Bright Rock Capital Management, LLC Top Holdings and 13F Report (2024) About Bright Rock Capital Management, LLCInvestment ActivityBright Rock Capital Management, LLC has $474.36 million in total holdings as of June 30, 2024.Bright Rock Capital Management, LLC owns shares of 70 different stocks, but just 37 companies or ETFs make up 80% of its holdings.Approximately 8.00% of the portfolio was purchased this quarter.About 8.92% of the portfolio was sold this quarter.This quarter, Bright Rock Capital Management, LLC has purchased 69 new stocks and bought additional shares in 7 stocks.Bright Rock Capital Management, LLC sold shares of 6 stocks and completely divested from 3 stocks this quarter.Largest Holdings Microsoft $29,498,700Alphabet $27,322,500Mastercard $19,852,200JPMorgan Chase & Co. $17,192,100UnitedHealth Group $15,277,800 Largest New Holdings this Quarter Honeywell International $5,338,500 HoldingSchlumberger $4,718,000 HoldingYum! Brands $3,973,800 HoldingDomino's Pizza $3,949,925 Holding Largest Purchases this Quarter Honeywell International 25,000 shares (about $5.34M)Schlumberger 100,000 shares (about $4.72M)Veeva Systems 23,000 shares (about $4.21M)Yum! Brands 30,000 shares (about $3.97M)Domino's Pizza 7,650 shares (about $3.95M) Largest Sales this Quarter Meta Platforms 10,000 shares (about $5.04M)Berkshire Hathaway 10,000 shares (about $4.07M)Alphabet 10,000 shares (about $1.82M)Home Depot 5,000 shares (about $1.72M)AMETEK 2,500 shares (about $416.78K) 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 PortfolioSectorMSFTMicrosoft$29,498,7000.0%66,0006.2%Computer and TechnologyGOOGLAlphabet$27,322,500$1,821,500 ▼-6.3%150,0005.8%Computer and TechnologyMAMastercard$19,852,2000.0%45,0004.2%Business ServicesJPMJPMorgan Chase & Co.$17,192,1000.0%85,0003.6%FinanceUNHUnitedHealth Group$15,277,800$2,546,300 ▲20.0%30,0003.2%MedicalIYEiShares U.S. Energy ETF$14,400,0000.0%300,0003.0%ETFMRKMerck & Co., Inc.$13,865,6000.0%112,0002.9%MedicalAAPLApple$13,058,4400.0%62,0002.8%Computer and TechnologyCPRTCopart$12,835,9200.0%237,0002.7%Business ServicesCLColgate-Palmolive$12,032,9600.0%124,0002.5%Consumer StaplesTXNTexas Instruments$11,477,2700.0%59,0002.4%Computer and TechnologyWMTWalmart$10,765,8900.0%159,0002.3%Retail/WholesaleADPAutomatic Data Processing$10,263,6700.0%43,0002.2%Business ServicesBRK.BBerkshire Hathaway$10,170,000$4,068,000 ▼-28.6%25,0002.1%FinanceINTUIntuit$9,858,1500.0%15,0002.1%Computer and TechnologyNEENextEra Energy$9,559,3500.0%135,0002.0%UtilitiesTJXTJX Companies$9,418,7250.0%85,5472.0%Retail/WholesaleVEEVVeeva Systems$9,150,500$4,209,230 ▲85.2%50,0001.9%Computer and TechnologyCBChubb$8,927,8000.0%35,0001.9%FinanceWSTWest Pharmaceutical Services$8,564,1400.0%26,0001.8%MedicalACNAccenture$8,495,4800.0%28,0001.8%Computer and TechnologyBLKBlackRock$8,266,860$3,936,600 ▲90.9%10,5001.7%FinanceMETAMeta Platforms$8,067,520$5,042,200 ▼-38.5%16,0001.7%Computer and TechnologyLinde PLC$7,679,1750.0%17,5001.6%SHSUNPUnion Pacific$7,579,7100.0%33,5001.6%TransportationPEPPepsiCo$7,421,8500.0%45,0001.6%Consumer StaplesVZVerizon Communications$7,010,8000.0%170,0001.5%Computer and TechnologyNKENIKE$7,009,410$3,768,500 ▲116.3%93,0001.5%Consumer DiscretionaryROPRoper Technologies$6,763,9200.0%12,0001.4%Computer and TechnologyHONHoneywell International$5,338,500$5,338,500 ▲New Holding25,0001.1%Multi-Sector ConglomeratesTSCOTractor Supply$5,265,0000.0%19,5001.1%Retail/WholesaleANETArista Networks$5,257,2000.0%15,0001.1%Computer and TechnologyTMOThermo Fisher Scientific$5,253,5000.0%9,5001.1%MedicalHDHome Depot$5,163,600$1,721,200 ▼-25.0%15,0001.1%Retail/WholesaleOKEONEOK$4,880,7680.0%59,8501.0%Oils/EnergyVVisa$4,790,0780.0%18,2501.0%Business ServicesSLBSchlumberger$4,718,000$4,718,000 ▲New Holding100,0001.0%Oils/EnergyXOMExxon Mobil$4,604,800$1,381,440 ▲42.9%40,0001.0%Oils/EnergyAPHAmphenol$4,581,160$2,290,580 ▲100.0%68,0001.0%Computer and TechnologyEOGEOG Resources$4,405,4500.0%35,0000.9%Oils/EnergyECLEcolab$4,284,0000.0%18,0000.9%Basic MaterialsYUMYum! Brands$3,973,800$3,973,800 ▲New Holding30,0000.8%Retail/WholesaleDPZDomino's Pizza$3,949,925$3,949,925 ▲New Holding7,6500.8%Retail/WholesaleSPGIS&P Global$3,791,0000.0%8,5000.8%Business ServicesHSYHershey$3,676,6000.0%20,0000.8%Consumer StaplesWECWEC Energy Group$3,609,1600.0%46,0000.8%UtilitiesIDXXIDEXX Laboratories$3,410,4000.0%7,0000.7%MedicalJKHYJack Henry & Associates$3,253,9920.0%19,6000.7%Computer and TechnologyADIAnalog Devices$3,195,640$410,868 ▼-11.4%14,0000.7%Computer and TechnologyFASTFastenal$3,192,2720.0%50,8000.7%Retail/WholesaleATRAptarGroup$3,168,2250.0%22,5000.7%Industrial ProductsTYLTyler Technologies$3,142,3750.0%6,2500.7%Computer and TechnologyRMDResMed$2,967,0100.0%15,5000.6%MedicalAMEAMETEK$2,917,425$416,775 ▼-12.5%17,5000.6%Computer and TechnologyMNSTMonster Beverage$2,647,3500.0%53,0000.6%Consumer StaplesROLRollins$2,451,6980.0%50,2500.5%ConstructionFDSFactSet Research Systems$2,449,6200.0%6,0000.5%Business ServicesEWEdwards Lifesciences$2,309,2500.0%25,0000.5%MedicalMORNMorningstar$2,218,8750.0%7,5000.5%Business ServicesGNTXGentex$2,022,6000.0%60,0000.4%Auto/Tires/TrucksAJGArthur J. Gallagher & Co.$1,944,8250.0%7,5000.4%FinanceVVVValvoline$1,944,0000.0%45,0000.4%Basic MaterialsCMGChipotle Mexican Grill$1,879,500$1,841,910 ▲4,900.0%30,0000.4%Retail/WholesaleSEICSEI Investments$1,785,4440.0%27,6000.4%FinanceLWLamb Weston$1,681,6000.0%20,0000.4%Consumer StaplesJBHTJ.B. Hunt Transport Services$1,680,0000.0%10,5000.4%TransportationCTRACoterra Energy$1,333,5000.0%50,0000.3%Oils/EnergyBF.BBrown-Forman$1,274,1050.0%29,5000.3%Consumer StaplesFNDFloor & Decor$1,093,5100.0%11,0000.2%Retail/WholesaleDTMDT Midstream$1,065,4500.0%15,0000.2%Oils/EnergyDHRDanaher$0$13,734,600 ▼-100.0%00.0%Multi-Sector ConglomeratesSBUXStarbucks$0$9,139,000 ▼-100.0%00.0%Retail/WholesaleTTCToro$0$5,955,950 ▼-100.0%00.0%Consumer DiscretionaryShowing largest 100 holdings. View all holdings. 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