HCMPX
HCM Sector Plus Fund
NORTHERN LIGHTS FUND TRUST III
Fund of funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
59
Top-10 weight
89.25%
Effective holdings ?
7
Crowding ?
177.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 iShares Trust ISHARES 0-3 MONTH TREASURY BOND ETF SGOV 3,766,750 $379.16M 20.79%
2 STATE STREET SPDR BLOOMBERG 1-3 MONTH T-BILL ETF MUTUAL FUND BIL 4,137,350 $379.15M 20.79%
3 VANGUARD DVD A E VIG US 1,201,957 $258.49M 14.17%
4 SPDR S&P 500 ETF Trust 268,284 $174.48M 9.57%
5 VANGUARD HIGH DVD YIELD ETF MUTUAL FUND VYM 1,132,957 $167.79M 9.20%
6 ISHARES SELECT DIVIDEND ETF MUTUAL FUND DVY 1,011,427 $153.14M 8.40%
7 BBH SWEEP VEHICLE 92,501,267 $92.50M 5.07%
8 RALPH LAUREN CORP 26,333 $9.06M 0.50%
9 CITIGROUP INC 73,828 $8.37M 0.46%
10 ENTERGY CORP 64,506 $7.25M 0.40%
11 GENERAL MOTORS CO 97,077 $7.23M 0.40%
12 SYNCHRONY FINANCIAL 102,478 $6.97M 0.38%
13 UNITED AIRLINES HOLDINGS INC 75,425 $6.94M 0.38%
14 AT&T INC 202,853 $5.88M 0.32%
15 VALERO ENERGY CORP 23,556 $5.82M 0.32%
16 FOX CORP CL A 98,267 $5.74M 0.31%
17 DELTA AIR LI 85,071 $5.66M 0.31%
18 FOX CORPORATION B 106,260 $5.64M 0.31%
19 VANGUARD GRW ETF VUG 12,580 $5.49M 0.30%
20 MARATHON PETROLEUM CORP 20,399 $4.98M 0.27%
21 EVERGY INC 60,741 $4.98M 0.27%
22 STEEL DYNAMICS INC 27,639 $4.98M 0.27%
23 M&T BANK CORP 23,871 $4.93M 0.27%
24 KROGER CO 68,091 $4.93M 0.27%
25 PULTEGROUP INC 41,197 $4.85M 0.27%
26 PPL CORPORATION 126,362 $4.83M 0.26%
27 VERIZON COMMUNICATIONS INC 95,278 $4.78M 0.26%
28 ALTRIA GROUP INC 70,078 $4.62M 0.25%
29 CF INDUSTRIES HOLDINGS INC 34,974 $4.54M 0.25%
30 EQT CORPORATION 67,680 $4.31M 0.24%
31 SOUTHWEST AIRLINES CO 113,737 $4.27M 0.23%
32 HEWLETT PACKARD ENTERPRISE CO 178,604 $4.25M 0.23%
33 UNIVERSAL HLTH-B 23,450 $4.20M 0.23%
34 VIATRIS INC 308,928 $4.17M 0.23%
35 PUB SERV ENTERP 51,345 $4.16M 0.23%
36 BORGWARNER INC 76,278 $4.14M 0.23%
37 BERKSHIRE HATH-B 8,633 $4.14M 0.23%
38 NEWS CORP NEW CL B 143,272 $4.08M 0.22%
39 TYSON FOODS INC CL A 63,601 $4.07M 0.22%
40 COTERRA ENERGY INC 106,605 $3.75M 0.21%
41 BUNGE GLOBAL SA 28,136 $3.58M 0.20%
42 ALBEMARLE CORP 19,313 $3.47M 0.19%
43 METLIFE INC 48,523 $3.43M 0.19%
44 AES CORP 237,447 $3.35M 0.18%
45 ALASKA AIR GROUP INC 88,489 $3.25M 0.18%
46 NUCOR CORP 19,174 $3.24M 0.18%
47 APA CORP 76,259 $3.24M 0.18%
48 ARCHER DANIELS MIDLAND CO 40,126 $2.92M 0.16%
49 COGNIZANT TECH SOLUTIONS CL A 44,068 $2.70M 0.15%
50 AMERICAN AIRLINES GROUP INC 245,913 $2.64M 0.14%
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