Amount | Holding |
---|---|
4.31% | General Motors Co |
4.19% | Bank of America Corp |
3.97% | TE Connectivity Ltd |
3.94% | Alphabet Inc A |
3.54% | Mastercard Inc A |
3.41% | Nestle SA ADR |
3.22% | Philip Morris International Inc |
2.89% | CVS Health Corp |
2.22% | BorgWarner Inc |
2.22% | Charter Communications Inc A |
2.16% | UnitedHealth Group Inc |
2.08% | Citigroup Inc |
1.55% | Howmet Aerospace Inc |
1.44% | Lear Corp |
1.32% | Regeneron Pharmaceuticals Inc |
1.19% | Ally Financial Inc |
1.15% | Agilent Technologies Inc |
1.00% | Carlisle Companies Inc |
0.96% | United States Treasury Notes 2% |
0.96% | Foot Locker Inc |
0.95% | United States Treasury Notes 1.75% |
0.91% | Diageo PLC ADR |
0.90% | Comcast Corp Class A |
0.82% | HCA Healthcare Inc |
0.79% | American International Group Inc |