WLCVX
Large Company Value Portfolio
Wilshire Mutual Funds Inc

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
512
Top-10 weight
13.83%
Effective holdings ?
183
Crowding ?
952.6

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 Voya VACS Series SC Fund VVIRX 365,774 $3.80M 2.25%
2 WORKDAY INC CL A 18,460 $2.40M 1.42%
3 APA CORP 55,764 $2.37M 1.40%
4 F5 INC 7,863 $2.28M 1.35%
5 WELLS FARGO & CO 24,284 $1.93M 1.15%
6 CITIGROUP INC 16,866 $1.91M 1.13%
7 JPMORGAN CHASE and CO 6,207 $1.83M 1.08%
8 MICROSOFT CORP 4,852 $1.80M 1.06%
9 AMERICAN INTERNATIONAL GROUP 23,079 $1.74M 1.03%
10 BANK OF AMERICA CORPORATION 35,429 $1.73M 1.02%
11 ALPHABET INC CL A 5,840 $1.68M 1.00%
12 AMAZON.COM INC 8,002 $1.67M 0.99%
13 JOHNSON&JOHNSON 6,470 $1.58M 0.94%
14 Telefonaktiebolaget LM Ericsson (publ) ADR EACH REP 1 ORD'B'SEK1 ERIC 138,682 $1.56M 0.93%
15 GENERAL MOTORS CO 19,764 $1.47M 0.87%
16 SCHWAB CHARLES CORP 15,207 $1.43M 0.85%
17 DOMINION ENERGY INC 23,070 $1.43M 0.85%
18 COMCAST CORP CL A 49,007 $1.41M 0.83%
19 GENERAL DYNAMICS CORPORATION 4,037 $1.39M 0.82%
20 SALESFORCE INC 7,370 $1.38M 0.82%
21 EXXON MOBIL CORP 7,847 $1.33M 0.79%
22 GE HEALTHCARE TECHNOLOGIES INC WI 17,238 $1.23M 0.73%
23 ELEVANCE HEALTH INC 4,185 $1.23M 0.73%
24 PPG INDUSTRIES INC 11,300 $1.21M 0.72%
25 ANALOG DEVICES INC 3,559 $1.13M 0.67%
26 UNITEDHEALTH GRP 4,160 $1.13M 0.67%
27 FEDEX CORP 3,080 $1.10M 0.65%
28 SHELL PLC SPONS ADR 11,647 $1.08M 0.64%
29 US BANCORP DEL 20,825 $1.08M 0.64%
30 SLB LTD 20,870 $1.07M 0.64%
31 MAGNA INTL 18,572 $1.04M 0.61%
32 STATE STREET CORP 8,046 $1.02M 0.60%
33 Voya VACS Series HYB Fund VVITX 96,476 $981.16K 0.58%
34 WHEATON PRECIOUS METALS CORP 7,456 $978.70K 0.58%
35 CONOCOPHILLIPS 7,320 $966.24K 0.57%
36 BERKSHIRE HATH-B 1,908 $914.31K 0.54%
37 FRANCO-NEVADA CORP 3,685 $912.44K 0.54%
38 OVINTIV INC 15,200 $902.27K 0.53%
39 ALPHABET INC CL C 3,130 $897.87K 0.53%
40 CNH INDUSTRIAL NV 80,040 $880.44K 0.52%
41 TAIWAN SEMIC MFG CO LTD SP ADR 2,573 $869.55K 0.52%
42 VERIZON COMMUNICATIONS INC 17,139 $860.38K 0.51%
43 COLGATE-PALMOLIVE CO 9,693 $826.13K 0.49%
44 PACCAR INC 6,851 $791.29K 0.47%
45 CME GROUP INC CL A 2,645 $781.20K 0.46%
46 MEDTRONIC PLC 8,813 $763.65K 0.45%
47 OMNICOM GROUP INC 10,137 $763.42K 0.45%
48 TECHNIPFMC PLC 10,900 $753.52K 0.45%
49 Fannie Mae REMICS 712,330 $718.61K 0.43%
50 BORGWARNER INC 13,019 $706.41K 0.42%
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