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SILVERCREST ASSET MANAGEMENT GROUP LLC 13F 持仓明细(2026-03-31) · 小隐寺数据中心
SILVERCREST ASSET MANAGEMENT GROUP LLC
报告期 2026-03-31 · CIK 0001232395
持仓数
832
前50大市值合计
$5.74B
报告期
2026-03-31
当前持仓
调仓
前 50 大持仓
标的
类型
市值
股数
占比*
AVGO
BROADCOM INC COM
COM
$264.0M
852,991
4.6%
MSFT
MICROSOFT CORP COM
COM
$240.2M
649,012
4.2%
GOOG
ALPHABET INC CAP STK CL C
COM
$236.8M
825,344
4.1%
AAPL
APPLE INC COM
COM
$197.5M
778,332
3.4%
CSCO
CISCO SYS INC
COM
$152.3M
1,962,931
2.7%
ESI
ELEMENT SOLUTIONS INC COM
COM
$149.1M
4,366,956
2.6%
GOOGL
ALPHABET INC CAP STK CL A
COM
$146.7M
510,008
2.6%
IWF
ISHARES TR
RUS 1000 GRW ETF
$145.3M
340,757
2.5%
WMB
WILLIAMS COS INC DEL COM
COM
$141.0M
1,937,415
2.5%
JNJ
JOHNSON & JOHNSON COM
COM
$137.7M
563,286
2.4%
ATO
ATMOS ENERGY CORP COM
COM
$130.6M
707,225
2.3%
BWA
BORGWARNER INC COM
COM
$129.2M
2,380,293
2.2%
—
EATON CORP PLC SHS
COM
$122.7M
342,929
2.1%
SNX
TD SYNNEX CORP
COM
$122.6M
726,631
2.1%
AME
AMETEK INC COM
COM
$119.6M
558,126
2.1%
LFUS
LITTELFUSE INC COM
COM
$119.1M
350,856
2.1%
DAL
DELTA AIR LINES INC DEL COM NEW
COM
$116.7M
1,755,340
2.0%
ESE
ESCO TECHNOLOGIES INC COM
COM
$114.3M
406,260
2.0%
COLB
COLUMBIA BKG SYS INC COM
COM
$113.8M
4,147,429
2.0%
USFD
US FOODS HLDG CORP COM
COM
$113.7M
1,232,776
2.0%
ABT
ABBOTT LABS COM
COM
$112.4M
1,094,600
2.0%
SHEL
SHELL PLC SPON ADS
COM
$110.0M
1,182,695
1.9%
PNC
PNC FINL SVCS GROUP INC COM
COM
$109.5M
526,352
1.9%
GBCI
GLACIER BANCORP INC NEW COM
COM
$108.1M
2,420,949
1.9%
NVDA
NVIDIA CORP COM
COM
$107.7M
617,812
1.9%
ACA
ARCOSA INC COM
COM
$106.6M
1,004,663
1.9%
HD
HOME DEPOT INC COM
COM
$106.3M
323,235
1.9%
EOG
EOG RES INC COM
COM
$102.7M
710,048
1.8%
AMZN
AMAZON COM INC COM
COM
$102.6M
492,459
1.8%
CVX
CHEVRON CORP NEW COM
COM
$100.9M
487,489
1.8%
CWST
CASELLA WASTE SYS INC CL A
COM
$99.3M
1,252,042
1.7%
AEIS
ADVANCED ENERGY INDS COM
COM
$98.2M
304,209
1.7%
AVY
AVERY DENNISON CORP COM
COM
$94.7M
548,588
1.6%
CSL
CARLISLE COS INC COM
COM
$90.1M
270,168
1.6%
C
CITIGROUP INC COM NEW
COM
$90.0M
793,524
1.6%
MTDR
MATADOR RES CO COM
COM
$88.4M
1,399,066
1.5%
CAH
CARDINAL HEALTH INC COM
COM
$86.8M
410,958
1.5%
WCN
WASTE CONNECTIONS INC COM
COM
$85.7M
527,447
1.5%
VONG
VANGUARD SCOTTSDALE FDS
VNG RUS1000GRW
$85.0M
775,133
1.5%
BCO
BRINKS CO COM
COM
$84.9M
819,260
1.5%
MGY
MAGNOLIA OIL & GAS CORP CL A
COM
$84.2M
2,666,648
1.5%
META
META PLATFORMS INC CL A
COM
$84.0M
146,881
1.5%
SXI
STANDEX INTL CORP COM
COM
$80.1M
314,404
1.4%
PLXS
PLEXUS CORP COM
COM
$79.0M
390,045
1.4%
VUG
VANGUARD INDEX FDS
GROWTH ETF
$75.6M
173,070
1.3%
CW
CURTISS WRIGHT CORP COM
COM
$74.9M
109,974
1.3%
UNP
UNION PACIFIC CORP COM
COM
$72.0M
296,724
1.3%
PATK
PATRICK INDS INC COM
COM
$71.8M
646,509
1.3%
JPM
JPMORGAN CHASE & CO COM
COM
$69.5M
236,147
1.2%
SYK
STRYKER CORP COM
COM
$69.0M
209,899
1.2%
* 占比按本页前 50 大持仓市值合计计算
持仓集中度
按前 50 大市值
22%
前 6 大占比
AVGO
4.6%
MSFT
4.2%
GOOG
4.1%
AAPL
3.4%
CSCO
2.7%
ESI
2.6%
其他
78.4%