Holdings Channel
Size ($ in 1000's)
At 12/31/2024: $732,603
At 09/30/2024: $741,269

Resources Management Corp CT ADV AUM history

Resources Management Corp CT ADV holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Resources Management Corp CT ADV 13F filings. Link to 13F filings: SEC filings

Resources Management Corp CT ADV Top Holdings
As of  12/31/2024, below is a summary of the Resources Management Corp CT ADV top holdings by largest position size, as per the latest 13f filing made by Resources Management Corp CT ADV. In the Resources Management Corp CT ADV-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Resources Management Corp CT ADV in that top holding, then the share count change between reporting periods, and finally the Resources Management Corp CT ADV top holding position size for that row.

   EntityAmountChange
 09/30/2024 to 12/31/2024
Position Size
($ in 1000's)
APPLE INC 203,729 -3,927 $51,018
     AAPL203,729-3,927$51,018
MICROSOFT CORP 92,249 -1,503 $38,883
     MSFT92,249-1,503$38,883
JPMORGAN CHASE & CO 124,306 -1,004 $29,797
     JPM124,306-1,004$29,797
AMPHENOL CORP CLASS A 362,577 -3,160 $25,181
     APH362,577-3,160$25,181
MCDONALD S CORP 67,604 -135 $19,598
     MCD67,604-135$19,598
HOME DEPOT INC 45,300 -186 $17,621
     HD45,300-186$17,621
ACCENTURE PLC CLASS A 49,910 -69 $17,558
     ACN49,910-69$17,558
BROADCOM LTD 70,999 -4,189 $16,460
     AVGO70,999-4,189$16,460
NEXTERA ENERGY INC 226,482 -264 $16,236
     NEE226,482-264$16,236
TJX COMPANIES INC 125,405 -303 $15,150
     TJX125,405-303$15,150
ABBVIE INC 85,176 +4,366 $15,136
     ABBV85,176+4,366$15,136
ALPHABET INC CLASS A 77,471 +152 $14,665
     GOOGL77,471+152$14,665
BLACKROCK INC 14,047 -328 $14,400
     BLK14,047-328$14,400
PROCTER & GAMBLE CO 82,460 -96 $13,824
     PG82,460-96$13,824
PEPSICO INC 74,073 +571 $11,263
     PEP74,073+571$11,263
JOHNSON & JOHNSON 77,038 -785 $11,141
     JNJ77,038-785$11,141
COSTCO WHOLESALE CORP 12,006 -83 $11,000
     COST12,006-83$11,000
DANAHER CORP 46,471 +1,017 $10,667
     DHR46,471+1,017$10,667
ILLINOIS TOOL WORKS INC 41,390 -328 $10,495
     ITW41,390-328$10,495
NVIDIA CORP 73,728 -1,552 $9,901
     NVDA73,728-1,552$9,901
FISERV INC 41,445 -693 $8,514
     FI41,445-693$8,514
CHEVRON CORP 54,694 -276 $7,922
     CVX54,694-276$7,922
ORACLE CORPORATION 46,118 -363 $7,685
     ORCL46,118-363$7,685
UNITEDHEALTH GROUP INC 14,781 +1,121 $7,477
     UNH14,781+1,121$7,477
O REILLY AUTOMOTIVE INC 6,132 -76 $7,271
     ORLY6,132-76$7,271
BANK OF AMERICA CORPORATION 158,432 -2,227 $6,963
     BAC158,432-2,227$6,963
RTX CORPORATION 59,339 -79 $6,867
     RTX59,339-79$6,867
AUTOMATIC DATA PROCESSING INC 22,599 -269 $6,615
     ADP22,599-269$6,615
UNITED PARCEL SERVICE INC UPS CLASS B 50,877 +99 $6,416
     UPS50,877+99$6,416
ABBOTT LABORATORIES 55,447 -1,745 $6,272
     ABT55,447-1,745$6,272
T MOBILE US INC 27,696 -101 $6,113
     TMUS27,696-101$6,113
PNC FINANCIAL SERVICES GROUP INC 31,344 -45 $6,045
     PNC31,344-45$6,045
EXXON MOBIL CORPORATION 56,163 +206 $6,041
     XOM56,163+206$6,041
STRYKER CORPORATION 16,625 -36 $5,986
     SYK16,625-36$5,986
BLACKSTONE INC 34,691 -909 $5,981
     BX34,691-909$5,981
HONEYWELL INTERNATIONAL INC 25,432 -692 $5,745
     HON25,432-692$5,745
INTERNATIONAL BUSINESS MACHINES CORP 26,121 -505 $5,742
     IBM26,121-505$5,742
QUALCOMM INC 33,468 -1,101 $5,141
     QCOM33,468-1,101$5,141
AMAZON.COM INC 22,947 -42 $5,034
     AMZN22,947-42$5,034
OMNICOM GROUP INC 58,064 +2,954 $4,996
     OMC58,064+2,954$4,996
VANGUARD MATERIALS ETF (VAW) 26,561 -427 $4,989
     VAW26,561-427$4,989
WAL MART STORES INC 54,460 -474 $4,920
     WMT54,460-474$4,920
MERCK & CO INC 47,327 +9,089 $4,708
     MRK47,327+9,089$4,708
CROWDSTRIKE HOLDINGS INC 13,532 +30 $4,630
     CRWD13,532+30$4,630
TRACTOR SUPPLY CO 77,870 +62,996 $4,132
     TSCO77,870+62,996$4,132
CONSTELLATION BRANDS INC CLASS A 18,667 -429 $4,125
     STZ18,667-429$4,125
AIR PRODUCTS & CHEMICALS INC 13,396 -261 $3,885
     APD13,396-261$3,885
CVS HEALTH CORP 84,807 -22,797 $3,807
     CVS84,807-22,797$3,807
TORONTO DOMINION BANK 70,984 -20,160 $3,779
     TD70,984-20,160$3,779
TRANE TECHNOLOGIES PLC 10,036 -16 $3,707
     TT10,036-16$3,707

See Full List: All Stocks Held By Resources Management Corp CT ADV
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Resources Management Corp CT ADV

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