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CANTOR GROWTH EQUITY FUND

Cantor Select Portfolios Trust

Assets: $259M Net: $259M Series: S000075628 EDGAR ↗
+41
New
41
Positions
Period:
vs
Compare:
← All Funds
# Name Ticker Since Shares Value % Port Cat
1 Apple Inc. 037833100 Sep 2022 103,268 $14.3M 5.52% EC
2 Microsoft Corporation 594918104 Sep 2022 50,260 $11.7M 4.53% EC
3 Autozone, Inc. 053332102 Sep 2022 4,390 $9.4M 3.64% EC
4 Cadence Design Systems, Inc. 127387108 Sep 2022 56,970 $9.3M 3.60% EC
5 Costco Wholesale Corporation 22160K105 Sep 2022 18,120 $8.6M 3.31% EC
6 Parker-Hannifin Corporation 701094104 Sep 2022 32,440 $7.9M 3.04% EC
7 Ameriprise Financial, Inc. 03076C106 Sep 2022 30,430 $7.7M 2.96% EC
8 W.R. Berkley Corporation 084423102 Sep 2022 115,390 $7.5M 2.88% EC
9 Alphabet Inc. 02079K305 Sep 2022 76,630 $7.3M 2.83% EC
10 KLA Corporation 482480100 Sep 2022 23,690 $7.2M 2.77% EC
11 Fortinet Inc 34959E109 Sep 2022 139,760 $6.9M 2.66% EC
12 Lowes Companies, Inc. 548661107 Sep 2022 36,550 $6.9M 2.65% EC
13 Arch Capital Group Ltd. G0450A105 Sep 2022 144,480 $6.6M 2.54% EC
14 Emcor Group Inc 29084Q100 Sep 2022 56,490 $6.5M 2.52% EC
15 Clean Harbors, Inc. 184496107 Sep 2022 59,290 $6.5M 2.52% EC
16 Qualys Inc 74758T303 Sep 2022 45,240 $6.3M 2.44% EC
17 Gartner Incorporation 366651107 Sep 2022 22,430 $6.2M 2.40% EC
18 American Express Company 025816109 Sep 2022 45,690 $6.2M 2.38% EC
19 United Rentals, Inc. 911363109 Sep 2022 22,670 $6.1M 2.37% EC
20 McKesson Corporation 58155Q103 Sep 2022 17,810 $6.1M 2.34% EC
21 Amazon.com, Inc. 023135106 Sep 2022 52,170 $5.9M 2.28% EC
22 Thermo Fisher Scientific Inc 883556102 Sep 2022 11,300 $5.7M 2.22% EC
23 United Parcel Service, Inc. 911312106 Sep 2022 35,430 $5.7M 2.21% EC
24 HCA Healthcare Inc 40412C101 Sep 2022 30,720 $5.6M 2.18% EC
25 Envista Holdings Corporation 29415F104 Sep 2022 170,600 $5.6M 2.16% EC
26 Adobe Inc 00724F101 Sep 2022 19,830 $5.5M 2.11% EC
27 IQVIA Holdings Inc. 46266C105 Sep 2022 28,770 $5.2M 2.02% EC
28 Juniper Networks, Inc. 48203R104 Sep 2022 198,300 $5.2M 2.00% EC
29 Omnicom Group Inc 681919106 Sep 2022 79,410 $5.0M 1.94% EC
30 Exxon Mobil Corporation 30231G102 Sep 2022 56,930 $5.0M 1.92% EC
31 Albertsons Companies Inc 013091103 Sep 2022 199,730 $5.0M 1.92% EC
32 Booking Holdings Inc 09857L108 Sep 2022 2,990 $4.9M 1.90% EC
33 Merck & Co., Inc 58933Y105 Sep 2022 56,350 $4.9M 1.88% EC
34 Ulta Beauty Inc 90384S303 Sep 2022 12,070 $4.8M 1.87% EC
35 Manhattan Associates Inc 562750109 Sep 2022 36,360 $4.8M 1.87% EC
36 Agilent Technologies Inc. 00846U101 Sep 2022 38,430 $4.7M 1.81% EC
37 Tesla Inc 88160R101 Sep 2022 17,070 $4.5M 1.75% EC
38 JPMorgan Chase & Co. 46625H100 Sep 2022 43,200 $4.5M 1.75% EC
39 Seaworld Entertainment Inc 81282V100 Sep 2022 95,840 $4.4M 1.69% EC
40 Fidelity Institutional Cash Portfolios 316175108 Sep 2022 4,092,637 $4.1M 1.58% STIV
41 Marathon Petroleum Company 56585A102 Sep 2022 29,750 $3.0M 1.14% EC