Universe · entity

BRIGHT ROCK CAPITAL MANAGEMENT, LLC

Institutional manager (13F) · CIK 1509973
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $458M
#IssuerValueShares
1ALPHABET INC$30M105,000
2MICROSOFT CORP$24M64,000
3ISHARES TR$19M300,000
4MASTERCARD INCORPORATED$19M37,500
5MERCK & CO INC$17M142,000
6APPLE INC$14M56,000
7NVIDIA CORPORATION$14M80,000
8THERMO FISHER SCIENTIFIC INC$14M27,500
9UNION PAC CORP$13M53,500
10HONEYWELL INTL INC$12M52,500
11SCHWAB CHARLES CORP$12M125,000
12MCCORMICK & CO INC$12M230,000
13TEXAS INSTRS INC$11M59,000
14TJX COS INC NEW$11M70,000
15NIKE INC$11M199,000
16VISA INC$11M34,750
17NEXTERA ENERGY INC$10M110,000
18BLACKROCK INC$10M10,500
19PEPSICO INC$10M65,000
20COPART INC$10M302,000
21INTUIT$10M22,500
22INTERCONTINENTAL EXCHANGE IN$9M55,500
23LINDE PLC$9M17,500
24WALMART INC$9M69,000
25VERIZON COMMUNICATIONS INC$9M170,000
26COGNIZANT TECHNOLOGY SOLUTIO$8M135,000
27VEEVA SYS INC$8M43,000
28EXXON MOBIL CORP$7M40,000
29SLB LIMITED$7M130,000
30JPMORGAN CHASE & CO$6M22,000
31ZOETIS INC$6M54,000
32ELEVANCE HEALTH INC FORMERLY$6M21,000
33LULULEMON ATHLETICA INC$6M40,000
34ARISTA NETWORKS INC$6M45,000
35AMPHENOL CORP$5M43,000
36MORGAN STANLEY$5M31,000
37EOG RES INC$5M35,000
38COLGATE PALMOLIVE CO$5M59,000
39WEC ENERGY GROUP INC$5M42,000
40SELECT SECTOR SPDR TR$5M36,511
41ECOLAB INC$5M18,000
42FASTENAL CO$5M101,600
43META PLATFORMS INC$5M8,000
44HERSHEY CO$4M20,000
45AMAZON COM INC$4M19,000
46IDEXX LABS INC$4M7,000
47MONSTER BEVERAGE CORP NEW$4M53,000
48AMETEK INC$4M17,500
49TRACTOR SUPPLY CO$4M80,000
50RESMED INC$3M15,500
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.