Waycross Investment Management Co logo

Waycross Investment Management Co Portfolio Analytics

Investment Analysis & Holdings Breakdown

Comprehensive portfolio analytics for Waycross Investment Management Co with $98.0M in long positions as of Q3 2025, 68% allocated to ETF, and 67% concentrated in top 10 positions.

Portfolio Value
$98.0M
Top 10 Concentration
67%
Top Sector
ETF (68%)
US Exposure
98%
Market Cap Focus
N/A
Countries
3

Composition Analysis

Portfolio breakdown by sector, industry, and market capitalization

Sector Allocation

ETF: 68.40%ETFTechnology: 10.20%TechnologyIndustrials: 6.00%Communication Services: 4.90%Basic Materials: 2.70%Consumer Cyclical: 2.70%Consumer Defensive: 2.30%Financial Services: 1.40%Healthcare: 1.10%
ETF
68.40%
Technology
10.20%
Industrials
6.00%
Communication Services
4.90%
Basic Materials
2.70%
Consumer Cyclical
2.70%
Consumer Defensive
2.30%
Financial Services
1.40%
Healthcare
1.10%

Industry Breakdown

20 industries across all sectors

ETF: 68.35%ETFSoftware - Infrastructure: 4.58%Internet Content & Information: 2.92%Hardware, Equipment & Parts: 2.75%Discount Stores: 2.25%Telecommunications Services: 2.02%14 more: 16.77%14 more
ETF
ETF
68.35%
Software - Infrastructure
Technology
4.58%
Internet Content & Information
Communication Services
2.92%
Hardware, Equipment & Parts
Technology
2.75%
Discount Stores
Consumer Defensive
2.25%
Telecommunications Services
Communication Services
2.02%
Aerospace & Defense
Industrials
1.97%
Specialty Retail
Consumer Cyclical
1.93%
Steel
Basic Materials
1.91%
Agricultural - Machinery
Industrials
1.76%
Insurance - Diversified
Financial Services
1.36%
Consumer Electronics
Technology
1.28%

Filter by Sector

Select a sector to filter industries

Market Cap Distribution

Mega Cap (> $200B): 17.81%Mega Cap (> $200B)Large Cap ($10B - $200B): 11.84%Large Cap ($10B - $200B)Mid Cap ($2B - $10B): 1.63%N/A (ETF or Unknown): 68.72%N/A (ETF or Unknown)
Mega Cap (> $200B)
17.81%
Large Cap ($10B - $200B)
11.84%
Mid Cap ($2B - $10B)
1.63%
N/A (ETF or Unknown)
68.72%

Portfolio Concentration

Top 10 Holdings %
66.52%
Top 20 Holdings %
84.34%
Top 50 Holdings %
100.0%
Top 100 Holdings %
100.0%

Geographic Exposure

Portfolio breakdown by country of incorporation

Domestic (US)
98.14%
International
1.86%
Countries
3
Largest Int'l Market
Uruguay - 1.33%
United States of America
98.14% ($96.2M)
40 holdings
Uruguay
1.33% ($1.3M)
1 holdings
Canada
0.53% ($514.9K)
1 holdings

Holding Behavior

Investment patterns and position management analysis

Portfolio Stability & Commitment

Avg. Top 10
7.9 quarters
Avg. Top 20
8.7 quarters
Avg. All Positions
8 quarters
Median Holding Period
11 quarters
Persistence Rate
85.71%
Persistent Holdings Weight
95.84%
Persistent Positions
36
Longest Held
RTX Corporation logo
RTX CorporationRTX - 11 quarters

Position Sizing & Influence

Current Quarter

Avg. New Position
0.37%
Avg. Position Weight
2.38%
Largest Position
iShares Core MSCI EAFE ETF logo
iShares Core MSCI EAFE ETFIEFA - 10.86%
Largest Ownership Stake
Boise Cascade Company logo
Boise Cascade CompanyBCC - 0.03%
Avg. Ownership Stake
0.003%
Ownership Stake >5%
0
Ownership Stake >1%
0

Historical (Since Q4 2022)

Avg. New Position
1.90%
Avg. Ownership Stake
0.005%
Largest Position
BSCN
Guggenheim BulletShares 2023 Corporate Bond ETFBSCN - 17.71% (Q3 2023)
Largest Ownership Stake
Sanmina  Corp logo
Sanmina CorpSANM - 0.04% (Q4 2022)

Portfolio Turnover

Current Quarter

Turnover Ratio
4.3%
Value Traded
$4.21M
Positions Added
4
Positions Exited
1

Historical (Since Q4 2022)

Avg. Turnover Ratio
13.6%
Avg. Positions Added
7
Avg. Positions Exited
4
Highest Turnover
50.0%
Q4 2022
Lowest Turnover
1.6%
Q1 2023

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