RMEIX
Aspiriant Risk-Managed Equity Allocation Fund
Aspiriant Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
132
Top-10 weight
73.95%
Effective holdings ?
8
Crowding ?
351.7

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 GMO Quality VI GQLOX 13,148,277 $427.98M 33.34%
2 Schwab Strategic Trust FUNDAMENTAL EMERGING MKTS L FNDE 2,560,111 $97.95M 7.63%
3 Rief Strategic Partners Fund, Series SB 56,514 $91.82M 7.15%
4 Baillie Gifford Emerging Markets Equities Fund, Class K 2,328,476 $64.31M 5.01%
5 GMO Investments ICAV - GMO Equity Dislocation Investment Fund, Class A shares 2,319,734 $61.36M 4.78%
6 AQR LARGE CAP DEF STYLE-R6 MUTUAL FUND 2,896,301 $51.84M 4.04%
7 Viking Global Equities LP, Class H Interests 44,194 $50.24M 3.91%
8 JPMorgan Prime Money Market Fund, Institutional Class 44,041,735 $44.05M 3.43%
9 ISHARES MSCI GLOBAL MIN VOL MUTUAL FUND ACWV US 333,716 $39.88M 3.11%
10 iShares Trust MSCI ACWI ETF ACWI 215,172 $29.77M 2.32%
11 MICROSOFT CORP 39,623 $14.67M 1.14%
12 TSMC 228,020 $13.19M 1.03%
13 Deutsche Bank Securities Inc. N/A 10,237,549 $10.24M 0.80%
14 AMAZON.COM INC 46,553 $9.70M 0.76%
15 APPLE INC 37,732 $9.58M 0.75%
16 NVIDIA CORP 51,303 $8.95M 0.70%
17 META PLATFORMS INC CL A 14,763 $8.45M 0.66%
18 ALPHABET INC CL A 28,675 $8.25M 0.64%
19 BROADCOM INC 25,459 $7.88M 0.61%
20 JOHNSON&JOHNSON 30,254 $7.40M 0.58%
21 ALPHABET INC CL C 24,917 $7.15M 0.56%
22 LAM RESEARCH CORP 29,424 $6.29M 0.49%
23 SAFRAN SA 19,167 $6.27M 0.49%
24 LILLY ELI and CO 6,421 $5.91M 0.46%
25 MERCK & CO 47,317 $5.69M 0.44%
26 THERMO FISHER SCIENTIFIC INC 10,874 $5.34M 0.42%
27 SALESFORCE INC 25,719 $4.80M 0.37%
28 MASTERCARD INC CL A 9,162 $4.58M 0.36%
29 NETFLIX INC 43,475 $4.18M 0.33%
30 TEXAS INSTRUMENTS INC 21,147 $4.11M 0.32%
31 US BANCORP DEL 78,850 $4.10M 0.32%
32 VISA INC-CLASS A 12,881 $3.89M 0.30%
33 ABBOTT LABS 37,289 $3.83M 0.30%
34 UNITEDHEALTH GRP 13,326 $3.61M 0.28%
35 BRITISH AMERICAN TOBACCO PLC 62,085 $3.60M 0.28%
36 WELLTOWER INC 16,698 $3.30M 0.26%
37 SAP SE 18,516 $3.16M 0.25%
38 ACCENTURE PLC CL A 15,869 $3.15M 0.25%
39 HALEON PLC 610,860 $3.02M 0.24%
40 JABIL INC 11,286 $3.00M 0.23%
41 SABESP 96,015 $2.93M 0.23%
42 Compass Group PLC 103,617 $2.89M 0.23%
43 THE CIGNA GROUP 10,517 $2.81M 0.22%
44 ASML Holding NV 2,096 $2.79M 0.22%
45 HILTON WORLDWIDE HOLDINGS INC 8,939 $2.72M 0.21%
46 COCA-COLA CO/THE 34,754 $2.64M 0.21%
47 UNILEVER PLC 48,120 $2.64M 0.21%
48 TENCENT HOLDINGS LTD 41,856 $2.64M 0.21%
49 KLA CORP 1,765 $2.60M 0.20%
50 CONSTELLATION BRANDS INC CL A 17,148 $2.57M 0.20%
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