Universe · entity

Distillate Capital Partners LLC

Institutional manager (13F) · CIK 1741001
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $1.2B
#IssuerValueShares
1ABBVIE INC$57M260,373
2MERCK & CO INC$54M446,915
3SALESFORCE INC$40M214,724
4T-MOBILE US INC$37M177,574
5UBER TECHNOLOGIES INC$34M476,249
6COMCAST CORP NEW$34M1,201,266
7BOOKING HOLDINGS INC$34M8,046
8QUALCOMM INC$33M253,567
9ACCENTURE PLC IRELAND$31M157,445
10ADOBE INC$31M127,529
11ABBOTT LABORATORIES$29M282,963
12THE CIGNA GROUP$29M107,066
13MARATHON PETE CORP$28M114,758
14ALTRIA GROUP INC$27M411,843
15PAYPAL HLDGS INC$24M535,580
16MARSH & MCLENNAN COS INC$24M137,460
17DIAMONDBACK ENERGY INC$24M120,280
18AUTOMATIC DATA PROCESSING IN$23M112,899
19PERMIAN RESOURCES CORP$22M1,051,656
20REGENERON PHARMACEUTICALS$22M28,570
21MCKESSON CORP$22M25,501
22GALLAGHER ARTHUR J & CO$21M98,409
23AON PLC$21M65,551
24PACCAR INC$21M177,553
25GENERAL DYNAMICS CORP$20M58,779
26COTERRA ENERGY INC$20M572,461
27OMNICOM GROUP INC$20M266,661
28KROGER CO$20M277,002
29CARDINAL HEALTH INC$20M93,721
30COGNIZANT TECHNOLOGY SOLUTIO$19M314,535
31ROPER TECHNOLOGIES INC$19M54,107
32ZOETIS INC$19M161,152
33EMCOR GROUP INC$19M25,547
34ALIGN TECHNOLOGY INC$19M109,773
35CONSTELLATION BRANDS INC$18M122,522
36VISTRA CORP$18M121,831
37DOORDASH INC$18M121,095
38D R HORTON INC$18M132,415
39UNITEDHEALTH GROUP INC$18M66,080
40TECHNIPFMC PLC$18M258,065
41TE CONNECTIVITY PLC$18M84,450
42WORKDAY INC$17M133,000
43JABIL INC$17M64,799
44GODADDY INC$17M207,127
45ICON PLC$17M153,865
46INCYTE CORP$17M180,044
47AIRBNB INC$17M133,341
48PULTE GROUP INC$17M142,948
49BORGWARNER INC$17M309,292
50TEXTRON INC$17M190,805
All filings on EDGAR ↗

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