Instuitional Investor - Smithbridge Asset Management Inc

Fund Profile
Filing Period:
Fund Name: Smithbridge Asset Management Inc
Portfolio Value $439,169
Fund Holdings Sector Distribution
Filing Period:
No. Security Ticker Shares Value % Port
1. AAPL 157,700 $30,362 6.91%
2. MSFT 58,763 $22,097 5.03%
3. UNH 23,295 $12,264 2.79%
4. ACN 31,565 $11,076 2.52%
5. NVO 95,621 $9,892 2.25%