YOUSIF CAPITAL MANAGEMENT, LLC Q1 2022 Filing

Filed May 12, 2022

Portfolio Value

$9.2T

Holdings

2,036

Report Date

Q1 2022

Filing Type

13F-HR

All Holdings (2,036 positions)

#StockSharesValue% PortfolioType
101
AFLAflac Inc
231,704$14.9B0.16%
102
APDAir Prods & Chems Inc
59,517$14.9B0.16%
103
ROPRoper Technologies Inc
31,134$14.7B0.16%
104
MUMicron Technology Inc
185,920$14.5B0.16%
105
MRSHMarsh & Mclennan Cos Inc
84,697$14.4B0.16%
106
ORealty Income Corp
208,269$14.4B0.16%
107
EWYIshares Msci Sth Kor Etf
200,833$14.3B0.16%
108
EDConsolidated Edison Inc
150,869$14.3B0.16%
109
SOSouthern Co
196,686$14.3B0.15%
110
CICigna Corp
59,418$14.2B0.15%
111
GILDGilead Sciences Inc
239,031$14.2B0.15%
112
INDAIshares Msci India Etf
313,264$14.0B0.15%
113
SBUXStarbucks Corp
150,904$13.7B0.15%
114
ZTSZoetis Inc Cl A
72,783$13.7B0.15%
115
CMECme Group Inc
57,297$13.6B0.15%
116
CSXCSX Corp
362,234$13.6B0.15%
117
SYYSysco Corp
166,061$13.6B0.15%
118
MDLZMondelez Intl Inc Cl A
213,309$13.4B0.15%
119
KMBKimberly Clark Corp
106,907$13.2B0.14%
120
PNCPNC Financial Services Group I
71,196$13.1B0.14%
121
WSTWest Pharmaceutical Svsc Inc
31,908$13.1B0.14%
122
CITCintas Corp
30,506$13.0B0.14%
123
SYKStryker Corp
48,160$12.9B0.14%
124
FFord Motor Co
754,774$12.8B0.14%
125
PSAPublic Storage Inc
32,608$12.7B0.14%
126
EEMIshares Msci Emerg Mkt Etf
281,613$12.7B0.14%
127
WBAWalgreens Boots Alliance Inc
283,654$12.7B0.14%
128
ADIAnalog Devices Inc
76,808$12.7B0.14%
129
LRCXEURLam Research Corp
23,596$12.7B0.14%
130
ECLEcolab Inc
71,252$12.6B0.14%
131
DDominion Energy Inc
147,656$12.5B0.14%
132
EQIXEquinix Inc Common Stock REIT
16,818$12.5B0.14%
133
USBUS Bancorp Del
234,001$12.4B0.14%
134
LMTLockheed Martin Corp
28,124$12.4B0.13%
135
TFCTruist Financial Corp
216,000$12.2B0.13%
136
ICEIntercontinental Exchange Inc
92,448$12.2B0.13%
137
TJXTjx Cos Inc
200,227$12.1B0.13%
138
REGNRegeneron Pharmaceuticals
17,334$12.1B0.13%
139
GMGeneral Motors Co
274,088$12.0B0.13%
140
ALBAlbemarle Corp
52,744$11.7B0.13%
141
MCXMccormick & Co Inc Non Vtg
115,754$11.6B0.13%
142
TMUST Mobile Us Inc
89,898$11.5B0.13%
143
EWEdwards Lifesciences Corp
97,168$11.4B0.12%
144
TROWPrice T Rowe Group Inc
75,427$11.4B0.12%
145
NSCNorfolk Southern Corp
39,978$11.4B0.12%
146
EOGEog Resources Inc
94,773$11.3B0.12%
147
PGRProgressive Corp Ohio
98,227$11.2B0.12%
148
WMWaste Management Inc
69,867$11.1B0.12%
149
ESSEssex Property Trust Inc
31,735$11.0B0.12%
150
AONAON PLC Cl A
33,372$10.9B0.12%
151
CINFCincinnati Financial Corp
79,509$10.8B0.12%
152
GWWGrainger W W Inc
20,935$10.8B0.12%
153
EXPDExpeditors Intl Wash Inc
103,847$10.7B0.12%
154
ETNEaton Corp Plc
70,101$10.6B0.12%
155
FCXFreeport-Mcmoran Inc Cl B
213,752$10.6B0.12%
156
ATOAtmos Energy Corp
88,368$10.6B0.11%
157
KLACKla Corporation
28,744$10.5B0.11%
158
MPCMarathon Petroleum Corp
123,007$10.5B0.11%
159
CHTRCharter Communications Inc Cl
19,213$10.5B0.11%
160
HUMHumana Inc
23,957$10.4B0.11%
161
ORLYO'reilly Automotive Inc
15,066$10.3B0.11%
162
NEMNewmont Corporation
127,592$10.1B0.11%
163
FDXFedex Corp
43,778$10.1B0.11%
164
AIGAmerican Intl Group Inc
161,155$10.1B0.11%
165
SLBSchlumberger LTD
244,074$10.1B0.11%
166
CAHCardinal Health Inc
177,382$10.1B0.11%
167
SRESempra
59,315$10.0B0.11%
168
CPTCamden Property Trust
59,916$10.0B0.11%
169
AEPAmerican Electric Power Co Inc
99,656$9.9B0.11%
170
DC4Dexcom Inc
19,257$9.9B0.11%
171
CHDChurch & Dwight Inc
99,020$9.8B0.11%
172
BSXBoston Scientific Corp
222,091$9.8B0.11%
173
MOAltria Group Inc
188,229$9.8B0.11%
174
COFCapital One Financial Corp
74,405$9.8B0.11%
175
FISFidelity Natl Information Serv
97,157$9.8B0.11%
176
TRGPTarga Resources Corp
129,268$9.8B0.11%
177
FTNTFortinet Inc
28,424$9.7B0.11%
178
BROBrown & Brown Inc
134,396$9.7B0.11%
179
VLOValero Energy Corp
95,450$9.7B0.11%
180
DOVDover Corp
61,474$9.6B0.10%
181
ATVIEURActivision Blizzard Inc
120,182$9.6B0.10%
182
PPGPPG Industries Inc
73,219$9.6B0.10%
183
HRLHormel Foods Corp
184,622$9.5B0.10%
184
PEOExelon Corp
199,071$9.5B0.10%
185
AAAlcoa Corp
104,750$9.4B0.10%
186
MRNAModerna Inc
54,482$9.4B0.10%
187
ELLauder Estee Cos Inc Cl A
33,797$9.2B0.10%
188
GPCGenuine Parts Co
72,714$9.2B0.10%
189
TSMTaiwan Semiconductor Mfg Co Lt
87,593$9.1B0.10%
190
STLDSteel Dynamics Inc
109,283$9.1B0.10%
191
METMetlife Inc
127,487$9.0B0.10%
192
SWKStanley Black & Decker Inc
63,897$8.9B0.10%
193
MCKMckesson Corp
29,120$8.9B0.10%
194
DGDollar General Corp
39,498$8.8B0.10%
195
AMCRAmcor Plc
772,400$8.8B0.10%
196
TRVTravelers Companies Inc
47,710$8.7B0.09%
197
FISVFiserv Inc
85,914$8.7B0.09%
198
CLFCleveland Cliffs Inc
270,432$8.7B0.09%
199
VRTXVertex Pharmaceuticals Inc
33,263$8.7B0.09%
200
PSXPhillips 66
99,484$8.6B0.09%
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