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Fund profile

Tickers
STCIX, STCAX, STCZX
Fund manager
Total assets
$134.28M
Liabilities
$151.6K
Net assets
$134.12M
Number of holdings
60

60 Holdings

As of Jun 2021
Security $Holding Balance % of Fund Category Position Country
MSFT Microsoft Corporation 14.42M 53.25K shares 10.75 Common equity Long USA
AAPL Apple Inc 13.5M 98.55K shares 10.06 Common equity Long USA
AMZN Amazon.com Inc. 10.8M 3.14K shares 8.05 Common equity Long USA
FB Facebook Inc 5.98M 17.19K shares 4.46 Common equity Long USA
GOOG Alphabet Inc 5.58M 2.23K shares 4.16 Common equity Long USA
NVDA NVIDIA Corp 5.35M 6.69K shares 3.99 Common equity Long USA
GOOG Alphabet Inc 5.26M 2.15K shares 3.92 Common equity Long USA
V Visa Inc 5.16M 22.09K shares 3.85 Common equity Long USA
PYPL PayPal Holdings Inc 3.31M 11.37K shares 2.47 Common equity Long USA
UNH Unitedhealth Group Inc 2.87M 7.18K shares 2.14 Common equity Long USA
MA Mastercard Incorporated 2.82M 7.72K shares 2.10 Common equity Long USA
QCOM Qualcomm, Inc. 2.55M 17.84K shares 1.90 Common equity Long USA
COST Costco Wholesale Corp 2.53M 6.39K shares 1.88 Common equity Long USA
LLY Lilly(Eli) & Co 2.37M 10.31K shares 1.76 Common equity Long USA
AMAT Applied Materials Inc. 2.34M 16.41K shares 1.74 Common equity Long USA
BA Boeing Co. 2.2M 9.19K shares 1.64 Common equity Long USA
EL Estee Lauder Cos., Inc. 2.14M 6.72K shares 1.59 Common equity Long USA
ORLY O`Reilly Automotive, Inc. 2.09M 3.68K shares 1.56 Common equity Long USA
ADSK Autodesk Inc. 1.93M 6.6K shares 1.44 Common equity Long USA
TJX TJX Companies, Inc. 1.88M 27.88K shares 1.40 Common equity Long USA
EW Edwards Lifesciences Corp 1.78M 17.2K shares 1.33 Common equity Long USA
CRM Salesforce.Com Inc 1.78M 7.29K shares 1.33 Common equity Long USA
DE Deere & Co. 1.67M 4.73K shares 1.24 Common equity Long USA
WDAY Workday Inc 1.55M 6.5K shares 1.16 Common equity Long USA
MTD Mettler-Toledo International, Inc. 1.55M 1.12K shares 1.15 Common equity Long USA
TWLO Twilio Inc 1.44M 3.64K shares 1.07 Common equity Long USA
ISRG Intuitive Surgical Inc 1.41M 1.54K shares 1.05 Common equity Long USA
DXCM Dexcom Inc 1.33M 3.11K shares 0.99 Common equity Long USA
CMCSA Comcast Corp 1.31M 23.04K shares 0.98 Common equity Long USA
AXP American Express Co. 1.27M 7.7K shares 0.95 Common equity Long USA
EQIX Equinix Inc 1.24M 1.55K shares 0.93 Common equity Long USA
BKNG Booking Holdings Inc 1.21M 555 shares 0.91 Common equity Long USA
INFO IHS Markit Ltd 1.16M 10.28K shares 0.86 Common equity Long UK
BMY Bristol-Myers Squibb Co. 1.11M 16.67K shares 0.83 Common equity Long USA
RCL Royal Caribbean Group 1.07M 12.54K shares 0.80 Common equity Long USA
LVS Las Vegas Sands Corp 1.07M 20.3K shares 0.80 Common equity Long USA
EXAS Exact Sciences Corp. 1.05M 8.47K shares 0.79 Common equity Long USA
CMG Chipotle Mexican Grill 1.02M 656 shares 0.76 Common equity Long USA
AVLR Avalara Inc 901.71K 5.57K shares 0.67 Common equity Long USA
VRTX Vertex Pharmaceuticals, Inc. 867.21K 4.3K shares 0.65 Common equity Long USA
TMO Thermo Fisher Scientific Inc. 821.78K 1.63K shares 0.61 Common equity Long USA
OLED Universal Display Corp. 818.17K 3.68K shares 0.61 Common equity Long USA
TDOC Teladoc Health Inc 801.68K 4.82K shares 0.60 Common equity Long USA
FIVN Five9 Inc 791.88K 4.32K shares 0.59 Common equity Long USA
PAYC Paycom Software Inc 782.55K 2.15K shares 0.58 Common equity Long USA
GS Goldman Sachs Group, Inc. 763.23K 2.01K shares 0.57 Common equity Long USA
DOCU DocuSign Inc 755.96K 2.7K shares 0.56 Common equity Long USA
DKNG DraftKings, Inc. 732.47K 14.04K shares 0.55 Common equity Long USA
EMR Emerson Electric Co. 723.05K 7.51K shares 0.54 Common equity Long USA
DIS Walt Disney Co 711.34K 4.05K shares 0.53 Common equity Long USA
SNAP Snap Inc 641.88K 9.42K shares 0.48 Common equity Long USA
ROP Roper Technologies Inc 636.65K 1.35K shares 0.47 Common equity Long USA
FICO Fair, Isaac Corp. 636.39K 1.27K shares 0.47 Common equity Long USA
APD Air Products & Chemicals Inc. 600.1K 2.09K shares 0.45 Common equity Long USA
CL Colgate-Palmolive Co. 559.61K 6.88K shares 0.42 Common equity Long USA
VMC Vulcan Materials Co 551.63K 3.17K shares 0.41 Common equity Long USA
PODD Insulet Corporation 517.45K 1.89K shares 0.39 Common equity Long USA
COIN Coinbase Global Inc 514.96K 2.03K shares 0.38 Common equity Long USA
HON Honeywell International Inc 479.72K 2.19K shares 0.36 Common equity Long USA
SI Silvergate Capital Corp 415.77K 3.67K shares 0.31 Common equity Long USA