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Torray Funds Holdings – 2025 Q4

Explore the latest portfolio disclosure for Torray Funds, with insights into sector exposure, position sizes, and overall investment structure for 2025 Q4.

The latest 2025 Q4 filing shows that Torray Funds maintains its largest exposure in Technology, which represents approximately 25.59% of the portfolio. This sector forms the core of Torray Funds's investment stance during this reporting period.

Additional major allocations include Healthcare (about 19.05%) and Unclassified Sector (approximately 13.55%) , reflecting how Torray Funds diversifies beyond its primary sector focus.

These sector weightings provide a clear view into Torray Funds's positioning and conviction areas for the 2025 Q4 quarter.

Breakdown by Sector

Technology
25.6%
Healthcare
19.1%
Unclassified Sector
13.5%
Energy
10.5%
Financial Services
9.5%
Utilities
3.9%
Consumer Cyclical
3.8%
Non-U.S. Assets
3.4%
Consumer Defensive
3.1%
Real Estate
3.1%
Industrials
2.5%
ETF
1.2%
Basic Materials
0.6%
Unknown
0.2%
Symbol Shares Reported Price(USD) Action Change % Portfolio Weight Position Value Filing Period
AVGO 91,137 $346.09 Reduced -3.37% 4.84% $31.54M 2025 Q4
RPRX 744,355 $38.64 Increased 5.90% 4.41% $28.76M 2025 Q4
PSX 206,595 $129.04 Reduced -1.08% 4.09% $26.66M 2025 Q4
TXN 140,108 $173.49 Increased 22.56% 3.73% $24.31M 2025 Q4
CNA 493,402 $47.74 Reduced -1.83% 3.61% $23.56M 2025 Q4
CVX 144,448 $152.41 Increased 10.44% 3.38% $22.02M 2025 Q4
BX 139,547 $154.14 Increased 1.81% 3.30% $21.51M 2025 Q4
ABBV 92,687 $228.49 Reduced -8.80% 3.25% $21.18M 2025 Q4
AMGN 64,647 $327.32 Reduced -10.87% 3.25% $21.16M 2025 Q4
PLD 156,755 $127.66 Increased 4.48% 3.07% $20.01M 2025 Q4
PFE 803,571 $24.9 Increased 6.72% 3.07% $20.01M 2025 Q4
UNH 59,153 $330.11 Increased 3.58% 2.99% $19.53M 2025 Q4
PEP 135,674 $143.52 Increased 10.64% 2.99% $19.47M 2025 Q4
OKE 259,982 $73.5 Buy 100.00% 2.93% $19.11M 2025 Q4
NEE 235,026 $80.28 Reduced -1.43% 2.89% $18.87M 2025 Q4
MRSH 97,677 $185.52 Increased 39.51% 2.78% $18.12M 2025 Q4
AMZN 72,420 $230.82 Reduced -3.45% 2.56% $16.72M 2025 Q4
MSFT 33,960 $483.63 Reduced -4.42% 2.52% $16.42M 2025 Q4
GOOGL 47,278 $313 Reduced -5.94% 2.27% $14.8M 2025 Q4
INTU 21,635 $662.4 Buy 100.00% 2.20% $14.33M 2025 Q4
AAPL 50,061 $271.87 Reduced -6.27% 2.09% $13.61M 2025 Q4
JPM 38,859 $322.22 No Change No Change 1.92% $12.52M 2025 Q4
CASY 17,310 $552.69 Reduced -3.10% 1.47% $9.57M 2025 Q4
AXP 24,275 $369.97 Reduced -57.89% 1.38% $8.98M 2025 Q4
APH 64,103 $135.14 Reduced -21.54% 1.33% $8.66M 2025 Q4
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