Mechanics Financial Corp

données du 30/09/2025

Capitalisation

$ 263.956 M 12.23 %

Période de détention moyenne

12 ans

Performance

$ 37.886 M 20.92 %

Capitalisation

Taille du portefeuille

Performance du portefeuille

Performance du portefeuille %

Performances par rapport au S&P 500 (%)

Entreprise dans Mechanics Financial Corp

Date Symbol Nom Poids Capitalisation Nombre d'action 1er ajout Performance ($) Performance (%)
2025/09/30 GRC Gorman Rupp Co Com 17.71% 46.756 M $ 1007456 2021/12/31 9.762 M $ 26.39 %
2025/09/30 IJH iShares Core S&P Mid Cap ETF 5.94% 15.683 M $ 240317 2021/12/31 772.205 K $ 5.22 %
2025/09/30 AAPL Apple Inc Com 5.59% 14.767 M $ 57993 2021/12/31 2.887 M $ 24.11 %
2025/09/30 EFA iShares Tr MSCI Eafe ETF 4.11% 10.839 M $ 116082 2021/12/31 462.006 K $ 4.45 %
2025/09/30 IEFA iShares Tr Core MSCI Eafe 3.75% 9.887 M $ 113235 2021/12/31 413.092 K $ 4.59 %
2025/09/30 IVV iShares Core S&P 500 ETF 3.68% 9.722 M $ 14525 2021/12/31 665.693 K $ 7.80 %
2025/09/30 MSFT Microsoft Corp Com 3.28% 8.667 M $ 16734 2021/12/31 339.320 K $ 4.13 %
2025/09/30 JPM JPMorgan Chase & Co Com 2.80% 7.396 M $ 23448 2021/12/31 612.556 K $ 8.80 %
2025/09/30 VGSH Vanguard Short Term Treasury Index Fund 2.72% 7.191 M $ 122187 2022/09/30 8.282 K $ 0.12 %
2025/09/30 NVDA Nvidia Corporation Com 2.11% 5.569 M $ 29847 2024/03/31 839.173 K $ 18.10 %
2025/09/30 IEMG Ishares Core Msci Emerging Markets Etf 2.07% 5.469 M $ 82958 2024/03/31 469.780 K $ 9.81 %
2025/09/30 GOOGL Alphabet Inc Cap Stk CL A 1.89% 4.977 M $ 20475 2021/12/31 1.358 M $ 37.94 %
2025/09/30 IJR iShares SP Small Cap 600 IDX ETF 1.85% 4.871 M $ 40991 2021/12/31 381.514 K $ 8.73 %
2025/09/30 AMZN Amazon Com Inc Com 1.49% 3.934 M $ 17917 2021/12/31 3.190 K $ 0.08 %
2025/09/30 BND Vanguard Total Bd Mkt ETF 1.45% 3.839 M $ 51619 2021/12/31 35.715 K $ 1.01 %
2025/09/30 ORCL Oracle Corp Com 1.23% 3.249 M $ 11554 2021/12/31 721.016 K $ 28.64 %
2025/09/30 GD General Dynamics Corp Com 1.09% 2.888 M $ 8469 2021/12/31 415.640 K $ 16.92 %
2025/09/30 JNJ Johnson & Johnson Com 1.01% 2.671 M $ 14403 2021/12/31 489.102 K $ 21.39 %
2025/09/30 PG Procter and Gamble Co Com 1.00% 2.639 M $ 17176 2021/12/31 -97.110 K $ -3.56 %
2025/09/30 V VISA Inc Com CL A 0.89% 2.352 M $ 6889 2021/12/31 -92.983 K $ -3.85 %
2025/09/30 TSLA Tesla Inc Com 0.87% 2.297 M $ 5166 2024/06/30 646.481 K $ 40.00 %
2025/09/30 VGIT Vanguard Intermediate Term Treasury ETF 0.86% 2.275 M $ 37906 2023/12/31 7.535 K $ 0.37 %
2025/09/30 IWM iShares Russell 2000 ETF 0.86% 2.265 M $ 9362 2021/12/31 247.227 K $ 12.13 %
2025/09/30 BLK Blackrock Inc. 0.83% 2.203 M $ 1890 2025/03/31 221.927 K $ 11.11 %
2025/09/30 HUBB Hubbell Inc Com 0.79% 2.089 M $ 4855 2021/12/31 106.324 K $ 5.36 %
2025/09/30 GOOG Alphabet Inc Cap Stk CL C 0.78% 2.051 M $ 8420 2021/12/31 557.067 K $ 37.30 %
2025/09/30 SPSB SPDR Barclays St Corp Bd ETF 0.77% 2.037 M $ 67240 2021/12/31 6.060 K $ 0.33 %
2025/09/30 PEP PepsiCo Inc Com 0.75% 1.989 M $ 14161 2021/12/31 118.591 K $ 6.36 %
2025/09/30 LLY Lilly Eli & Co Com 0.75% 1.983 M $ 2599 2021/12/31 -25.009 K $ -2.12 %
2025/09/30 ABBV Abbvie Inc Com 0.74% 1.954 M $ 8440 2021/12/31 387.564 K $ 24.74 %
2025/09/30 CVX Chevron Corp New Com 0.74% 1.941 M $ 12499 2021/12/31 149.180 K $ 8.45 %
2025/09/30 CDNS Cadence Design System Inc Com 0.67% 1.769 M $ 5036 2021/12/31 229.560 K $ 13.99 %
2025/09/30 VWO Vanguard Ftse Emerging Mkts ETF 0.62% 1.629 M $ 30073 2021/12/31 141.944 K $ 9.54 %
2025/09/30 MCD McDonalds Corp Com 0.60% 1.584 M $ 5213 2021/12/31 61.272 K $ 4.01 %
2025/09/30 CSCO Cisco Sys Inc Com 0.59% 1.569 M $ 22935 2021/12/31 -22.017 K $ -1.38 %
2025/09/30 TMO Thermo Fisher Scientific Inccom 0.59% 1.567 M $ 3230 2021/12/31 250.454 K $ 19.62 %
2025/09/30 AVGO Broadcom Inc. 0.58% 1.538 M $ 4663 2024/03/31 114.108 K $ 19.68 %
2025/09/30 RTX RTX Corp 0.57% 1.512 M $ 9037 2021/12/31 189.680 K $ 14.59 %
2025/09/30 IBM International Business Machines 0.54% 1.438 M $ 5095 2021/12/31 -44.182 K $ -4.28 %
2025/09/30 NEE Nextera Energy Inc Com 0.53% 1.411 M $ 18691 2021/12/31 112.252 K $ 8.74 %
2025/09/30 CAT Caterpillar Inc Com 0.52% 1.382 M $ 2896 2021/12/31 258.014 K $ 22.91 %
2025/09/30 UBER Uber Technologies Inc 0.51% 1.348 M $ 13757 2024/06/30 65.562 K $ 5.01 %
2025/09/30 META Meta Platforms Inc CL A 0.49% 1.305 M $ 1777 2023/12/31 -6.414 K $ -0.50 %
2025/09/30 DIS Disney Walt Co Com Disney 0.49% 1.299 M $ 11349 2021/12/31 -106.093 K $ -7.67 %
2025/09/30 AMGN Amgen Inc Com 0.49% 1.294 M $ 4587 2021/12/31 13.715 K $ 1.07 %
2025/09/30 BRK-B Berkshire Hathaway Inc Del CL B New 0.49% 1.287 M $ 2559 2021/12/31 41.118 K $ 3.49 %
2025/09/30 PANW Palo Alto Networks Inc 0.49% 1.285 M $ 6309 2024/06/30 -6.270 K $ -0.50 %
2025/09/30 HD Home Depot Inc Com 0.47% 1.237 M $ 3053 2021/12/31 117.693 K $ 10.51 %
2025/09/30 DE Deere & Co Com 0.42% 1.099 M $ 2404 2021/12/31 -121.312 K $ -10.07 %
2025/09/30 EMR Emerson Elec Co Com 0.41% 1.094 M $ 8343 2021/12/31 -17.978 K $ -1.61 %
2025/09/30 MS Morgan Stanley Com New 0.40% 1.049 M $ 6596 2021/12/31 117.306 K $ 12.85 %
2025/09/30 LOW Lowes Cos Inc Com 0.40% 1.046 M $ 4162 2021/12/31 122.529 K $ 13.27 %
2025/09/30 MAR Marriott International Inc. 0.39% 1.042 M $ 4001 2023/06/30 -50.530 K $ -4.67 %
2025/09/30 ICE Intercontinental Exchange Incom 0.39% 1.024 M $ 6078 2021/12/31 -89.115 K $ -8.17 %
2025/09/30 PNC PNC Finl Svcs Group Inc Com 0.38% 1.012 M $ 5038 2024/12/31 72.056 K $ 7.78 %
2025/09/30 CMI Cummins Inc Com 0.38% 997.216 K $ 2361 2021/12/31 210.326 K $ 28.97 %
2025/09/30 ABT Abbott Labs Com 0.37% 967.984 K $ 7227 2021/12/31 -8.745 K $ -1.52 %
2025/09/30 BAC Bk of America Corp Com 0.35% 935.481 K $ 18133 2021/12/31 74.515 K $ 9.02 %
2025/09/30 SYK Stryker Corp Com 0.34% 897.559 K $ 2428 2021/12/31 -62.096 K $ -6.56 %
2025/09/30 MRK Merck & Co. Inc Com 0.33% 872.117 K $ 10391 2021/12/31 50.929 K $ 6.03 %
2025/09/30 APD Air Prods & Chems Inc Com 0.32% 850.068 K $ 3117 2021/12/31 -29.112 K $ -3.31 %
2025/09/30 WMT Walmart Inc Com 0.32% 846.123 K $ 8210 2023/12/31 42.799 K $ 5.40 %
2025/09/30 SO Southern Co Com 0.32% 844.685 K $ 8913 2021/12/31 26.204 K $ 3.20 %
2025/09/30 LMT Lockheed Martin Corp Com 0.32% 837.674 K $ 1678 2021/12/31 60.633 K $ 7.79 %
2025/09/30 DUK Duke Energy Corp New Com 0.31% 830.858 K $ 6714 2021/12/31 37.271 K $ 4.87 %
2025/09/30 PLD Prologis Inc 0.29% 766.826 K $ 6696 2024/03/31 62.331 K $ 8.94 %
2025/09/30 PSA Public Storage Reit 0.28% 728.769 K $ 2523 2023/06/30 -11.255 K $ -1.56 %
2025/09/30 WM Waste Mgmt Inc Del Com 0.27% 715.710 K $ 3241 2021/12/31 -25.895 K $ -3.49 %
2025/09/30 PREF Principal Exchange-Traded Fdspectrum Pfd 0.27% 706.151 K $ 36894 2021/12/31 6.237 K $ 0.90 %
2025/09/30 ZTS Zoetis Inc CL A 0.26% 698.239 K $ 4772 2021/12/31 -47.591 K $ -6.18 %
2025/09/30 EOG EOG RES Inc Com 0.26% 691.780 K $ 6170 2021/12/31 -45.082 K $ -6.26 %
2025/09/30 CRM Salesforce Com Inc Com 0.26% 688.248 K $ 2904 2021/12/31 -1.784 K $ -13.09 %
2025/09/30 AXP American Express Co Com 0.24% 623.132 K $ 1876 2021/12/31 24.725 K $ 4.13 %
2025/09/30 HON Honeywell Intl Inc Com 0.23% 594.663 K $ 2825 2021/12/31 -63.223 K $ -9.61 %
2025/09/30 PFE Pfizer Inc Com 0.20% 524.990 K $ 20604 2021/12/31 25.548 K $ 5.12 %
2025/09/30 TMUS T-mobile US INC T Mobile CORP COMMON 0.20% 517.779 K $ 2163 2025/09/30 0.000 $ 0.00 %
2025/09/30 LIN Linde Plc ADR 0.18% 475.000 K $ 1000 2023/03/31 5.819 K $ 1.24 %
2025/09/30 MDT Medtronic PLC Shs ADR 0.17% 451.057 K $ 4736 2021/12/31 38.219 K $ 9.26 %
2025/09/30 BK Bank New York Mellon Corp Com 0.17% 437.801 K $ 4018 2021/12/31 57.119 K $ 19.59 %
2025/09/30 MRVL Marvell Technology Inc 0.16% 433.045 K $ 5151 2025/03/31 28.220 K $ 8.62 %
2025/09/30 VNQ Vanguard REIT ETF 0.16% 420.806 K $ 4603 2021/12/31 11.075 K $ 2.65 %
2025/09/30 PAYX Paychex Inc Com 0.16% 411.590 K $ 3247 2021/12/31 -60.718 K $ -12.86 %
2025/09/30 URI United Rentals, Inc. 0.14% 379.955 K $ 398 2025/09/30 0.000 $ 0.00 %
2025/09/30 ALL Allstate Corp Com 0.14% 370.271 K $ 1725 2021/12/31 23.011 K $ 6.63 %
2025/09/30 ENB Enbridge Inc ADR 0.14% 369.216 K $ 7317 2021/12/31 37.609 K $ 11.34 %
2025/09/30 IAU iShares Gold Tr iShares New 0.14% 359.193 K $ 4936 2021/12/31 51.383 K $ 16.69 %
2025/09/30 SPY SPDR S&P 500 ETF 0.13% 347.080 K $ 521 2021/12/31 25.179 K $ 7.82 %
2025/09/30 UNH UnitedHealth Group Inc Com 0.13% 338.049 K $ 979 2021/12/31 93.523 K $ 10.68 %
2025/09/30 ETN Eaton Corp PLC ADR 0.13% 336.825 K $ 900 2021/12/31 18.899 K $ 4.83 %
2025/09/30 SHW Sherwin Williams Co Com 0.13% 331.717 K $ 958 2021/12/31 3.068 K $ 0.84 %
2025/09/30 GPC Genuine Parts Co Com 0.13% 330.977 K $ 2388 2021/12/31 41.288 K $ 14.25 %
2025/09/30 MO Altria Group Inc Com 0.12% 324.883 K $ 4918 2021/12/31 36.540 K $ 12.67 %
2025/09/30 ACN Accenture PLC Ireland ADR 0.12% 321.813 K $ 1305 2021/12/31 -154.046 K $ -17.49 %
2025/09/30 MCHP Microchip Technology Inc Com 0.12% 320.715 K $ 4994 2021/12/31 -30.836 K $ -8.74 %
2025/09/30 QCOM Qualcomm Inc Com 0.12% 317.748 K $ 1910 2021/12/31 13.681 K $ 4.46 %
2025/09/30 VZ Verizon Communications Inc Com 0.12% 312.441 K $ 7109 2021/12/31 4.834 K $ 1.57 %
2025/09/30 ADP Automatic Data Processing Incom 0.11% 293.500 K $ 1000 2021/12/31 -14.899 K $ -4.83 %
2025/09/30 VTI Vanguard Index FDS Total Stk Mkt 0.11% 293.056 K $ 893 2021/12/31 21.646 K $ 7.98 %
2025/09/30 IJS iShares S&P SC 600 Clsd End Fnd ETF 0.11% 284.880 K $ 2576 2021/12/31 28.593 K $ 11.16 %
2025/09/30 AEP American Elec Pwr Co Inc Com 0.11% 284.625 K $ 2530 2021/12/31 22.112 K $ 8.42 %