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Shelter Rock Management, LLC
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Back to Shelter Rock Management, LLC
SR
Shelter Rock Management, LLC
All holdings · as of Dec 31, 2025
42 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
NVIDIA Corp
—
$8.46M
45,370
8.5%
Alphabet Inc.
—
$7.97M
25,457
8.0%
O REILLY AUTOMOTIVE INC
—
$7.09M
77,729
7.1%
TransDigm Group Inc.
—
$6.58M
4,951
6.6%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD
TSM
ADR
$6.38M
20,977
6.4%
MICROSOFT CORP
—
$6.30M
13,023
6.3%
Amazon.com Inc
—
$6.11M
26,481
6.1%
Visa Inc
—
$6.09M
17,364
6.1%
Booking Holdings Inc
—
$5.93M
1,108
6.0%
TJX Cos Inc/The
—
$5.12M
33,336
5.1%
Trane Technologies plc
—
$5.03M
12,929
5.1%
WASTE MANAGEMENT INC
—
$4.11M
18,682
4.1%
Cboe Global Markets Inc
—
$2.82M
11,238
2.8%
COSTCO WHOLESALE CORP /NEW
—
$2.73M
3,168
2.7%
Mastercard Inc
—
$2.52M
4,408
2.5%
VANECK BITCOIN ETF
—
$2.39M
96,442
2.4%
Apple Inc.
—
$2.08M
7,648
2.1%
Eaton Corp plc
—
$1.88M
5,919
1.9%
AUTOMATIC DATA PROCESSING INC
—
$919.6K
3,575
0.9%
AUTOLIV INC
ALV
Common Stock
$796.6K
6,711
0.8%
S&P Global Inc.
—
$759.0K
1,452
0.8%
Constellation Energy Corp
—
$690.1K
1,953
0.7%
Moody's Corp
—
$644.6K
1,261
0.6%
ELI LILLY & Co
—
$509.6K
474
0.5%
NBT BANCORP INC
—
$505.0K
12,163
0.5%
MCDONALD'S CORP
—
$503.8K
1,649
0.5%
ISHARES TR
—
$463.1K
4,410
0.5%
Accenture plc
—
$456.6K
1,703
0.5%
VANGUARD SPECIALIZED FUNDS
—
$424.4K
1,931
0.4%
Tesla Inc
—
$378.1K
841
0.4%
ISHARES TR
—
$323.3K
1,619
0.3%
WELLS FARGO & COMPANY/MN
—
$299.3K
3,212
0.3%
VANECK ETF TRUST
—
$270.7K
752
0.3%
ORACLE CORP
—
$267.0K
1,370
0.3%
Intuitive Surgical Inc
—
$263.4K
465
0.3%
VANGUARD ADMIRAL FDS INC
—
$255.3K
574
0.3%
AUTOZONE INC
—
$253.0K
75
0.3%
AbbVie Inc.
—
$241.7K
1,058
0.2%
ISHARES BITCOIN TRUST ETF
—
$213.9K
4,309
0.2%
VANECK MERK GOLD ETF
—
$209.6K
5,054
0.2%
Energy Fuels Inc/Canada
—
$200.3K
13,775
0.2%
BGC Group Inc
—
$147.4K
16,504
0.1%
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