Watson Rebecca
Filing Date
Global Rank
#4,745
/ 5,288
▼ 176
Top Industry
Telecom Services
22.5%
3Y Alpha vs SPY
-1.0%
Period ended 5 years ago
Filed Oct 22, 2020 · 5y
3 quarters · since Mar 2020
Clone Performance
Jun 2023–Jun 2026 · vs SPYHypothetical growth of cloning every reported 13F position and rebalancing on each filing, indexed to the same start.
Cloned portfolio
+73.5%
SPY
+76.5%
Annualised alpha
-0.7%
Max drawdown
−12.7%
Estimate. 13F holdings are quarter-lagged and long-only, so the clone rebalances about 45 days after each period end — when the filing becomes public — and excludes options and short positions. Past performance does not predict future results.
Portfolio Concentration
35 positions · as of Sep 30, 2020 · Δ vs Jun 30, 2020Top Position
17.4%
+5.4 pts
Top 5
51.6%
+13.5 pts
Top 10
69.0%
+17.5 pts
HHI
761
Diversified+343
Portfolio Trend
3 quarters · across all stocks
Sector Breakdown
As of Sep 30, 2020| Sector | % Portfolio | Value |
|---|---|---|
| Technology | 31.3% | $7,532,286 |
| Communication Services | 25.1% | $6,045,864 |
| Healthcare | 13.0% | $3,120,520 |
| Industrials | 11.4% | $2,753,201 |
| Consumer Defensive | 6.0% | $1,441,389 |
| Financial Services | 5.7% | $1,364,030 |
| Consumer Cyclical | 2.7% | $640,332 |
| Unclassified | 2.5% | $600,643 |
| Energy | 2.3% | $547,646 |
Last Quarter's Activity
Export CSVAdded To
Positions the filer increased
15 positions
| Ticker | Company | Δ Shares | Shares | Value | Open |
|---|---|---|---|---|---|
| AAPL | Apple Inc. | +26,654 | 36,113 | $4,182,246 | |
| PFE | Pfizer Inc | +6,499 | 13,660 | $475,637 | |
| VZ | Verizon Communications Inc | +553 | 59,580 | $3,544,414 | |
| MSFT | Microsoft Corp | +520 | 4,961 | $1,043,447 | |
| INTC | Intel Corp | +475 | 36,751 | $1,902,966 | |
| JNJ | Johnson & Johnson | +286 | 6,361 | $947,025 | |
| KO | Coca Cola Co | +270 | 7,255 | $358,179 | |
| RTX | RTX Corp | +233 | 13,474 | $775,293 | |
| AMGN | Amgen Inc | +225 | 2,599 | $660,561 | |
| HD | Home Depot, Inc. | +96 | 846 | $234,942 | |
| PEP | Pepsico Inc | +60 | 1,506 | $208,731 | |
| COST | Costco Wholesale Corp /New | +30 | 862 | $306,010 | |
| AMZN | Amazon Com Inc | +2 | 119 | $18,734 | |
| UNP | Union Pacific Corp | +1 | 5,278 | $1,039,079 | |
| IBM | International Business Machines Corp | +1 | 3,470 | $403,627 | |
| No positions match the current search. | |||||
Trimmed
Positions the filer reduced
6 positions
| Ticker | Company | Δ Shares | Shares | Value | Open |
|---|---|---|---|---|---|
| USB | US Bancorp De | −15,200 | 5,990 | $214,741 | |
| XOM | Exxon Mobil Corp | −339 | 8,486 | $291,324 | |
| DIS | Walt Disney Co | −255 | 6,271 | $778,105 | |
| T | At&T Inc. | −143 | 80,032 | $1,723,345 | |
| ALEC | Alector, Inc. | −90 | 31,963 | $336,730 | |
| SPY | Spdr S&P 500 ETF Trust | −14 | 1,520 | $509,032 | |
| No positions match the current search. | |||||
New Positions
Positions the filer opened this quarterNo qualifying positions this quarter.
Sold Out
Positions the filer fully exited
25 positions
| Ticker | Company | Shares | Value | Open |
|---|---|---|---|---|
| QQQ | Invesco Qqq Trust, Series 1 | 15,635 | $3,871,226 | |
| UPS | United Parcel Service Inc | 10,143 | $1,127,698 | |
| GILD | Gilead Sciences, Inc. | 2,521 | $193,965 | |
| LNT | Alliant Energy Corp | 3,500 | $167,440 | |
| HUM | Humana Inc | 430 | $166,732 | |
| EMR | Emerson Electric Co | 2,554 | $158,424 | |
| CSCO | Cisco Systems, Inc. | 3,353 | $156,383 | |
| KEYS | Keysight Technologies, Inc. | 1,480 | $149,154 | |
| MCD | Mcdonalds Corp | 742 | $136,876 | |
| LMT | Lockheed Martin Corp | 375 | $136,845 | |
| GWW | W.W. Grainger, Inc. | 400 | $125,664 | |
| CI | Cigna Group | 660 | $123,849 | |
| OKTA | Okta, Inc. | 600 | $120,138 | |
| MDY | Spdr S&P Midcap 400 ETF Trust | 369 | $119,736 | |
| CMCSA | Comcast Corp | 3,222 | $117,707 | |
| KMB | Kimberly Clark Corp | 731 | $103,326 | |
| DOCU | Docusign, Inc. | 600 | $103,326 | |
| LLY | ELI LILLY & Co | 629 | $103,269 | |
| VFC | V F Corp | 1,608 | $97,991 | |
| MMM | 3M Co | 747 | $97,428 | |
| GD | General Dynamics Corp | 650 | $97,149 | |
| NVG | Nuveen AMT-Free Municipal Credit Income Fund | 6,170 | $94,277 | |
| WM | Waste Management Inc | 880 | $93,200 | |
| HON | Honeywell International Inc | 653 | $88,988 | |
| ABBV | AbbVie Inc. | 888 | $87,183 | |
| No positions match the current search. | ||||
35 positions ·
$24,045,911 total
· as of Sep 30, 2020
All sectors
Communication Services
Consumer Cyclical
Consumer Defensive
Energy
Financial Services
Healthcare
Industrials
Technology
| Ticker | Company | Type | Shares | Value (USD) | % of Portfolio | History |
|---|---|---|---|---|---|---|
| AAPL |
Apple Inc.
Technology
|
Added | 36,113 | $4,182,246 | 17.39% | |
| VZ |
Verizon Communications Inc
Communication Services
|
Added | 59,580 | $3,544,414 | 14.74% | |
| INTC |
Intel Corp
Technology
|
Added | 36,751 | $1,902,966 | 7.91% | |
| T |
At&T Inc.
Communication Services
|
Reduced | 80,032 | $1,723,345 | 7.17% | |
| MSFT |
Microsoft Corp
Technology
|
Added | 4,961 | $1,043,447 | 4.34% | |
| UNP |
Union Pacific Corp
Industrials
|
Added | 5,278 | $1,039,079 | 4.32% | |
| JNJ |
Johnson & Johnson
Healthcare
|
Added | 6,361 | $947,025 | 3.94% | |
| DIS |
Walt Disney Co
Communication Services
|
Reduced | 6,271 | $778,105 | 3.24% | |
| RTX |
RTX Corp
Industrials
|
Added | 13,474 | $775,293 | 3.22% | |
| AMGN |
Amgen Inc
Healthcare
|
Added | 2,599 | $660,561 | 2.75% | |
| PG |
PROCTER & GAMBLE Co
Consumer Defensive
|
Held | 4,090 | $568,469 | 2.36% | |
| SPY |
Spdr S&P 500 ETF Trust
|
Reduced | 1,520 | $509,032 | 2.12% | |
| PFE |
Pfizer Inc
Healthcare
|
Added | 13,660 | $475,637 | 1.98% | |
| VEEV |
Veeva Systems Inc
Healthcare
|
Held | 1,600 | $449,904 | 1.87% | |
| IBM |
International Business Machines Corp
Technology
|
Added | 3,470 | $403,627 | 1.68% | |
| NOC |
Northrop Grumman Corp /De/
Industrials
|
Held | 1,242 | $391,838 | 1.63% | |
| TJX |
Tjx Companies Inc /De/
Consumer Cyclical
|
Held | 6,948 | $386,656 | 1.61% | |
| KO |
Coca Cola Co
Consumer Defensive
|
Added | 7,255 | $358,179 | 1.49% | |
| BA |
Boeing Co
Industrials
|
Held | 2,130 | $352,003 | 1.46% | |
| ALEC |
Alector, Inc.
Healthcare
|
Reduced | 31,963 | $336,730 | 1.40% | |
| COST |
Costco Wholesale Corp /New
Consumer Defensive
|
Added | 862 | $306,010 | 1.27% | |
| BRK-B |
Berkshire Hathaway Inc
Financial Services
|
Held | 1,373 | $292,366 | 1.22% | |
| XOM |
Exxon Mobil Corp
Energy
|
Reduced | 8,486 | $291,324 | 1.21% | |
| NUV |
Nuveen Municipal Value Fund Inc
Financial Services
|
Held | 26,070 | $277,906 | 1.16% | |
| JPM |
Jpmorgan Chase & Co
Financial Services
|
Held | 2,859 | $275,235 | 1.14% | |
| TRP |
Tc Energy Corp
Energy
|
Held | 6,100 | $256,322 | 1.07% | |
| UNH |
Unitedhealth Group Inc
Healthcare
|
Held | 804 | $250,663 | 1.04% | |
| HD |
Home Depot, Inc.
Consumer Cyclical
|
Added | 846 | $234,942 | 0.98% | |
| USB |
US Bancorp De
Financial Services
|
Reduced | 5,990 | $214,741 | 0.89% | |
| PEP |
Pepsico Inc
Consumer Defensive
|
Added | 1,506 | $208,731 | 0.87% | |
| HWM |
Howmet Aerospace Inc.
Industrials
|
Held | 11,662 | $194,988 | 0.81% | |
| DNP |
Dnp Select Income Fund Inc
Financial Services
|
Held | 16,765 | $168,320 | 0.70% | |
| RVT |
Royce Small-Cap Trust, Inc.
Financial Services
|
Held | 10,717 | $135,462 | 0.56% | |
| ZTR |
Virtus Total Return Fund Inc.
|
Held | 11,700 | $91,611 | 0.38% | |
| AMZN |
Amazon Com Inc
Consumer Cyclical
|
Added | 119 | $18,734 | 0.08% |