Universe · entity

Running Oak Capital LLC

Institutional manager (13F) · CIK 1803994
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $691M
#IssuerValueShares
1TJX COS INC NEW$16M101,996
2NVENT ELEC PLC$16M136,735
3CURTISS WRIGHT CORP$16M23,319
4EMCOR GROUP INC$15M20,762
5FTI CONSULTING INC$15M85,856
6ITT INC$15M79,271
7AIR PRODUCTS AND CHEMICALS I$15M51,401
8WW GRAINGER INC$15M13,644
9GENERAL DYNAMICS CORP$15M43,037
10EATON CORP PLC$15M41,218
11ROPER TECHNOLOGIES INC$15M41,657
12INTERCONTINENTAL EXCHANGE IN$15M93,054
13REPUBLIC SVCS INC$15M66,417
14TELEDYNE TECHNOLOGIES INC$14M23,897
15AMETEK INC$14M67,346
16PARKER-HANNIFIN CORP$14M16,069
17ALPHABET INC$14M49,719
18PRIMERICA INC$14M56,681
19HONEYWELL INTL INC$14M62,236
20INTUIT$14M32,503
21CACI INTL INC$14M25,753
22SAIA INC$14M39,606
23FRANKLIN ELEC INC$14M150,701
24DARDEN RESTAURANTS INC$14M70,123
25VISA INC$14M45,356
26RB GLOBAL INC$14M142,918
27LEIDOS HOLDINGS INC$14M87,529
28MARSH & MCLENNAN COS INC$14M78,427
29IQVIA HLDGS INC$14M79,596
30GALLAGHER ARTHUR J & CO$14M62,501
31JACOBS SOLUTIONS INC$14M106,137
32TEXAS ROADHOUSE INC$13M81,579
33GRACO INC$13M158,049
34THE CIGNA GROUP$13M49,892
35DECKERS OUTDOOR CORP$13M131,746
36STRYKER CORPORATION$13M39,956
37RESMED INC$13M57,797
38SS&C TECH HLDGS$13M190,888
39STERIS PLC$13M58,320
40ALCON AG$13M171,079
41AUTOMATIC DATA PROCESSING IN$13M62,334
42CARLISLE COS INC$13M37,986
43AMDOCS LTD$13M193,340
44WATSCO INC$13M34,761
45BROWN & BROWN INC$13M193,695
46FISERV INC$13M224,675
47BROADRIDGE FINL SOLUTIONS IN$13M76,849
48INGERSOLL RAND INC$12M154,805
49TRACTOR SUPPLY CO$12M273,447
50BECTON DICKINSON & CO$12M77,265
All filings on EDGAR ↗

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