Bright Rock Capital Management, LLC Top Holdings and 13F Report (2026) About Bright Rock Capital Management, LLCInvestment ActivityBright Rock Capital Management, LLC has $505.91 million in total holdings as of March 31, 2026.Bright Rock Capital Management, LLC owns shares of 75 different stocks, but just 38 companies or ETFs make up 80% of its holdings.Approximately 13.55% of the portfolio was purchased this quarter.About 11.55% of the portfolio was sold this quarter.This quarter, Bright Rock Capital Management, LLC has purchased 77 new stocks and bought additional shares in 10 stocks.Bright Rock Capital Management, LLC sold shares of 1 stock and completely divested from 8 stocks this quarter.Largest Holdings Alphabet $30,193,800Microsoft $23,690,880iShares U.S. Energy ETF $19,431,000Mastercard $18,737,250Merck & Co., Inc. $17,081,180 Largest New Holdings this Quarter 192446102 - Cognizant Technology Solutions $8,282,250 Holding81369Y803 - Technology Select Sector SPDR Fund $4,852,312 Holding023135106 - Amazon.com $3,957,130 Holding538034109 - Live Nation Entertainment $2,287,650 Holding43300A203 - Hilton Worldwide $2,280,600 Holding Largest Purchases this Quarter Cognizant Technology Solutions 135,000 shares (about $8.28M)NVIDIA 40,000 shares (about $6.98M)McCormick & Company, Incorporated 120,000 shares (about $6.05M)Visa 16,500 shares (about $4.99M)Technology Select Sector SPDR Fund 36,511 shares (about $4.85M) Largest Sales this Quarter TJX Companies 22,500 shares (about $3.59M) Sector Allocation Over TimeMap of 500 Largest Holdings ofBright Rock Capital Management, LLC Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorGOOGLAlphabet$30,193,8000.0%105,0006.0%Computer and TechnologyMSFTMicrosoft$23,690,8800.0%64,0004.7%Computer and TechnologyIYEiShares U.S. Energy ETF$19,431,0000.0%300,0003.8%ETFMAMastercard$18,737,250$3,747,450 â–²25.0%37,5003.7%Business ServicesMRKMerck & Co., Inc.$17,081,1800.0%142,0003.4%MedicalAAPLApple$14,212,2400.0%56,0002.8%Computer and TechnologyNVDANVIDIA$13,952,000$6,976,000 â–²100.0%80,0002.8%Computer and TechnologyTMOThermo Fisher Scientific$13,517,0750.0%27,5002.7%MedicalUNPUnion Pacific$12,980,1700.0%53,5002.6%TransportationHONHoneywell International$11,866,5750.0%52,5002.3%Multi-Sector ConglomeratesSCHWCharles Schwab$11,747,5000.0%125,0002.3%FinanceMKCMcCormick & Company, Incorporated$11,601,200$6,052,800 â–²109.1%230,0002.3%Consumer StaplesTXNTexas Instruments$11,454,2600.0%59,0002.3%Computer and TechnologyTJXTJX Companies$11,179,000$3,593,250 â–¼-24.3%70,0002.2%Retail/WholesaleNKENIKE$10,511,180$2,588,180 â–²32.7%199,0002.1%Consumer DiscretionaryVVisa$10,502,840$4,986,960 â–²90.4%34,7502.1%Business ServicesNEENextEra Energy$10,216,8000.0%110,0002.0%UtilitiesBLACKROCK INC$10,097,9550.0%10,5002.0%COMPEPPepsiCo$10,093,8500.0%65,0002.0%Consumer StaplesCPRTCopart$10,026,400$4,648,000 â–²86.4%302,0002.0%Business ServicesINTUIntuit$9,728,550$4,323,800 â–²80.0%22,5001.9%Computer and TechnologyICEIntercontinental Exchange$8,729,040$4,797,040 â–²122.0%55,5001.7%FinanceLINDE PLC$8,675,8000.0%17,5001.7%SHSWALMART INC$8,575,3200.0%69,0001.7%COMVZVerizon Communications$8,534,0000.0%170,0001.7%Computer and TechnologyCTSHCognizant Technology Solutions$8,282,250$8,282,250 â–²New Holding135,0001.6%Computer and TechnologyVEEVVeeva Systems$7,553,3800.0%43,0001.5%MedicalXOMExxonMobil$6,786,4000.0%40,0001.3%EnergySLBSLB$6,680,7000.0%130,0001.3%EnergyJPMJPMorgan Chase & Co.$6,471,5200.0%22,0001.3%FinanceZTSZoetis$6,383,3400.0%54,0001.3%MedicalELVElevance Health$6,147,7500.0%21,0001.2%MedicalLULUlululemon athletica$6,124,000$4,593,000 â–²300.0%40,0001.2%Consumer DiscretionaryARISTA NETWORKS INC$5,525,1000.0%45,0001.1%COM SHSAPHAmphenol$5,433,0500.0%43,0001.1%Computer and TechnologyMSMorgan Stanley$5,101,670$2,468,550 â–²93.8%31,0001.0%FinanceEOGEOG Resources$5,059,9500.0%35,0001.0%EnergyCLColgate-Palmolive$5,028,5700.0%59,0001.0%Consumer StaplesWECWEC Energy Group$4,862,3400.0%42,0001.0%UtilitiesXLKTechnology Select Sector SPDR Fund$4,852,312$4,852,312 â–²New Holding36,5111.0%ETFECLEcolab$4,788,3600.0%18,0000.9%Basic MaterialsFASTFastenal$4,714,2400.0%101,6000.9%Retail/WholesaleMETAMeta Platforms$4,577,0400.0%8,0000.9%Computer and TechnologyHSYHershey$4,157,8000.0%20,0000.8%Consumer StaplesAMZNAmazon.com$3,957,130$3,957,130 â–²New Holding19,0000.8%Retail/WholesaleIDXXIDEXX Laboratories$3,933,2300.0%7,0000.8%MedicalMNSTMonster Beverage$3,840,3800.0%53,0000.8%Consumer StaplesAMEAMETEK$3,751,3000.0%17,5000.7%Computer and TechnologyTSCOTractor Supply$3,624,0000.0%80,0000.7%Retail/WholesaleRMDResMed$3,479,4400.0%15,5000.7%MedicalOKEONEOK$3,150,0920.0%34,8500.6%EnergyJKHYJack Henry & Associates$3,097,5840.0%19,6000.6%Computer and TechnologyROLRollins$2,683,8530.0%50,2500.5%ConstructionLECOLincoln Electric$2,490,8000.0%10,0000.5%IndustrialsLYVLive Nation Entertainment$2,287,650$2,287,650 â–²New Holding15,0000.5%Consumer DiscretionaryHLTHilton Worldwide$2,280,600$2,280,600 â–²New Holding7,5000.5%Consumer DiscretionaryATRAptarGroup$2,205,3500.0%17,5000.4%IndustrialsVMCVulcan Materials$2,178,4000.0%8,0000.4%ConstructionTYLTyler Technologies$2,139,8750.0%6,2500.4%Computer and TechnologyDTMDT Midstream$2,020,0500.0%15,0000.4%EnergyEWEdwards Lifesciences$2,002,0000.0%25,0000.4%MedicalHEIHeico$1,919,4000.0%7,0000.4%AerospacePTCPTC$1,781,1250.0%12,5000.4%Computer and TechnologyCTRACoterra Energy$1,757,0000.0%50,0000.3%EnergyBSYBentley Systems$1,756,0000.0%50,0000.3%Computer and TechnologyROSTRoss Stores$1,733,0400.0%8,0000.3%Retail/WholesaleFICOFair Isaac$1,708,064$1,708,064 â–²New Holding1,6000.3%Computer and TechnologyAJGArthur J. Gallagher & Co.$1,624,3500.0%7,5000.3%FinanceSYYSysco$1,426,6000.0%20,0000.3%Consumer StaplesPINSPinterest$1,357,1600.0%74,0000.3%Computer and TechnologyFDSFactSet Research Systems$1,301,9400.0%6,0000.3%Business ServicesMORNMorningstar$1,267,8750.0%7,5000.3%Business ServicesWSTWest Pharmaceutical Services$1,253,2000.0%5,0000.2%MedicalCLXClorox$1,077,7520.0%10,4000.2%Consumer StaplesCMGChipotle Mexican Grill$960,3000.0%30,0000.2%Retail/WholesaleCBChubb$0$14,045,400 â–¼-100.0%00.0%FinanceACNAccenture$0$9,390,500 â–¼-100.0%00.0%Computer and TechnologySBUXStarbucks$0$7,999,950 â–¼-100.0%00.0%Retail/WholesaleXLIIndustrial Select Sector SPDR Fund$0$7,756,000 â–¼-100.0%00.0%ETFORCLOracle$0$6,821,850 â–¼-100.0%00.0%Computer and TechnologyROPER TECHNOLOGIES INC$0$6,231,820 â–¼-100.0%00.0%COMHDHome Depot$0$1,720,500 â–¼-100.0%00.0%Retail/WholesaleCHEChemed$0$855,720 â–¼-100.0%00.0%MedicalShowing largest 100 holdings. View all holdings. 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