RWSNX
Redwood Systematic Macro Trend Fund
Two Roads Shared Trust

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
67
Top-10 weight
77.58%
Effective holdings ?
8
Crowding ?
609.1

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ISHARES MSCI EAFE ETF MUTUAL FUND EFA 296,181 $29.84M 24.73%
2 SCHWAB INTL SMALL-CAP EQUITY MUTUAL FUND SCHC 333,109 $16.26M 13.48%
3 VANGUARD-FTSE AW VSS 105,134 $16.03M 13.29%
4 RDWD-R/E INC-I 627,131 $15.75M 13.05%
5 ALPHABET INC CL A 13,765 $4.65M 3.86%
6 APPLE INC 13,251 $3.44M 2.85%
7 MICROSOFT CORP 6,715 $2.89M 2.39%
8 AMAZON.COM INC 8,621 $2.06M 1.71%
9 META PLATFORMS INC CL A 1,906 $1.37M 1.13%
10 BROADCOM INC 3,871 $1.28M 1.06%
11 TESLA INC 2,373 $1.02M 0.85%
12 BERKSHIRE HATH-B 1,678 $806.33K 0.67%
13 MICROCHIP TECHNOLOGY 8,587 $651.93K 0.54%
14 LOCKHEED MARTIN CORP 1,014 $643.10K 0.53%
15 TEXAS INSTRUMENTS INC 2,736 $589.74K 0.49%
16 VIATRIS INC 43,126 $564.52K 0.47%
17 FRANKLIN RESOURCES INC 20,295 $540.25K 0.45%
18 CHEVRON CORP 3,037 $537.25K 0.45%
19 DOW INC 19,261 $530.64K 0.44%
20 TARGET CORP 5,017 $529.14K 0.44%
21 PPG INDUSTRIES INC 4,563 $527.62K 0.44%
22 MOSAIC CO/THE 18,779 $516.42K 0.43%
23 BRISTOL-MYERS SQUIBB CO 9,312 $512.63K 0.42%
24 KINDER MORGAN INC 16,798 $512.17K 0.42%
25 COMCAST CORP CL A 17,105 $508.87K 0.42%
26 UNITED PARCEL SERVICE INC CL B 4,789 $508.69K 0.42%
27 LKQ CORP 15,438 $507.14K 0.42%
28 DARDEN RESTAURANTS INC 2,541 $506.55K 0.42%
29 STANLEY BLACK and DECKER INC 6,390 $502.64K 0.42%
30 ONEOK INC 6,309 $499.61K 0.41%
31 VERIZON COMMUNICATIONS INC 11,211 $499.11K 0.41%
32 HASBRO INC 5,541 $494.87K 0.41%
33 SNAP-ON INCORPORATED 1,346 $492.78K 0.41%
34 REALTY INCOME CORP REIT 7,992 $488.79K 0.41%
35 OMNICOM GROUP INC 6,330 $487.66K 0.40%
36 HORMEL FOODS CRP 19,735 $485.68K 0.40%
37 ALTRIA GROUP INC 7,807 $483.96K 0.40%
38 EDISON INTL 7,769 $483.85K 0.40%
39 APA CORP 18,308 $483.51K 0.40%
40 MERCK & CO 4,384 $483.42K 0.40%
41 AES CORP 32,737 $479.60K 0.40%
42 FORD MOTOR CO 34,473 $478.49K 0.40%
43 AIR PRODUCTS and CHEMICALS INC 1,755 $478.24K 0.40%
44 EOG RESOURCES INC 4,245 $475.99K 0.39%
45 CONAGRA BRANDS INC 25,578 $473.45K 0.39%
46 EVERSOURCE ENERGY 6,842 $472.99K 0.39%
47 PINNACLE WEST CAPITAL CORP 5,052 $472.67K 0.39%
48 PFIZER INC 17,790 $470.37K 0.39%
49 INTL PAPER CO 11,584 $467.07K 0.39%
50 AT&T INC 17,728 $464.65K 0.39%
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