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Vestcor Inc

All holdings · as of Dec 31, 2025

1,157 positions

CompanyClassValueShares% of portfolio
PFIZER INC$2.9K115,3070.1%
Sprouts Farmers Market, Inc.$2.8K35,7520.1%
TYSON FOODS INC$2.8K48,3690.1%
Cigna Group$2.8K10,2670.1%
Chubb Ltd$2.8K9,0230.1%
BOSTON SCIENTIFIC CORP$2.8K29,3790.1%
ASPEN INSURANCE HOLDINGS LTD$2.8K75,0000.1%
RAYONIER INC$2.8K128,2310.1%
Apollo Global Management, Inc.$2.8K19,1120.1%
TechnipFMC plc$2.8K61,7780.1%
NiSource Inc$2.8K65,8540.1%
HOLOGIC INC$2.7K36,6210.1%
Union Pacific Corp$2.7K11,6400.1%
CMS ENERGY CORP$2.7K38,1990.1%
HARTFORD INSURANCE GROUP, INC.$2.7K19,3470.1%
PUBLIC SERVICE ENTERPRISE GROUP INC$2.7K33,0330.1%
Vertiv Holdings Co$2.6K16,3580.1%
ANALOG DEVICES INC$2.6K9,6760.1%
Ameren Corp$2.6K26,0220.1%
COPT DEFENSE PROPERTIES$2.6K93,2920.1%
Brighthouse Financial, Inc.$2.6K40,0000.1%
Cadence Bank$2.6K60,0000.1%
Domino's Pizza Inc.$2.6K6,1260.1%
IDEXX LABORATORIES INC /DE$2.6K3,7720.1%
Crown Castle Inc$2.5K28,6740.1%
DigitalBridge Group, Inc.$2.5K165,9560.1%
CARVANA CO.$2.5K5,9840.1%
CIENA CORP$2.5K10,7880.1%
Eaton Corp plc$2.5K7,8890.1%
RESMED INC$2.5K10,3950.1%
SYNOVUS FINL CORP$2.5K50,0000.1%
Medpace Holdings, Inc.$2.5K4,4420.1%
HONEYWELL INTERNATIONAL INC$2.5K12,6710.1%
TransUnion$2.5K28,7650.1%
Okta, Inc.$2.5K28,4690.1%
ROPER TECHNOLOGIES INC$2.5K5,5170.1%
Medtronic plc$2.5K25,5130.1%
CHEMED CORP$2.4K5,6890.1%
FLOWERS FOODS INC$2.4K223,5000.1%
DEERE & CO$2.4K5,2010.1%
STRYKER CORP$2.4K6,8710.1%
FirstEnergy Corp$2.4K53,8540.1%
DOMINION ENERGY, INC$2.4K40,6990.1%
Broadstone Net Lease, Inc.$2.4K136,9280.1%
COCA COLA CONSOLIDATED INC$2.4K15,4360.1%
Paylocity Holding Corp$2.4K15,4900.1%
Howmet Aerospace Inc.$2.4K11,4770.1%
Lyft, Inc.$2.4K121,3360.1%
ROYAL CARIBBEAN CRUISES LTD$2.3K8,3920.1%
ConocoPhillips$2.3K24,3210.1%
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