Instuitional Investor - Knights Of Columbus Asset Advisors Llc

Fund Profile
Filing Period:
Fund Name: Knights Of Columbus Asset Advisors Llc
Portfolio Value $1,554,488,839
Fund Holdings Sector Distribution
Filing Period:
No. Security Ticker Shares Value % Port
1. MSFT 163,875 $61,623,555 3.96%
2. AAPL 284,563 $54,786,914 3.52%
3. NVDA 49,242 $24,385,623 1.56%
4. GOOG 171,161 $23,909,480 1.53%
5. META 60,815 $21,526,077 1.38%