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RMR Capital Management, LLC

分散型投资策略趋势追踪型行业集中型

申报总市值

US$1.4亿

申报季度: 2026-03-31 · 持股只数: 75

RMR Capital Management, LLC在最新一期 13F 报告中披露了 75 项持股,申报期为 2026-03-31,总持股市值约为 US$1.4亿,季度换手率为 10.2%。

机构性格雪花图

集中度
21.58
持仓稳定性
10.18
动能/逆势
100
行业集中度
97.65
多样化
100
仓位均衡度
82.43

近期动向

  • 减仓 BRK-B

    -0.1% -US$119.1万

  • 加仓 CASH

    +2.4% US$77.7万

  • 减仓 SGOV

    -3.9% -US$54.7万

  • 加仓 COST

    0.0% US$48.6万

  • 减仓 MSFT

    0.0% -US$46.6万

  • 减仓 AXP

    0.0% -US$42.2万

持仓地图

新建仓加仓不变减仓

前十大持股占比

本季完整持股清单

#代码标的名称资产子类别占比占比变动持仓量变化4Q Trend
1BRK-BBerkshire Hathaway Inc-cl B股票-其他17.35%-0.80%-0.06%
2SGOVIshares 0-3 Month Treasury BETF-政府公债10.57%-0.36%-3.87%
3GOOGLAlphabet Inc-cl A股票-通信服务3.47%-0.29%
4RSPInvesco S&p 500 Equal WeightETF-大型股与成长3.39%+0.20%+5.71%
5TSLXSixth Street Specialty Lendi股票-其他3.36%+0.27%+27.86%
6SYFIAB Shrt Duration Hgh Yld ETFETF-其他2.90%-0.20%-5.73%
7COSTCostco Wholesale CORP股票-非周期性消费2.61%+0.36%
8BRK-ABerkshire Hathaway Inc-cl A股票-其他2.59%-0.13%
9CASHPathward Financial INC股票-其他2.52%+0.57%+2.38%
10SPSMSs Spdr P S&p 600 Small CapETF-中小型股2.15%+0.26%+9.80%
11BINCIshares Flex I A Etf-usd INCETF-其他2.11%-0.06%-1.99%
12JOESt Joe Co/the股票-其他1.96%+0.10%-0.46%
13PFFIshares Preferred & Income SETF-其他1.92%-0.06%-1.31%
14RTXRtx CORP股票-工业1.82%+0.10%
15WMTWalmart INC股票-非周期性消费1.76%+0.19%
16VOEVanguard Mid-cap Value ETFETF-其他1.70%+0.24%+11.94%
17VCITVanguard Int-term CorporateETF-投资级公司债1.66%-0.18%
18VBRVanguard Small-cap Value ETFETF-其他1.59%+0.08%+2.02%
19JNJJohnson & Johnson股票-医疗保健1.50%+0.24%
20QUALIshares Msci USA Quality FacETF-其他1.48%-0.05%-0.14%
21ABBVAbbvie INC股票-医疗保健1.45%-0.06%
22VOVanguard Mid-cap ETFETF-其他1.38%+0.17%+14.89%
23AXPAmerican Express Co股票-金融1.37%-0.30%
24MCDMcdonald's CORP股票-周期性消费1.36%
25PYLDPimco Multisector Bond ActvETF-其他1.35%-0.98%
26JPMJpmorgan Chase & Co股票-金融1.21%-0.11%
27GOOGAlphabet Inc-cl C股票-通信服务1.18%-0.11%
28SCHWSchwab (charles) CORP股票-金融1.14%-0.07%
29RPVInvesco S&p 500 Pure Value EETF-大型股与成长1.11%+0.23%+20.57%
30AAPLApple INC股票-科技1.11%-0.07%
31MSFTMicrosoft CORP股票-科技1.10%-0.33%
32GSGoldman Sachs Group INC股票-金融1.04%
33GLDSpdr Gold SharesETF-避险与商品1.00%+0.08%
34VVisa Inc-class A Shares股票-金融0.95%-0.15%
35SKYHSky Harbour Group CORP股票-其他0.84%+0.84%NEW
36GDGeneral Dynamics CORP股票-工业0.83%
37AMZNAmazon.com INC股票-周期性消费0.77%-0.11%-3.03%
38IGLBIshares 10+ Year Inv Gr CORPETF-其他0.77%+0.05%
39FTAFirst Trust L C Val AlpETF-其他0.74%+0.05%-0.31%
40IVVIshares Core S&p 500 ETFETF-大型股与成长0.71%-0.05%-3.42%
41CSXCsx CORP股票-工业0.69%+0.08%
42BFORBarron's 400 ETFETF-其他0.68%-0.24%
43HYBBIshares Bb Rated CORP BondETF-投资级公司债0.63%-0.05%-6.48%
44ABTAbbott Laboratories股票-医疗保健0.59%-0.12%
45NVDANvidia CORP股票-科技0.44%+0.46%
46NNINelnet Inc-cl A股票-其他0.41%-5.20%
47SPLBSs Spdr P Long Term C ETFETF-其他0.38%
48KOCoca-cola Co/the股票-非周期性消费0.38%-7.33%
49CPNGCoupang INC股票-周期性消费0.37%+0.10%+68.50%
50SPYSs Spdr S&p 500 ETF Trust-usETF-大型股与成长0.36%+14.67%
150 of 75

本季持股变动

RMR Capital Management, LLC 在 2026-03-31 最显著的持仓异动: 新建仓: Sky Harbour Group CORP (SKYH); 清仓: Tesla INC (TSLA); 清仓: Toast Inc-class A (TOST); 新建仓: Palantir Technologies Inc-a (PLTR); 新建仓: Canadian Natural Resources (CNQ).

RMR Capital Management, LLC 于截至 2026-03-31 该季申报之持仓异动,含代码、发行人、权重变化、股数变化与操作类型
#代码标的名称占比变动持仓量变化异动类型
1CASHPathward Financial INC+0.6%+2.38%加仓
2COSTCostco Wholesale CORP+0.4%不变
3TSLXSixth Street Specialty Lendi+0.3%+27.86%加仓
4SPSMSs Spdr P S&p 600 Small Cap+0.3%+9.80%加仓
5VOEVanguard Mid-cap Value ETF+0.2%+11.94%加仓
6JNJJohnson & Johnson+0.2%不变
7RPVInvesco S&p 500 Pure Value E+0.2%+20.57%加仓
8RSPInvesco S&p 500 Equal Weight+0.2%+5.71%加仓
9WMTWalmart INC+0.2%不变
10VOVanguard Mid-cap ETF+0.2%+14.89%加仓
11JOESt Joe Co/the+0.1%-0.46%减仓
12CPNGCoupang INC+0.1%+68.50%加仓
13RTXRtx CORP+0.1%不变
14CSXCsx CORP+0.1%不变
15GLDSpdr Gold Shares+0.1%不变
16VBRVanguard Small-cap Value ETF+0.1%+2.02%加仓
17FTAFirst Trust L C Val Alp+0.1%-0.31%减仓
18FBTCFidelity Wise Origin Bitcoin0%不变
19IVVIshares Core S&p 500 ETF-0.1%-3.42%减仓
20QUALIshares Msci USA Quality Fac-0.1%-0.14%减仓
21HYBBIshares Bb Rated CORP Bond-0.1%-6.48%减仓
22PAYXPaychex INC-0.1%不变
23BINCIshares Flex I A Etf-usd INC-0.1%-1.99%减仓
24ABBVAbbvie INC-0.1%不变
25PFFIshares Preferred & Income S-0.1%-1.31%减仓
26AAPLApple INC-0.1%不变
27SCHWSchwab (charles) CORP-0.1%不变
28JPMJpmorgan Chase & Co-0.1%不变
29GOOGAlphabet Inc-cl C-0.1%不变
30AMZNAmazon.com INC-0.1%-3.03%减仓
31ABTAbbott Laboratories-0.1%不变
32BRK-ABerkshire Hathaway Inc-cl A-0.1%不变
33SSDSimpson Manufacturing Co INC-0.1%-48.76%减仓
34VVisa Inc-class A Shares-0.2%不变
35AMRZAmrize Ltd-0.2%-50.23%减仓
36SYFIAB Shrt Duration Hgh Yld ETF-0.2%-5.73%减仓
37BROBrown & Brown INC-0.2%-36.11%减仓
38GOOGLAlphabet Inc-cl A-0.3%不变
39AXPAmerican Express Co-0.3%不变
40MSFTMicrosoft CORP-0.3%不变
41SGOVIshares 0-3 Month Treasury B-0.4%-3.87%减仓
42BRK-BBerkshire Hathaway Inc-cl B-0.8%-0.06%减仓
43SKYHSky Harbour Group CORPNEW新建仓
44TSLATesla INCEXIT清仓
45TOSTToast Inc-class AEXIT清仓
46PLTRPalantir Technologies Inc-aNEW新建仓
47CNQCanadian Natural ResourcesNEW新建仓
48FICOFair Isaac CORPEXIT清仓
49UTGReaves Utility Income FundNEW新建仓
50MDLZMondelez International Inc-aNEW新建仓

FAQ

RMR Capital Management, LLC 是什么机构?属于哪种投资人类型?
RMR Capital Management, LLC 是一家投资管理机构,每季依规定向 SEC 申报 Form 13F,披露其在美国上市股票的持仓信息。根据最新一期申报(2026-03-31),该机构追踪的股票投资组合估值约为 US$1.4亿,分布在 75 个已申报仓位之中。
RMR Capital Management, LLC 目前前几大持股有哪些?
根据最新 13F 申报,RMR Capital Management, LLC 按市值排列的前几大持股为: 1. Berkshire Hathaway Inc-cl B (BRK-B) — US$2402.8万 (17.4%) 2. Ishares 0-3 Month Treasury B (SGOV) — US$1463.8万 (10.6%) 3. Alphabet Inc-cl A (GOOGL) — US$480.3万 (3.5%) 4. Invesco S&p 500 Equal Weight (RSP) — US$469.2万 (3.4%) 5. Sixth Street Specialty Lendi (TSLX) — US$464.7万 (3.4%)
RMR Capital Management, LLC 在最新一期 13F 申报中做了哪些操作?
在最新申报季度中,RMR Capital Management, LLC 共进行了 31 项显著调整:新建仓 5 个仓位、加仓 9 个既有持股、减仓 14 个仓位,并完全清仓 3 个持股。 其中幅度最大的异动:新建仓: Sky Harbour Group CORP (SKYH); 清仓: Tesla INC (TSLA); 清仓: Toast Inc-class A (TOST); 新建仓: Palantir Technologies Inc-a (PLTR); 新建仓: Canadian Natural Resources (CNQ)
RMR Capital Management, LLC 主要集中投资哪些行业板块?
根据目前已申报的股票投资组合,RMR Capital Management, LLC 的主要板块分布如下: • Financials: 53.4% • Consumer Staples: 11.0% • Communication Services: 10.8% • Health Care: 8.2% • Information Technology: 6.6% • Consumer Discretionary: 5.8%