midamerican Energy Co.0.32%$2.45M
Prologis LP0.32%$2.43M
Intuit, Inc.0.32%$2.42M
Nextera Energy Capital0.32%$2.42M
SolarEdge Technologies Inc0.32%$2.39M
Allegion US Holding Co.0.31%$2.36M
Walmart, Inc.0.30%$2.29M
Citigroup, Inc.0.29%$2.20M
US Treasury N/b0.27%$2.07M
Federal Home Loan Bank0.27%$2.07M
Fannie Mae0.27%$2.05M
Bank Of Montreal0.27%$2.04M
Fannie Mae0.27%$2.02M
Fortinet, Inc.0.26%$2.01M
US Treasury N/b0.26%$1.98M
US Treasury N/b0.26%$1.95M
Dte Electric Co.0.26%$1.94M
Salesforce, Inc.0.25%$1.90M
Johnson Controls/tyco Fi0.24%$1.85M
Crown Castle, Inc.0.24%$1.85M
Lowe's Cos, Inc.0.24%$1.85M
Goldman Sachs Group, Inc.0.23%$1.76M
World Omni Auto Receivables Tr0.23%$1.76M
Home Depot, Inc.0.22%$1.69M
Xylem, Inc.0.21%$1.62M
Bank Of America Corp.0.21%$1.59M
Bank Of America Corp.0.21%$1.58M
US Treasury N/b0.21%$1.57M
US Treasury N/b0.21%$1.56M
Intl Bk Recon & Develop0.20%$1.54M
Welltower Op LLC0.20%$1.50M
Whirlpool Corp.0.20%$1.48M
Walt Disney Company/the0.19%$1.47M
Prudential Financial, Inc.0.19%$1.46M
Host Hotels & Resorts LP0.19%$1.44M
Gilead Sciences, Inc.0.19%$1.43M
Prologis LP0.19%$1.42M
Alphabet, Inc.0.19%$1.41M
Elevance Health, Inc.0.19%$1.41M
Government National Mortgage A0.18%$1.40M
Unitedhealth Group, Inc.0.18%$1.39M
Pnc Financial Services0.18%$1.34M
Midamerican Energy Co.0.17%$1.32M
Mastercard, Inc.0.17%$1.31M
Bristol-Myers Squibb Co.0.17%$1.30M
Citigroup, Inc.0.17%$1.28M
Boston Properties LP0.17%$1.27M
Dte Electric Co.0.17%$1.26M
At&t, Inc.0.17%$1.25M
US Treasury N/b0.16%$1.22M
Pepsico, Inc.0.15%$1.17M
US Treasury N/b0.15%$1.13M
Pfizer Investment Enter0.15%$1.13M
California Endowment/the0.15%$1.12M
Toronto-Dominion Bank0.15%$1.11M
Starbucks Corp.0.15%$1.10M
Goldman Sachs Group, Inc.0.14%$1.10M
At&t, Inc.0.14%$1.10M
Fannie Mae0.14%$1.09M
Allstate Corp.0.14%$1.09M
Verizon Communications0.14%$1.09M
Abbvie, Inc.0.14%$1.04M
Veralto Corp0.13%$975.93K
Pnc Financial Services0.12%$948.35K
Amazon.com, Inc.0.12%$932.06K
Intl Bk Recon & Develop0.12%$908.75K
State Street Corp.0.12%$896.10K
Cvs Health Corp.0.12%$894.72K
Toyota Motor Credit Corp.0.12%$891.86K
US Treasury N/b0.12%$884.25K
Union Electric Co.0.11%$821.95K
Adobe, Inc.0.11%$798.31K
Verizon Communications0.10%$769.95K
US Treasury N/b0.10%$728.79K
Government National Mortgage A0.10%$725.70K
Bristol-Myers Squibb Co.0.09%$688.83K
Affiliated Managers Grou0.09%$673.30K
Ford Foundation/the0.09%$665.32K
Metlife, Inc.0.09%$664.76K
Citigroup, Inc.0.09%$664.15K
Comcast Corp.0.09%$645.09K
Blackrock, Inc.0.08%$635.53K
Avangrid, Inc.0.08%$613.41K
Abbvie, Inc.0.08%$597.82K
Texas Instruments, Inc.0.08%$591.93K
Microsoft Corp.0.07%$568.46K
Government National Mortgage A0.07%$556.33K
US Treasury N/b0.07%$544.69K
Bank Of America Corp.0.07%$537.45K
Bank Of America Corp.0.07%$511.02K
Pepsico, Inc.0.06%$491.75K
Intercontinentalexchange0.06%$491.78K
Simon Property Group LP0.06%$487.04K
At&t, Inc.0.06%$459.57K
Freddie Mac0.06%$441.64K
Unitedhealth Group, Inc.0.06%$439.43K
Blackrock, Inc.0.06%$437.97K
Government National Mortgage A0.06%$430.32K
Nutrien Ltd.0.06%$417.37K
US Treasury N/b0.05%$403.92K
Bank Of Ny Mellon Corp.0.05%$398.70K
Verizon Communications0.05%$398.19K
Government National Mortgage A0.05%$377.09K
Public Service Colorado0.05%$373.69K
US Treasury N/b0.05%$358.65K
Bristol-Myers Squibb Co.0.05%$359.13K
State Street Corp.0.05%$353.47K
Fannie Mae0.05%$349.46K
Verizon Communications0.05%$348.73K
Verizon Communications0.05%$342.21K
Georgia Power Co.0.04%$331.85K
Cvs Health Corp.0.04%$327.92K
Citigroup, Inc.0.04%$326.73K
Gilead Sciences, Inc.0.04%$317.16K
Starbucks Corp.0.03%$238.14K
US Treasury N/b0.03%$213.28K
Government National Mortgage A0.02%$160.43K
US Treasury N/b0.02%$143.99K
Federal Home Loan Bank0.02%$141.72K
Freddie Mac0.02%$130.98K
US Treasury N/b0.01%$103.97K
US Treasury N/b0.01%$96.03K
Government National Mortgage A0.01%$51.18K
Freddie Mac0.00%$36.19K
Freddie Mac0.00%$34.24K
Fannie Mae0.00%$20.59K
Freddie Mac0.00%$19.26K
Fannie Mae0.00%$16.49K
Freddie Mac0.00%$12.50K
Freddie Mac0.00%$11.82K
Fannie Mae0.00%$11.76K
Freddie Mac0.00%$10.70K
Government National Mortgage A0.00%$10.18K
Fannie Mae0.00%$5.85K
Fannie Mae0.00%$1.95K
Fannie Mae0.00%$286
Fannie Mae0.00%$7

C000146537 overview: performance, fees, allocation and SEC filings