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Avalon Investment & Advisory

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
CARMAX INC KMXCommon731,690731,69047,033,033,00047,033,033,0001.290.46 Hist 03/31/2023
LINDE PLC LINSHS90,41690,41632,137,477,00032,137,477,0000.880.02 Hist 03/31/2023
ELI LILLY & Co LLYCommon62,15162,15121,344,009,00021,344,009,0000.580.01 Hist 03/31/2023
Air Products & Chemicals, Inc. APDCommon54,81754,81715,744,116,00015,744,116,0000.430.02 Hist 03/31/2023
CAMDEN PROPERTY TRUST CPTCommon141,298141,29814,813,636,00014,813,636,0000.410.13 Hist 03/31/2023
DEERE & CO DECommon28,15728,15711,625,462,00011,625,462,0000.320.01 Hist 03/31/2023
REGENERON PHARMACEUTICALS, INC. REGNCommon13,83113,83111,364,518,00011,364,518,0000.310.01 Hist 03/31/2023
TJX COMPANIES INC /DE/ TJXCommon140,845140,84511,036,632,00011,036,632,0000.300.01 Hist 03/31/2023
CARDINAL HEALTH INC CAHCommon143,093143,09310,803,543,00010,803,543,0000.30  Hist 03/31/2023
VANGUARD INDEX FDS SANDP 500 ETF VOOSTOCK26,57026,5709,992,206,0009,992,206,0000.27  Hist 03/31/2023
TRUIST FINANCIAL CORP BBTCommon285,325285,3259,729,567,0009,729,567,0000.27  Hist 03/31/2023
PNC FINANCIAL SERVICES GROUP, INC. PNCCommon71,19971,1999,049,393,0009,049,393,0000.250.02 Hist 03/31/2023
Brookfield Asset Management Ltd. BAMCommon238,194238,1947,793,693,0007,793,693,0000.21  Hist 03/31/2023
DARDEN RESTAURANTS INC DRICommon35,41135,4115,494,390,0005,494,390,0000.150.03 Hist 03/31/2023
DECKERS OUTDOOR CORP DECKCommon12,20812,2085,488,106,0005,488,106,0000.15  Hist 03/31/2023
VALVOLINE INC VVVCOM152,449152,4495,326,568,0005,326,568,0000.150.09 Hist 03/31/2023
APi Group Corp APGCOM201,134201,1344,521,492,0004,521,492,0000.120.09 Hist 03/31/2023
DIAMOND HILL INVESTMENT GROUP INC DHILCommon24,54724,5474,039,996,0004,039,996,0000.110.80 Hist 03/31/2023
VANGUARD SCOTTSDALE FUNDS VCSHCommon50,20050,2003,826,746,0003,826,746,0000.10  Hist 03/31/2023
Sitio Royalties Corp. STRCommon140,356140,3563,172,057,0003,172,057,0000.09  Hist 03/31/2023
MAGNITE, INC. MGNICOM183,854183,8541,702,488,0001,702,488,0000.050.14 Hist 03/31/2023
SELECT SECTOR SPDR TRUST XLKCOM9,0649,0641,368,755,0001,368,755,0000.04  Hist 03/31/2023
iSHARES TRUST IJRS&P SMLCAP 60011,98511,9851,158,949,0001,158,949,0000.03  Hist 03/31/2023
S&P Global Inc. SPGICOM2,3702,370817,138,000817,138,0000.02  Hist 03/31/2023
VANGUARD WORLD FDS HEALTH CAR VHTSTOCK3,1693,169755,680,000755,680,0000.02  Hist 03/31/2023
EOG RESOURCES INC EOGCommon5,2075,207596,878,000596,878,0000.020.00 Hist 03/31/2023
ILLUMINA, INC. ILMNCommon2,3982,398557,655,000557,655,0000.02  Hist 03/31/2023
HESS CORP HESCommon3,7523,752496,540,000496,540,0000.010.00 Hist 03/31/2023
VANGUARD WORLD FUND VFHCommon6,3586,358495,225,000495,225,0000.01  Hist 03/31/2023
iSHARES TRUST IEFACommon7,3037,303488,206,000488,206,0000.01  Hist 03/31/2023
SELECT SECTOR SPDR TRUST XLYCommon3,1983,198478,229,000478,229,0000.01  Hist 03/31/2023
Zoetis Inc. ZTSCOM2,8372,837472,204,000472,204,0000.010.00 Hist 03/31/2023
Accolade, Inc.  Common30,31930,319435,987,000435,987,0000.010.04 Hist 03/31/2023
iSHARES TRUST GOVTCommon17,96517,965420,022,000420,022,0000.01  Hist 03/31/2023
VANGUARD WORLD FUND VISCommon2,0842,084397,023,000397,023,0000.01  Hist 03/31/2023
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