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Connable Office Inc

SEC CIK
0000914933
Latest filing
Aug 3, 2026

Holdings in Q3 2022

Holdings as of Sep 30, 2022, filed Oct 26, 2022. Long positions only; changes compare share counts with Q2 2022.

Institution overview
Positions
203
−1 vs. Q2 2022
Portfolio value
$615.5M
−$38.2M (−5.8%) vs. Q2 2022
Filed
Oct 26, 2022
SEC
Holdings of Connable Office Inc in Q3 2022
SecurityClassSharesValue% of portfolioShare changeActionHistory
FELEFranklin Electric Co IncCOM7,393$604.0K0.1%−348−4.5%ReducedHistory
CBTCabot CorpCOM9,630$615.0K0.1%−1,008−9.5%ReducedHistory
CSGPCostar Group, Inc.COM9,000$627.0K0.1%00.0%UnchangedHistory
ACGLArch Capital Group Ltd.Stock14,000$638.0K0.1%00.0%UnchangedHistory
MTDMettler Toledo International IncCOM593$643.0K0.1%−316−34.8%ReducedHistory
MTNVail Resorts IncCOM3,150$679.0K0.1%00.0%UnchangedHistory
iShares Tr464287622RUS 1000 ETF3,652$721.0K0.1%+3,652New–
DARDarling Ingredients Inc.COM11,254$744.0K0.1%−524−4.4%ReducedHistory
CWSTCasella Waste Systems IncCL A10,032$766.0K0.1%−375−3.6%ReducedHistory
CHHChoice Hotels International IncCOM7,200$789.0K0.1%00.0%UnchangedHistory
STESTERIS plcSHS USD5,211$866.0K0.1%00.0%UnchangedHistory
TEAMAtlassian CorpCL A4,200$884.0K0.1%+1,402+50.1%AddedHistory
AZNAstraZeneca PLCSPONSORED ADR17,225$945.0K0.2%+17,225NewHistory
TSLATesla, Inc.Stock3,600$955.0K0.2%00.0%UnchangedConverted for a 3-for-1 splitHistory
FDSFactset Research Systems IncStock2,390$956.0K0.2%00.0%UnchangedHistory
ALCAlcon IncStock16,532$962.0K0.2%00.0%UnchangedHistory
ICLRIcon PLCCOM5,275$969.0K0.2%00.0%UnchangedHistory
HHyatt Hotels CorpCOM CL A12,215$989.0K0.2%00.0%UnchangedHistory
INSPInspire Medical Systems, Inc.COM5,581$990.0K0.2%00.0%UnchangedHistory
LULUlululemon athletica inc.Stock3,566$997.0K0.2%00.0%UnchangedHistory
EPAMEPAM Systems, Inc.COM3,015$1.09M0.2%+937+45.1%AddedHistory
RACEFerrari N.V.COM5,915$1.09M0.2%00.0%UnchangedHistory
RMDResmed IncCOM5,125$1.12M0.2%−1,619−24.0%ReducedHistory
NVONovo Nordisk A SADR12,074$1.20M0.2%00.0%UnchangedHistory
CHTRCharter Communications, Inc.CL A4,003$1.21M0.2%00.0%UnchangedHistory
AONAon plcCL A4,537$1.22M0.2%00.0%UnchangedHistory
AMDAdvanced Micro Devices IncStock20,254$1.28M0.2%−273−1.3%ReducedHistory
ASMLASML Holding NVADR3,106$1.29M0.2%00.0%UnchangedHistory
NVDANVIDIA CorpStock11,751$1.43M0.2%−698−5.6%ReducedHistory
EFXEquifax IncCOM8,480$1.45M0.2%−8,852−51.1%ReducedHistory
QCOMQualcomm IncStock13,631$1.54M0.3%00.0%UnchangedHistory
LRCXLam Research CorpCOM4,217$1.54M0.3%−8−0.2%ReducedHistory
CPCanadian Pacific Kansas City LtdCOM23,912$1.59M0.3%00.0%UnchangedHistory
LYVLive Nation Entertainment, Inc.COM20,994$1.60M0.3%−119−0.6%ReducedHistory
ADBEAdobe Inc.Stock5,809$1.60M0.3%−39−0.7%ReducedHistory
PYPLPayPal Holdings, Inc.Stock19,177$1.65M0.3%−28−0.1%ReducedHistory
PLDPrologis, Inc.REIT16,745$1.70M0.3%00.0%UnchangedHistory
DISWalt Disney CoStock18,263$1.72M0.3%00.0%UnchangedHistory
State Street Utilities Select Sector SPDR ETF81369Y886ETF26,309$1.72M0.3%00.0%Unchanged–
KKRKKR & Co. Inc.COM40,285$1.73M0.3%+40,285NewHistory
JCIJohnson Controls International plcStock35,380$1.74M0.3%00.0%UnchangedHistory
iShares Core S&P 500 ETF464287200ETF5,046$1.81M0.3%+698+16.1%Added–
MARMarriott International IncStock13,005$1.82M0.3%−110−0.8%ReducedHistory
NOWServiceNow, Inc.Stock4,964$1.87M0.3%+4,964NewHistory
PANWPalo Alto Networks IncStock11,691$1.92M0.3%−75−0.6%ReducedConverted for a 3-for-1 splitHistory
TMUST-Mobile US, Inc.Stock14,977$2.01M0.3%−118−0.8%ReducedHistory
LINLinde PLCSHS7,598$2.05M0.3%−17−0.2%ReducedHistory
LLYEli Lilly & CoStock6,370$2.06M0.3%00.0%UnchangedHistory
METAMeta Platforms, Inc.Stock15,207$2.06M0.3%−28−0.2%ReducedHistory
MCOMoodys CorpStock8,514$2.07M0.3%−60−0.7%ReducedHistory
ELEstee Lauder Companies IncCL A9,621$2.08M0.3%−63−0.7%ReducedHistory
MDLZMondelez International, Inc.Stock38,403$2.11M0.3%−199−0.5%ReducedHistory
EOGEOG Resources IncStock19,074$2.13M0.3%−129−0.7%ReducedHistory
ROKRockwell Automation, IncStock10,166$2.19M0.4%−60−0.6%ReducedHistory
COFCapital One Financial CorpStock24,147$2.23M0.4%+24,147NewHistory
ABTAbbott LaboratoriesStock23,645$2.29M0.4%−43−0.2%ReducedHistory
iShares Tips Bond ETF464287176ETF21,999$2.31M0.4%−522−2.3%Reduced–
KLACKLA CorpCOM NEW7,630$2.31M0.4%−46−0.6%ReducedHistory
LOWLowes Companies IncStock12,889$2.42M0.4%−102−0.8%ReducedHistory
CVSCVS Health CorpStock26,323$2.51M0.4%−172−0.6%ReducedHistory
Vanguard Malvern FDS922020805STRM INFPROIDX53,051$2.55M0.4%−2,345−4.2%Reduced–
UNPUnion Pacific CorpStock13,656$2.66M0.4%−96−0.7%ReducedHistory
GOOGLAlphabet Inc.Stock29,322$2.81M0.5%−698−2.3%ReducedConverted for a 20-for-1 splitHistory
GOOGAlphabet Inc.Stock29,442$2.83M0.5%−678−2.3%ReducedConverted for a 20-for-1 splitHistory
AMGNAmgen IncStock13,062$2.94M0.5%−59−0.4%ReducedHistory
KOCoca Cola CoStock53,786$3.01M0.5%−396−0.7%ReducedHistory
RTXRTX CorpStock36,925$3.02M0.5%−1,068−2.8%ReducedHistory
HONHoneywell International IncCOM18,169$3.03M0.5%−61−0.3%ReducedHistory
COSTCostco Wholesale CorpStock6,439$3.04M0.5%−117−1.8%ReducedHistory
PEPPepsiCo IncStock18,951$3.09M0.5%−132−0.7%ReducedHistory
Vanguard Morningstar Small-Cap ETF922908751ETF18,414$3.15M0.5%−244−1.3%Reduced–
NEENextera Energy IncStock41,491$3.25M0.5%−245−0.6%ReducedHistory
CCICrown Castle Inc.REIT22,954$3.32M0.5%−534−2.3%ReducedHistory
WFCWells Fargo & CompanyStock82,881$3.33M0.5%−1,978−2.3%ReducedHistory
SCHWSchwab Charles CorpStock47,327$3.40M0.6%00.0%UnchangedHistory
PGProcter & Gamble CoStock26,997$3.41M0.6%−588−2.1%ReducedHistory
AXPAmerican Express CoStock25,635$3.46M0.6%−619−2.4%ReducedHistory
SYKStryker CorpStock17,709$3.59M0.6%−340−1.9%ReducedHistory
JPMJPMorgan Chase & CoStock35,604$3.72M0.6%−818−2.2%ReducedHistory
MAMastercard IncStock13,593$3.87M0.6%−309−2.2%ReducedHistory
TMOThermo Fisher Scientific Inc.Stock8,505$4.31M0.7%−205−2.4%ReducedHistory
ACNAccenture plcStock17,050$4.39M0.7%+5,663+49.7%AddedHistory
DHRDanaher CorpStock17,505$4.52M0.7%−423−2.4%ReducedHistory
AMZNAmazon Com IncStock43,509$4.92M0.8%−971−2.2%ReducedHistory
ARK Innovation ETF00214Q104ETF136,331$5.14M0.8%+136,331New–
iShares Tr46429B671MSCI CHINA ETF127,059$5.41M0.9%+2,197+1.8%Added–
UNHUnitedHealth Group IncStock11,352$5.73M0.9%−261−2.2%ReducedHistory
Vanguard S&P 500 ETF922908363ETF17,630$5.79M0.9%−568−3.1%Reduced–
COPConocoPhillipsStock61,442$6.29M1.0%−1,399−2.2%ReducedHistory
AAPLApple Inc.Stock56,360$7.79M1.3%−1,286−2.2%ReducedHistory
iShares Tr464288281JPMORGAN USD EMG108,967$8.65M1.4%+108,967New–
Kraneshares Trust500767405BOSERA MSCI CHIN307,701$9.34M1.5%+1,089+0.4%Added–
MSFTMicrosoft CorpStock40,343$9.40M1.5%−906−2.2%ReducedHistory
iShares Tr464288877EAFE VALUE ETF432,051$16.6M2.7%+2,360+0.5%Added–
SPDR Series Trust78468R556SP O&G EXPL PRO134,840$16.8M2.7%−557−0.4%Reduced–
iShares MSCI Eafe ETF464287465ETF333,441$18.7M3.0%−2,714−0.8%Reduced–
Vanguard Real Estate ETF922908553ETF250,241$20.1M3.3%+4,865+2.0%Added–
iShares Trust iShares 0-1 Year Treasury Bond ETF464288679ETF203,945$22.4M3.6%+1,498+0.7%Added–
iShares Core U.S. Aggregate Bond ETF464287226ETF270,292$26.0M4.2%+17,046+6.7%Added–
Flexshares Tr33939L407MORNSTAR UPSTR974,023$36.6M5.9%−82,361−7.8%Reduced–

Sold out since Q2 2022 (17)

Positions held at the end of Q2 2022 that are gone from this filing.

Positions of Connable Office Inc sold out since Q2 2022
SecurityClassShares in Q2 2022Value in Q2 2022% of portfolio in Q2 2022History
iShares Core MSCI Eafe ETF46432F842ETF862,800$50.8M7.8%–
ARK Next Generation Technology ETF00214Q401ETF76,776$3.76M0.6%–
ABBVAbbVie Inc.Stock16,126$2.47M0.4%History
CRMSalesforce, Inc.Stock13,654$2.25M0.3%History
ARK ETF Tr00214Q302GENOMIC REV ETF56,053$1.76M0.3%–
APTVAptiv PLCSHS12,261$1.09M0.2%History
VLOValero Energy CorpStock10,080$1.07M0.2%History
TSMTaiwan Semiconductor Manufacturing Co LtdADR7,409$606.0K0.1%History
MDPediatrix Medical Group, Inc.COM25,155$529.0K0.1%History
Meridian Bioscience Inc589584101COM12,583$383.0K0.1%–
SHOPShopify Inc.Stock10,590$331.0K0.1%History
MPWRMonolithic Power Systems, Inc.COM766$294.0K<0.1%History
FCNCAFirst Citizens Bancshares IncCL A432$282.0K<0.1%History
BFAMBright Horizons Family Solutions Inc.COM3,299$279.0K<0.1%History
AMHAmerican Homes 4 RentCL A5,850$207.0K<0.1%History
MANUManchester United plcORD CL A13,290$148.0K<0.1%History
VISNVistance Networks, Inc.COM10,242$63.0K<0.1%History