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TQCIX vs EPLIX

Shared holdings
45
TQCIX covered by EPLIX
47.01%
EPLIX covered by TQCIX
47.01%

Coverage = share of one portfolio's weight reproduced by the other (overlapping positions, min weight). Top 50 positions per side shown; = held by both — hover a shared position to highlight it in both columns.

TQCIX (March 31, 2026)

SecurityWeight
MICROSOFT CORP3.22%
BROADCOM INC2.49%
EXXON MOBIL CORP2.40%
JOHNSON&JOHNSON2.18%
APPLE INC2.06%
CHEVRON CORP1.88%
ALPHABET INC CL C1.79%
CISCO SYSTEMS INC1.60%
BANK OF AMERICA CORPORATION1.59%
PROCTER & GAMBLE1.53%
MERCK & CO1.50%
HOME DEPOT INC1.49%
PHILIP MORRIS INTL INC1.49%
ANALOG DEVICES INC1.46%
VERIZON COMMUNICATIONS INC1.44%
KLA CORP1.44%
TEXAS INSTRUMENTS INC1.38%
NEXTERA ENERGY INC1.34%
AT&T INC1.33%
MEDTRONIC PLC1.32%
KINDER MORGAN INC1.29%
VISA INC-CLASS A1.28%
SCHWAB CHARLES CORP1.26%
ENTERGY CORP1.24%
WELLS FARGO & CO1.23%
MCDONALDS CORP1.22%
CATERPILLAR INC1.22%
INTL BUS MACH CORP1.21%
BLACKROCK INC1.21%
PEPSICO INC1.20%
META PLATFORMS INC CL A1.20%
DEERE & CO1.20%
BRISTOL-MYERS SQUIBB CO1.19%
JPMORGAN CHASE and CO1.18%
DUKE ENERGY CORP NEW1.17%
AMERICAN TOWER CORP1.16%
RTX CORP1.16%
SOUTHERN CO1.15%
LOCKHEED MARTIN CORP1.15%
US BANCORP DEL1.14%
PFIZER INC1.10%
LINDE PLC1.09%
MICRON TECHNOLOGY INC1.05%
GOLDMAN SACHS GROUP INC1.03%
CITIGROUP INC1.03%
WALT DISNEY CO/T1.03%
3M CO1.02%
UNION PACIFIC CORP1.01%
YUM! BRANDS INC1.01%
CVS HEALTH CORP1.00%

EPLIX (Jan. 31, 2026)

SecurityWeight
JOHNSON&JOHNSON2.35%
BANK OF AMERICA CORPORATION2.13%
JPMORGAN CHASE and CO2.09%
BROADCOM INC2.06%
CUMMINS INC2.03%
ABBVIE INC2.01%
METLIFE INC1.88%
CHEVRON CORP1.83%
MEDTRONIC PLC1.73%
INTL BUS MACH CORP1.60%
WALMART INC1.60%
CISCO SYSTEMS INC1.59%
AMERICAN ELECTRIC POWER CO INC1.57%
CVS HEALTH CORP1.53%
NYLI U.S. Government Liquidity Fund1.50%
MERCK & CO1.49%
MICROSOFT CORP1.42%
WELLS FARGO & CO1.40%
ENTERGY CORP1.39%
PHILIP MORRIS INTL INC1.37%
TRAVELERS COS IN1.35%
US BANCORP DEL1.33%
HASBRO INC1.31%
EMERSON ELECTRIC CO1.30%
BLACKROCK INC1.28%
NEXTERA ENERGY INC1.27%
ANALOG DEVICES INC1.27%
LILLY ELI and CO1.26%
EATON CORP PLC1.24%
VERIZON COMMUNICATIONS INC1.21%
MCDONALDS CORP1.17%
AT&T INC1.17%
ALPHABET INC CL C1.16%
NUTRIEN LTD1.16%
COLUMBIA BANKING SYSTEMS INC1.09%
Enterprise Products Partners LP1.03%
MPLX LP PARTNERSHIP SHARES1.03%
PROCTER & GAMBLE1.02%
META PLATFORMS INC CL A1.01%
LOCKHEED MARTIN CORP0.98%
COMCAST CORP CL A0.97%
HONEYWELL INTL INC0.97%
UNITEDHEALTH GRP0.95%
LINDE PLC0.95%
MARSH & MCLENNAN0.95%
DELL TECHNOLOGIES INC CL C0.94%
COCA-COLA EUROPA0.94%
OMNICOM GROUP INC0.93%
PROLOGIS INC REIT0.93%
MSC INDUSTRIAL DIRECT CO CL A0.93%

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