Telos Capital Management 13F annual report

Telos Capital Management is an investment fund managing more than $714 billion ran by Andrew Weld. There are currently 156 companies in Mr. Weld’s portfolio. The largest investments include Apple Inc and Vanguard Index Fds, together worth $71.5 billion.

Limited to 30 biggest holdings

$714 billion Assets Under Management (AUM)

As of 25th October 2023, Telos Capital Management’s top holding is 230,330 shares of Apple Inc currently worth over $39.4 billion and making up 5.5% of the portfolio value. Relative to the number of outstanding shares of Apple Inc, Telos Capital Management owns more than approximately 0.1% of the company. In addition, the fund holds 168,263 shares of Vanguard Index Fds worth $32.1 billion. The third-largest holding is Qualcomm worth $25.6 billion and the next is Cisco Sys Inc worth $17 billion, with 315,847 shares owned.

Currently, Telos Capital Management's portfolio is worth at least $714 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Telos Capital Management

The Telos Capital Management office and employees reside in San Diego, California. According to the last 13-F report filed with the SEC, Andrew Weld serves as the Portfolio Manager at Telos Capital Management.

Recent trades

In the most recent 13F filing, Telos Capital Management revealed that it had opened a new position in Zoetis Inc and bought 29,740 shares worth $5.17 billion. This means they effectively own approximately 0.1% of the company. Zoetis Inc makes up 6.6% of the fund's Health Care sector allocation and has grown its share price by 2.8% in the past year.

The investment fund also strengthened its position in Pepsico Inc by buying 4,483 additional shares. This makes their stake in Pepsico Inc total 99,509 shares worth $16.9 billion.

On the other hand, there are companies that Telos Capital Management is getting rid of from its portfolio. Telos Capital Management closed its position in Dollar Gen Corp New on 1st November 2023. It sold the previously owned 16,931 shares for $4.17 billion. Andrew Weld also disclosed a decreased stake in Apple Inc by approximately 0.1%. This leaves the value of the investment at $39.4 billion and 230,330 shares.

One of the average hedge funds

The two most similar investment funds to Telos Capital Management are Coastline Trust Co and Ally. They manage $714 billion and $715 billion respectively.


Andrew Weld investment strategy

Telos Capital Management’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Consumer Discretionary — making up 13.2% of the total portfolio value. The fund focuses on investments in the United States as 57.7% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 58% of the total holdings value. On the other hand, small-cap stocks make up only 1.9% of the portfolio. The average market cap of the portfolio companies is close to $168 billion.

The complete list of Telos Capital Management trades based on 13F SEC filings

These positions were updated on November 1st based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Apple Inc
7.25%
230,330
$39,434,878,000 5.53%
Vanguard Index Fds
10.84%
168,263
$32,114,552,000 4.50%
Qualcomm, Inc.
1.68%
230,471
$25,596,125,000 3.59%
Cisco Sys Inc
2.99%
315,847
$16,979,933,000 2.38%
Pepsico Inc
4.72%
99,509
$16,860,800,000 2.36%
Home Depot, Inc.
84.39%
53,026
$16,022,460,000 2.25%
Vanguard Intl Equity Index F
12.07%
356,072
$18,319,246,000 2.57%
Bristol-Myers Squibb Co.
8.71%
260,504
$15,119,673,000 2.12%
Alphabet Inc
5.62%
179,052
$23,494,743,000 3.29%
Procter And Gamble Co
28.30%
100,295
$14,629,099,000 2.05%
Chevron Corp.
2.81%
81,118
$13,678,191,000 1.92%
Vanguard Tax-managed Fds
50.84%
302,619
$13,230,482,000 1.85%
Visa Inc
3.95%
56,034
$12,888,413,000 1.81%
Amazon.com Inc.
2.43%
94,070
$11,958,171,000 1.68%
Johnson Johnson
0.34%
75,425
$11,747,413,000 1.65%
United Parcel Service, Inc.
0.62%
74,337
$11,586,869,000 1.62%
Northrop Grumman Corp.
7.75%
25,546
$11,244,999,000 1.58%
Morgan Stanley
1.25%
136,706
$11,164,741,000 1.56%
Jpmorgan Chase Co
3.41%
76,360
$11,073,769,000 1.55%
Nxp Semiconductors N V
0.05%
53,480
$10,691,764,000 1.50%
Microsoft Corporation
10.42%
32,796
$10,355,484,000 1.45%
Danaher Corp.
5.67%
39,866
$9,890,643,000 1.39%
Jacobs Solutions Inc
1.36%
72,406
$9,883,386,000 1.39%
Berkshire Hathaway Inc.
4.12%
27,015
$9,463,369,000 1.33%
Price T Rowe Group Inc
134.34%
89,629
$9,399,390,000 1.32%
Medtronic Plc
13.13%
118,191
$9,261,474,000 1.30%
Mastercard Incorporated
12.20%
22,460
$8,892,139,000 1.25%
Travelers Companies Inc.
6.05%
52,442
$8,564,353,000 1.20%
Ishares Tr
10.21%
395,945
$40,144,537,000 5.63%
Abbvie Inc
6.52%
50,798
$7,571,950,000 1.06%
IQVIA Holdings Inc
3.43%
36,698
$7,220,332,000 1.01%
AMGEN Inc.
3.72%
24,725
$6,645,032,000 0.93%
Rockwell Automation Inc
10.20%
23,235
$6,642,221,000 0.93%
Costco Whsl Corp New
42.95%
11,726
$6,624,447,000 0.93%
Aptiv PLC
7.47%
60,580
$5,972,583,000 0.84%
Disney Walt Co
7.37%
73,531
$5,959,694,000 0.84%
Sysco Corp.
5.74%
86,668
$5,724,396,000 0.80%
Phillips 66
3.16%
44,915
$5,396,577,000 0.76%
Republic Svcs Inc
83.33%
37,864
$5,395,986,000 0.76%
Carrier Global Corporation
13.36%
97,058
$5,357,608,000 0.75%
Zoetis Inc
Opened
29,740
$5,174,166,000 0.73%
Vertex Pharmaceuticals, Inc.
7.85%
14,836
$5,159,071,000 0.72%
Vanguard Scottsdale Fds
51.93%
132,640
$10,021,607,000 1.40%
Kraft Heinz Co
3.16%
150,031
$5,047,040,000 0.71%
Genuine Parts Co.
12.16%
34,621
$4,998,555,000 0.70%
Starbucks Corp.
0.74%
54,157
$4,942,929,000 0.69%
Enbridge Inc
2.42%
144,275
$4,838,991,000 0.68%
Fedex Corp
1.82%
18,123
$4,801,262,000 0.67%
Oracle Corp.
29.62%
45,131
$4,780,300,000 0.67%
Realty Income Corp.
3.59%
95,247
$4,756,630,000 0.67%
Vanguard Whitehall Fds
22.17%
45,913
$4,743,765,000 0.66%
Wisdomtree Tr
10.53%
81,556
$4,687,051,000 0.66%
The Southern Co.
6.80%
71,544
$4,630,358,000 0.65%
Williams-Sonoma, Inc.
6.17%
29,585
$4,597,509,000 0.64%
WestRock Co
19.23%
125,695
$4,499,878,000 0.63%
American Elec Pwr Co Inc
10.44%
59,331
$4,462,893,000 0.63%
Dollar Gen Corp New
Closed
16,931
$4,169,168,000
Nike, Inc.
1.01%
43,543
$4,163,540,000 0.58%
Pnc Finl Svcs Group Inc
9.57%
33,891
$4,160,744,000 0.58%
RTX Corp
0.71%
57,320
$4,125,342,000 0.58%
Cbre Group Inc
4.66%
53,439
$3,947,005,000 0.55%
Newmont Corp
4.89%
105,833
$3,910,516,000 0.55%
Meta Platforms Inc
4.38%
12,191
$3,659,919,000 0.51%
Resmed Inc.
14.06%
24,312
$3,594,977,000 0.50%
Waste Mgmt Inc Del
18.70%
22,357
$3,408,174,000 0.48%
Abbott Labs
0.51%
35,029
$3,392,559,000 0.48%
Eli Lilly Co
2.80%
5,701
$3,062,179,000 0.43%
Walmart Inc
25.77%
16,892
$2,701,552,000 0.38%
Novartis AG
3.79%
26,119
$2,660,438,000 0.37%
Select Sector Spdr Tr
Closed
19,168
$2,604,011,000
ServiceNow Inc
Opened
4,585
$2,562,832,000 0.36%
Edwards Lifesciences Corp
Opened
35,405
$2,452,859,000 0.34%
Invesco Exchange Traded Fd T
670.26%
16,861
$2,389,011,000 0.33%
Ishares Tr
Opened
29,366
$2,844,135,000 0.40%
American Tower Corp.
4.81%
13,378
$2,200,036,000 0.31%
Select Sector Spdr Tr
3.88%
53,527
$3,806,686,000 0.53%
NVIDIA Corp
44.64%
4,452
$1,936,763,000 0.27%
Spdr Ser Tr
2.58%
60,072
$3,880,722,000 0.54%
Union Pac Corp
22.33%
8,233
$1,676,442,000 0.23%
Pfizer Inc.
2.59%
45,863
$1,521,276,000 0.21%
Merck Co Inc
35.62%
13,774
$1,418,037,000 0.20%
Tesla Inc
Opened
5,632
$1,409,240,000 0.20%
Aflac Inc.
No change
18,082
$1,387,794,000 0.19%
Mid-amer Apt Cmntys Inc
19.69%
9,628
$1,238,637,000 0.17%
UDR Inc
42.99%
34,019
$1,213,445,000 0.17%
Camden Ppty Tr
68.26%
12,389
$1,171,726,000 0.16%
Microchip Technology, Inc.
No change
14,735
$1,150,067,000 0.16%
Exxon Mobil Corp.
7.79%
9,770
$1,148,754,000 0.16%
Illumina Inc
74.41%
7,772
$1,066,942,000 0.15%
Digital Rlty Tr Inc
82.46%
8,724
$1,055,760,000 0.15%
Deere Co
1.27%
2,703
$1,020,111,000 0.14%
Caterpillar Inc.
11.36%
3,536
$965,265,000 0.14%
Netflix Inc.
54.80%
2,548
$962,047,000 0.13%
Coca-Cola Co
21.88%
16,061
$899,122,000 0.13%
Emerson Elec Co
0.32%
9,139
$882,554,000 0.12%
Spdr Ser Tr
Opened
9,458
$868,434,000 0.12%
Alexandria Real Estate Eq In
54.56%
8,479
$848,722,000 0.12%
Wells Fargo Co New
12.83%
20,391
$833,177,000 0.12%
Prologis Inc
7.51%
7,227
$810,903,000 0.11%
Lockheed Martin Corp.
191.19%
1,785
$730,101,000 0.10%
Ishares Inc
2.42%
23,866
$1,275,361,000 0.18%
Unitedhealth Group Inc
24.39%
1,336
$673,598,000 0.09%
NextEra Energy Inc
35.97%
11,588
$663,864,000 0.09%
Goldman Sachs Group, Inc.
0.64%
1,884
$609,599,000 0.09%
Sl Green Rlty Corp
9.84%
15,880
$592,312,000 0.08%
Kimco Rlty Corp
27.45%
33,050
$581,357,000 0.08%
Sei Invts Co
Closed
9,600
$559,680,000
Kimberly-Clark Corp.
8.51%
4,300
$519,655,000 0.07%
International Business Machs
15.89%
3,683
$516,730,000 0.07%
Us Bancorp Del
Closed
11,357
$495,279,000
Asml Holding N V
25.71%
797
$469,163,000 0.07%
Rbb Fd Inc
Closed
45,500
$663,967,000
Intuit Inc
No change
900
$459,846,000 0.06%
Arista Networks Inc
14.07%
2,326
$427,822,000 0.06%
Hawaiian Elec Industries
Closed
9,797
$410,020,000
VanEck ETF Trust
1.53%
29,792
$403,389,000 0.06%
Xylem Inc
2.15%
4,424
$402,682,000 0.06%
General Electric Co.
6.17%
3,603
$398,312,000 0.06%
Smucker J M Co
Closed
2,465
$390,604,000
Columbia Etf Tr Ii
67.12%
13,916
$381,577,000 0.05%
Crown Castle Inc
Opened
4,070
$374,563,000 0.05%
Comcast Corp New
12.62%
8,394
$372,190,000 0.05%
Otis Worldwide Corporation
77.00%
4,568
$366,823,000 0.05%
D.R. Horton Inc.
1.51%
3,403
$365,681,000 0.05%
Broadcom Inc.
6.64%
436
$362,133,000 0.05%
Spdr Sp 500 Etf Tr
52.05%
843
$360,309,000 0.05%
Honeywell International Inc
48.73%
1,903
$351,491,000 0.05%
Regency Ctrs Corp
13.29%
5,908
$351,146,000 0.05%
Organon Co
Closed
12,347
$344,852,000
Applied Matls Inc
8.19%
2,379
$329,373,000 0.05%
Simulations Plus Inc.
No change
7,724
$322,091,000 0.05%
Spdr Gold Tr
17.69%
1,861
$319,069,000 0.04%
Weyerhaeuser Co Mtn Be
0.31%
9,978
$305,941,000 0.04%
Lam Research Corp.
0.62%
484
$303,357,000 0.04%
Mondelez International Inc.
1.31%
4,315
$299,461,000 0.04%
Schwab Charles Corp
Closed
3,553
$295,823,000
Micron Technology Inc.
No change
4,296
$292,257,000 0.04%
Regeneron Pharmaceuticals, Inc.
15.48%
355
$292,151,000 0.04%
Target Corp
93.03%
2,632
$291,015,000 0.04%
Intel Corp.
48.06%
8,112
$288,396,000 0.04%
Lamb Weston Holdings Inc
0.52%
3,105
$287,107,000 0.04%
Moderna Inc
Closed
1,589
$285,416,000
Ichor Holdings Ltd
45.89%
9,107
$281,953,000 0.04%
Lennar Corp.
5.55%
2,485
$278,840,000 0.04%
Grainger W W Inc
No change
400
$276,736,000 0.04%
Brandywine Rlty Tr
14.72%
60,762
$275,858,000 0.04%
L3Harris Technologies Inc
1.80%
1,581
$275,284,000 0.04%
Blackrock Inc.
Closed
388
$274,948,000
3M Co.
14.99%
2,932
$274,518,000 0.04%
Spirit Rlty Cap Inc New
13.86%
7,798
$261,453,000 0.04%
Alexander Baldwin Inc New
11.33%
15,564
$260,387,000 0.04%
KLA Corp.
Opened
552
$253,181,000 0.04%
Agilent Technologies Inc.
0.67%
2,240
$250,459,000 0.04%
Spdr Ser Tr
Closed
1,915
$239,586,000
American Homes 4 Rent
1.73%
6,924
$233,278,000 0.03%
Ishares Gold Tr
Closed
6,659
$230,335,000
Spdr Index Shs Fds
3.64%
7,355
$228,094,000 0.03%
Toronto Dominion Bk Ont
28.35%
3,745
$225,679,000 0.03%
Boeing Co.
Closed
1,165
$221,995,000
Verizon Communications Inc
93.71%
6,763
$219,179,000 0.03%
Hubbell Inc.
48.18%
699
$219,074,000 0.03%
Texas Instrs Inc
15.31%
1,355
$215,459,000 0.03%
Automatic Data Processing In
Closed
901
$215,213,000
Mcdonalds Corp
0.73%
815
$214,788,000 0.03%
Sempra
124.64%
3,100
$210,893,000 0.03%
American Wtr Wks Co Inc New
No change
1,700
$210,511,000 0.03%
Norfolk Southn Corp
Closed
815
$200,832,000
Conagra Brands Inc
1.99%
7,324
$200,814,000 0.03%
Exelon Corp.
Opened
5,297
$200,174,000 0.03%
B G Foods Inc New
1.60%
20,191
$199,685,000 0.03%
Huntington Bancshares, Inc.
Closed
13,000
$183,300,000
NIO Inc
Opened
13,548
$122,474,000 0.02%
Warner Bros.Discovery Inc
1.32%
10,808
$117,375,000 0.02%
Liberty All Star Equity Fd
Closed
12,748
$72,664,000
No transactions found
Showing first 500 out of 174 holdings