Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-04-082021-03-31Q1_202113F-HR262$1,595,027,0006.69%
2021-01-062020-12-31Q4_202013F-HR258$1,495,037,000-11.46%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
APPLE INCAAPLDECR$86,774-0.09%5.44%$122.15-0.01%710,396
PEPSICO INCPEPDECR$47,209-0.04%2.96%$141.450.01%333,745
MICROSOFT CORPMSFTINCR$46,0760.10%2.89%$235.770.04%195,428
INCR$45,2970.03%2.84%$9.970.03%4,543,348
Vanguard 500 Index FundVOOINCR$42,4460.07%2.66%$366.700.01%115,750
DECR$39,861-0.08%2.50%$128.45-0.02%310,322
INCR$39,1090.21%2.45%$19.780.03%1,977,152
INCR$37,8980.38%2.38%$22.710.41%1,668,777
INCR$37,2270.04%2.33%$3.800.04%9,796,506
INCR$36,7980.51%2.31%$45.990.43%800,108
Primecap Odyssey Aggressive GrINCR$35,2690.07%2.21%$57.010.01%618,663
VICTORY SYCAMORE VAL IINCR$32,4900.28%2.04%$47.470.10%684,428
AMAZON COM INCAMZNINCR$31,9770.01%2.00%$3094.050.06%10,335
DECR$29,314-0.03%1.84%$166.71-0.03%175,843
ALPHABET INC USD 0.001 CLS AGOOGLINCR$28,7270.23%1.80%$2062.540.04%13,928
INCR$26,9680.15%1.69%$28.460.06%947,569
Legg Mason Global Asset ManageINCR$26,1410.01%1.64%$65.630.04%398,303
J P MORGAN CHASE & CO COMJPMINCR$23,0640.25%1.45%$152.230.04%151,504
BROADCOM LTD NPVAVGOINCR$20,8400.09%1.31%$463.660.02%44,947
Vanguard Intermediate-Term BonDECR$18,953-0.50%1.19%$11.96-0.48%1,584,725
DISNEY WALT CODISINCR$18,7100.06%1.17%$184.520.04%101,398
ACCENTURE PLCACNINCR$18,1940.09%1.14%$276.260.03%65,859
Vanguard Mid Cap Index AdmINCR$18,2230.19%1.14%$273.980.12%66,511
INCR$17,3630.05%1.09%$12.600.05%1,378,034
PROCTER AND GAMBLE COPGDECR$16,664-0.01%1.04%$135.430.02%123,047
FIRST REP BK SAN FRANCISCO CFRCINCR$15,6450.17%0.98%$166.750.04%93,824
HOME DEPOT INCHDINCR$15,6100.21%0.98%$305.260.06%51,137
LOWES COS INCLOWINCR$15,6540.18%0.98%$190.180.00%82,312
INCR$14,7050.05%0.92%$10.690.06%1,375,562
FACEBOOK INCFBINCR$14,0760.10%0.88%$294.530.02%47,792
UNION PAC CORPUNPINCR$13,9170.06%0.87%$220.410.01%63,142
PNC FINL SVCS GROUP INCPNCINCR$13,7850.14%0.86%$175.41-0.04%78,588
GOLDMAN SACHS GROUPGSINCR$12,9870.28%0.81%$326.990.04%39,717
EDWARDS LIFESCIENCES CORPORATIONEWDECR$12,759-0.08%0.80%$83.640.00%152,543
BK OF AMERICA CORPBACINCR$11,8690.34%0.74%$38.690.05%306,776
THERMO FISHER SCIENTIFIC INCTMOINCR$11,7440.01%0.74%$456.410.03%25,731
JOHNSON & JOHNSONJNJINCR$11,6080.10%0.73%$164.350.05%70,630
TEXAS INSTRUMENTS INCTXNINCR$11,5820.20%0.73%$189.000.05%61,281
INCR$11,6900.09%0.73%$10.770.10%1,085,437
LILLY ELI & COLLYINCR$11,5540.21%0.72%$186.830.09%61,841
UNITEDHEALTH GROUP INCUNHINCR$11,4500.14%0.72%$372.060.07%30,775
HONEYWELL INTL INCHONINCR$11,3340.16%0.71%$217.070.14%52,213
GLOBAL PMTS INCGPNDECR$10,622-0.01%0.67%$201.570.05%52,696
AMGENAMGNINCR$9,7120.12%0.61%$248.800.04%39,035
ABBVIE INCABBVINCR$9,5980.01%0.60%$108.220.00%88,687
CINTAS CORPCTASDECR$9,532-0.01%0.60%$341.310.02%27,928
COMCAST CORP NEWCMCSAINCR$8,9040.14%0.56%$54.100.10%164,569
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$8,7360.17%0.55%$255.480.06%34,195
AIR PRODUCTS & CHEMICALS INCAPDINCR$8,6650.09%0.54%$281.340.06%30,799
MERCK & CO INC NEWMRKDECR$8,516-0.11%0.53%$77.10-0.06%110,458
BOEING COBAINCR$8,1750.26%0.51%$254.710.06%32,095
CHEVRON CORP NEWCVXINCR$8,1360.40%0.51%$104.800.13%77,636
CROWN CASTLE INTL CORP NEWCCIINCR$8,1020.14%0.51%$172.120.05%47,071
MARRIOTT INTL INC NEWMARINCR$7,8220.20%0.49%$148.110.07%52,812
VANGUARD INDEX FDSVOOINCR$7,7480.25%0.49%$364.290.17%21,269
WALMART INCWMTDECR$7,846-0.14%0.49%$135.83-0.09%57,763
NIKE INCNKEINCR$7,7120.02%0.48%$132.890.09%58,034
MEDTRONIC PLC USD 0.1MDTINCR$7,4930.07%0.47%$118.120.06%63,435
Invesco Developing Markets YINCR$7,26013.02%0.46%$53.9012.89%134,701
Vanguard Small Cap Index AdmINCR$7,1760.08%0.45%$102.48-0.02%70,025
MARSH & MCLENNAN COS INCMMCINCR$7,0160.10%0.44%$121.800.06%57,601
QUALCOMM INCORPORATEDQCOMDECR$6,664-0.12%0.42%$132.590.02%50,262
DECR$6,599-0.04%0.41%$1.10-0.01%5,995,000
VERIZON COMMUNICATIONS INCVZINCR$6,4770.03%0.41%$58.160.05%111,374
CONSTELLATION BRANDS INCSTZINCR$6,4340.20%0.40%$228.010.16%28,218
EXXON MOBIL CORPXOMINCR$6,3270.61%0.40%$55.830.19%113,333
DECR$6,3620.00%0.40%$1.020.00%6,225,000
AMERICAN ELEC PWR CO INCAEPINCR$6,1810.11%0.39%$84.700.09%72,971
EATON CORP PLCETNINCR$6,2680.76%0.39%$138.270.53%45,332
INTERCONTINENTAL EXCHANGE INICEDECR$6,239-0.04%0.39%$111.67-0.01%55,868
DECR$6,248-0.02%0.39%$1.05-0.01%5,960,000
ALPHABET INCGOOGINCR$5,9510.18%0.37%$2068.470.00%2,877
LOCKHEED MARTIN CORPLMTDECR$5,706-0.20%0.36%$369.54-0.24%15,441
DECR$5,781-0.12%0.36%$1.11-0.10%5,225,000
BUY$5,6770.00%0.36%$20.520.00%276,639
D R HORTON INCDHIINCR$5,4330.52%0.34%$89.110.18%60,967
PAYPAL HLDGS INCPYPLINCR$5,4060.48%0.34%$242.840.43%22,262
DECR$5,340-0.02%0.33%$1.090.00%4,916,000
ILLINOIS TOOL WORKS INC USD 0.01ITWINCR$5,2260.08%0.33%$221.52-0.01%23,592
Ingersoll-Rand DECR$5,198-0.02%0.33%$1.08-0.01%4,815,000
TRANE TECHNOLOGIES PLC USD 1.0TTINCR$5,2370.25%0.33%$165.580.10%31,629
DECR$5,142-0.01%0.32%$1.030.00%5,015,000
INCR$4,9170.07%0.31%$10.040.07%489,706
INTEL CORPINTCINCR$4,9100.27%0.31%$64.01-0.01%76,711
INCR$4,7240.09%0.30%$37.650.05%125,465
INCR$4,6900.21%0.29%$1.030.21%4,535,000
MONDELEZ INTERNATIONAL INCMDLZDECR$4,399-0.07%0.28%$58.53-0.07%75,160
ADOBE SYSTEMS INCORPORATEDADBEINCR$4,3730.12%0.27%$475.380.18%9,199
ANALOG DEVICES INCADIINCR$4,3390.18%0.27%$155.090.13%27,977
CISCO SYSTEMSCSCOINCR$3,9650.18%0.25%$51.700.02%76,686
SPECTRA ENERGY PARTNERS LP NOTE M/W CLBLDECR$4,015-0.03%0.25%$1.10-0.01%3,650,000
BRISTOL MYERS SQUIBB COBMYDECR$3,815-0.11%0.24%$63.13-0.13%60,434
DECR$3,825-0.01%0.24%$1.060.00%3,600,000
TJX COMPANIES, INC.TJXINCR$3,8470.28%0.24%$66.150.32%58,155
FIDELITY NATL INFORMATION SVFISDECR$3,614-0.13%0.23%$140.61-0.12%25,703
Invesco Oppenheimer International Gr YDECR$3,622-0.02%0.23%$46.91-0.02%77,205
DECR$3,706-0.11%0.23%$10.03-0.11%369,482
DECR$3,734-0.02%0.23%$1.050.00%3,550,000
PFIZER COMPANY INCPFEDECR$3,468-0.29%0.22%$36.23-0.28%95,724
ULTA BEAUTY INCULTAINCR$3,5220.22%0.22%$309.190.14%11,391
ACTIVISION BLIZZARD INCATVIINCR$3,3900.10%0.21%$92.990.10%36,455
DECR$3,425-0.01%0.21%$1.060.00%3,235,000
DECR$3,283-0.01%0.21%$1.040.00%3,150,000
DUPONT DE NEMOURS INC USD 0.01DDINCR$3,1710.15%0.20%$77.270.06%41,039
REGIONS FINANCIAL CORP NEWRFBUY$3,1410.00%0.20%$20.660.00%152,055
DECR$3,085-0.02%0.19%$1.09-0.02%2,825,000
TRUIST FINL CORPTFCINCR$2,9960.23%0.19%$58.320.01%51,371
DECR$2,865-0.01%0.18%$1.050.00%2,727,000
BOSTON SCIENTIFIC CORPBSXINCR$2,8090.51%0.18%$38.650.41%72,684
DECR$2,901-0.01%0.18%$1.060.00%2,735,000
ORACLE SYSTEMSORCLINCR$2,8070.08%0.18%$70.180.00%40,000
DECR$2,7310.00%0.17%$1.030.00%2,660,000
AUTOMATIC DATA PROCESSINGADPINCR$2,7270.07%0.17%$188.500.00%14,467
BANK HAWAII CORPBOHINCR$2,6900.14%0.17%$89.48-0.02%30,062
INCR$2,6800.00%0.17%$259.970.00%10,309
INCR$2,7520.06%0.17%$1.040.06%2,650,000
BUY$2,6580.00%0.17%$1.000.00%2,650,000
PUBLIC SVC ENTERPRISE GRP INPEGINCR$2,7110.01%0.17%$60.21-0.03%45,025
SPLUNK INCSPLKDECR$2,694-0.13%0.17%$135.470.09%19,887
TARGET CORPTGTINCR$2,6920.10%0.17%$198.03-0.02%13,594
VANGUARD S&P MID-CAP 400 ETFIVOOINCR$2,6800.33%0.17%$176.460.17%15,188
VOYA FINANCIAL INCVOYAINCR$2,7790.19%0.17%$63.630.10%43,671
WEC ENERGY GROUP INCWECDECR$2,667-0.03%0.17%$93.59-0.05%28,498
FORTIVE CORP USD 0.01FTVDECR$2,503-0.40%0.16%$70.63-0.40%35,440
JOHNSON CTLS INTL PLCJCIINCR$2,5060.26%0.16%$59.68-0.02%41,991
KNIGHT-SWIFT TRANSN HLDGS INKNXINCR$2,4991.28%0.16%$48.090.98%51,961
DECR$2,482-0.01%0.16%$1.010.00%2,464,000
ROYAL BANK OF CANADARYINCR$2,5410.07%0.16%$92.23-0.04%27,551
VANGUARD S&P SMALL-CAP 600 EVIOOINCR$2,6020.41%0.16%$198.910.19%13,081
AT&T INCTDECR$2,335-0.45%0.15%$30.26-0.48%77,156
PHILLIPS 66PSXINCR$2,3620.35%0.15%$81.540.16%28,966
PPG INDS INCPPGINCR$2,3770.16%0.15%$150.250.11%15,820
REPUBLIC SVCS INCRSGINCR$2,3190.11%0.15%$99.340.07%23,343
APPLIED MATLS INCAMATBUY$2,2320.00%0.14%$133.600.00%16,706
ABBOTT LABSABTINCR$2,0390.09%0.13%$119.840.00%17,015
COCA COLA COKODECR$2,022-0.05%0.13%$52.71-0.01%38,364
DECR$2,117-0.37%0.13%$21.84-0.45%96,933
GILEAD SCIENCES INCGILDINCR$2,0520.10%0.13%$64.63-0.01%31,749
INCR$2,0011.54%0.13%$1.041.57%1,925,000
THOMSON REUTERS CORP.TRIINCR$2,0990.08%0.13%$87.600.01%23,962
EASTMAN CHEM COEMNINCR$1,8361.00%0.12%$110.140.82%16,670
FASTENAL COFASTINCR$1,8470.01%0.12%$50.27-0.02%36,739
GALLAGHER ARTHUR J & COAJGDECR$1,880-0.01%0.12%$124.77-0.02%15,068
HEWLETT PACKARD CORPORATIONHPQINCR$1,8750.26%0.12%$31.75-0.02%59,064
RAYTHEON TECHNOLOGIES CORP USD 1.0RTXINCR$1,8470.10%0.12%$77.290.01%23,897
FUNDAMENTAL INVESTORS CL F3INCR$1,6810.06%0.11%$73.300.00%22,934
INCR$1,7341.25%0.11%$1.021.27%1,700,000
HUNTINGTON BANCSHARES INCHBANINCR$1,6780.37%0.11%$15.720.10%106,745
KELLOGG COKDECR$1,704-0.01%0.11%$63.32-0.02%26,909
MASTERCARD INCORPORATEDMAINCR$1,7410.08%0.11%$355.960.08%4,891
PRUDENTIAL FINANCIALPRUINCR$1,8340.23%0.11%$91.090.05%20,134
STARBUCKS CORPSBUXINCR$1,7160.12%0.11%$109.270.09%15,704
DECR$1,779-0.16%0.11%$5.91-0.15%301,080
DOMINION ENERGY INCDINCR$1,5330.12%0.10%$75.970.10%20,180
ESSENTIAL UTILS INCWTRGINCR$1,6630.07%0.10%$44.760.13%37,151
NA$1,5900.00%0.10%$999999.990.00%1
SOUTHWEST AIRLINESLUVINCR$1,5720.73%0.10%$61.040.32%25,753
V F CORPVFCINCR$1,6260.05%0.10%$79.930.13%20,344
VANGUARD TAX-MANAGED INTL FDVEAINCR$1,4680.15%0.09%$49.120.11%29,883
DECR$1,315-0.01%0.08%$1.050.00%1,258,000
DECR$1,240-0.01%0.08%$1.010.00%1,225,000
DECR$1,3140.00%0.08%$17.52-0.07%74,991
HUNTSMAN CORPHUNINCR$1,2331.48%0.08%$28.831.16%42,761
BUY$1,2170.00%0.08%$1.070.00%1,135,000
MCDONALDS CORP INCR$1,2020.46%0.08%$1.020.47%1,181,000
TOTAL SETOTINCR$1,3391.07%0.08%$46.530.86%28,779
AMERICAN FUNDS GROWTH FD F3DECR$1,1180.00%0.07%$69.23-0.03%16,149
BANK OF AMERICA COR DECR$1,181-0.01%0.07%$1.010.00%1,175,000
CYRUSONE INCCONEDECR$1,040-0.02%0.07%$67.700.06%15,361
DECR$1,1780.00%0.07%$1.000.00%1,175,000
NA$1,1240.00%0.07%$999999.990.00%1
ORACLE CORP DECR$1,128-0.02%0.07%$1.070.00%1,050,000
INCR$1,0380.07%0.07%$1.040.08%1,000,000
VANGUARD INTL EQUITY INDEX FVWOINCR$1,1840.15%0.07%$52.070.10%22,738
BANK MONTREAL QUEBMOINCR$1,0300.17%0.06%$89.120.00%11,558
DOW HOLDINGS INC USD 0.01DOWINCR$9410.15%0.06%$63.970.00%14,711
DECR$939-0.01%0.06%$26.40-0.03%35,568
SELECT SECTOR SPDR TRXLEDECR$1,022-0.10%0.06%$49.06-0.30%20,833
VALERO ENERGY CO BUY$8830.00%0.06%$1.040.00%850,000
American Fds Washington MutualINCR$8290.09%0.05%$54.190.00%15,299
AON PLCAONINCR$8050.09%0.05%$230.000.00%3,500
FORD MTR CO DELFINCR$8640.39%0.05%$12.250.00%70,534
GARMIN LTDGRMNINCR$7800.09%0.05%$131.85-0.01%5,916
DECR$770-0.21%0.05%$1.03-0.21%750,000
INTERNATIONAL BUSINESS MACHINE COMPANYIBMINCR$7430.02%0.05%$133.23-0.03%5,577
DECR$800-0.01%0.05%$1.000.00%800,000
INCR$8370.09%0.05%$1.010.10%825,000
INCR$8340.06%0.05%$1.010.06%825,000
VEEVA SYS INCVEEVDECR$766-0.04%0.05%$261.080.00%2,934
DECR$754-0.01%0.05%$1.010.00%750,000
BP AMOCO P L CBPINCR$6320.19%0.04%$24.360.00%25,948
GENERAL DYNAMICS CORPGDINCR$5930.16%0.04%$181.46-0.05%3,268
GENUINE PARTS COGPCINCR$6980.15%0.04%$115.620.00%6,037
LAMB WESTON HLDGS INCLWINCR$6420.07%0.04%$77.430.09%8,291
MARTIN MARIETTA MATLS INCMLMINCR$5910.18%0.04%$335.800.00%1,760
DECR$6190.00%0.04%$1.000.00%618,000
OKTA INCOKTADECR$587-0.19%0.04%$220.43-0.07%2,663
DECR$601-0.01%0.04%$1.000.00%600,000
INCR$6560.02%0.04%$21.940.00%29,904
Vanguard Emerging Mkts Stock Idx AdmDECR$654-0.20%0.04%$43.09-0.23%15,176
NA$4880.00%0.03%$488000.000.00%1
CHEGG INCCHGGDECR$519-0.14%0.03%$85.63-0.09%6,061
CHUBB LTD CHF 24.15CBINCR$5490.07%0.03%$157.990.05%3,475
Legg Mason Large Cap Growth IDECR$483-0.01%0.03%$67.96-0.01%7,107
CMS Energy CorpCMSDECR$554-0.82%0.03%$61.20-0.82%9,052
INCR$5140.01%0.03%$12.080.00%42,552
NA$5150.00%0.03%$22.200.00%23,200
CORTEVA INCCTVAINCR$5070.20%0.03%$46.620.00%10,875
INCR$4111.10%0.03%$4.780.96%85,932
ENTERGY CORP NEWETRDECR$491-0.12%0.03%$99.43-0.12%4,938
NA$5010.00%0.03%$1.000.00%500,000
LEIDOS HOLDINGS INCLDOSDECR$476-0.08%0.03%$96.320.00%4,942
Mcdonald'S Corp DECR$532-0.02%0.03%$1.090.00%490,000
DECR$476-0.03%0.03%$1.060.00%450,000
DECR$426-0.01%0.03%$1.030.00%412,000
SERVICENOW INCNOWINCR$4180.10%0.03%$500.000.22%836
SPDR SERIE DIVIDEND ETFSDYINCR$4630.11%0.03%$117.930.00%3,926
TESLA MOTORS INCTSLADECR$548-0.05%0.03%$668.290.00%820
CAPITAL WORLD GRWTH AND INC FDINCR$3170.04%0.02%$61.720.00%5,136
AQR Large Cap Defensive Style IDECR$334-0.96%0.02%$27.46-0.96%12,164
ARISTA NETWORKS INCANETINCR$2660.04%0.02%$301.590.00%882
CATERPILLAR INCCATINCR$3830.51%0.02%$232.260.18%1,649
COLGATE PALMOLIVE COCLDECR$251-0.08%0.02%$78.780.00%3,186
CONOCOPHILLIPS COM CL-BCOPINCR$3740.33%0.02%$52.970.00%7,061
DFA US Core Equity 2 IBUY$3590.00%0.02%$29.710.00%12,084
DECR$262-0.01%0.02%$1.050.00%250,000
Euronet Worldwide IncEEFTDECR$386-0.05%0.02%$138.150.00%2,794
FLEETCOR TECHNOLOGIES INCFLTDECR$240-0.23%0.02%$268.16-0.21%895
INGREDION INCINGRINCR$3150.15%0.02%$90.000.00%3,500
DECR$297-0.14%0.02%$5.41-0.08%54,918
JPMORGAN TR II EQTY INCOME SLINCR$3650.10%0.02%$21.540.00%16,947
DECR$2560.00%0.02%$1.020.00%250,000
MCDONALDS CORPMCDINCR$3960.13%0.02%$224.110.08%1,767
BUY$2770.00%0.02%$1.010.00%275,000
TECHNIP ENERGIES SPNS ADR REP ORDBUY$3980.00%0.02%$15.220.00%26,151
BUY$2820.00%0.02%$1.030.00%275,000
NA$3850.00%0.02%$599.690.00%642
THE TRADE DESK INCTTDDECR$338-0.19%0.02%$651.250.00%519
DECR$261-0.04%0.02%$25.85-0.05%10,097
Vanguard Small Cap Value Index AdmiralINCR$2460.16%0.02%$70.950.00%3,467
INCR$2520.14%0.02%$69.880.00%3,606
Vanguard Total Stock Mkt Idx AdmDECR$256-0.16%0.02%$100.35-0.20%2,551
DECR$2580.00%0.02%$1.030.00%250,000
NEW PERSPECTIVE FUND CLASS F-2INCR$2300.02%0.01%$61.68-0.01%3,729
SMALLCAP WORLD FD INC CL F3INCR$2240.03%0.01%$83.580.00%2,680
INCR$2280.11%0.01%$16.300.00%13,987
BUY$1670.00%0.01%$11.570.00%14,436
DFA International Core Equity IBUY$1790.00%0.01%$15.450.00%11,587
DECR$186-0.32%0.01%$10.56-0.31%17,609
FRANKLIN STR PPTYS CORPFSPINCR$910.25%0.01%$5.450.00%16,711
GOLDMAN SACHS ETF TRGSLCINCR$2210.04%0.01%$79.070.00%2,795
DECR$166-0.02%0.01%$13.100.00%12,669
ISHARES SELECT DIVIDEND ETFDVYBUY$2340.00%0.01%$114.150.00%2,050
BUY$1550.00%0.01%$11.320.00%13,698
PALO ALTO NETWORKS INCPANWDECR$217-0.10%0.01%$321.480.00%675
RPM INTL INCRPMINCR$2070.01%0.01%$92.000.00%2,250
DECR$2180.00%0.01%$22.79-0.04%9,565
DECR$217-0.02%0.01%$1.090.00%200,000
NA$00.00%0.00%$0.000.00%300,000
NA$00.00%0.00%$0.000.00%87,029
NA$20.00%0.00%$0.010.00%240,000
NA$00.00%0.00%$0.000.00%11,000
AMERICAN BALANCED FD CL F3SOLD$00.00%-100.00%$0.000.00%0
BP CAPITAL MKT SOLD$00.00%-100.00%$0.000.00%0
EDITAS MEDICINE INCEDITSOLD$00.00%-100.00%$0.000.00%0
SOLD$00.00%-100.00%$0.000.00%0
MARATHON PETROL SOLD$00.00%-100.00%$0.000.00%0
MAXIM INTEGRATED PRODS INCMXIMSOLD$00.00%-100.00%$0.000.00%0
SELECT SECTOR SPDR TRXLUSOLD$00.00%-100.00%$0.000.00%0
VONTIER CORP USD 0.0001VNTSOLD$00.00%-100.00%$0.000.00%0
CRISPR THERAPEUTICS AGCRSPSOLD$00.00%-100.00%$0.000.00%0