Signature Resources Capital Management, LLC 13F Holdings

Holdings from the most recent 13F from Signature Resources Capital Management, LLC

Filed: 2024-04-11 (Q1 2024) | Holdings: 406 | Value: $106.6M | Filing Link

PREMIUM

Author Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Filing Returns

Returns are calculated from when the filing is published and are weighted by the size of the holding.

Holding Returns
StockPut/Call
Change
Holding Pct
Value
Current Return
3M Return
1Y Return
AVUS - AMERICAN CENTY ETF TR
Reduce 1% $(202.5K)
18.62%
$19.8M
+10.49%
+6.30%
+1.74%
DFAC - DIMENSIONAL ETF TRUST
Reduce 3% $(553.4K)
14.80%
$15.8M
+10.26%
+6.96%
+2.02%
DFSD - DIMENSIONAL ETF TRUST
Reduce 4% $(433.5K)
10.15%
$10.8M
+6.45%
+1.93%
+5.60%
DFIC - DIMENSIONAL ETF TRUST
Reduce 3% $(323.6K)
9.69%
$10.3M
+17.38%
+5.26%
+6.91%
AVDE - AMERICAN CENTY ETF TR
Reduce 1% $(84.3K)
8.45%
$9.0M
+18.44%
+5.48%
+7.21%
DFAU - DIMENSIONAL ETF TRUST
Reduce 15% $(717.0K)
3.75%
$4.0M
+12.97%
+8.09%
+4.07%
DFEM - DIMENSIONAL ETF TRUST
Reduce 2% $(76.6K)
3.20%
$3.4M
+13.13%
+8.94%
+2.78%
DFAI - DIMENSIONAL ETF TRUST
Reduce 5% $(159.9K)
2.78%
$3.0M
+16.72%
+5.71%
+6.37%
AVEM - AMERICAN CENTY ETF TR
Reduce 1% $(26.8K)
2.67%
$2.8M
+14.56%
+10.19%
+3.18%
DFAR - DIMENSIONAL ETF TRUST
Reduce 4% $(76.8K)
1.81%
$1.9M
+11.32%
+8.79%
+8.21%
LRCX - LAM RESEARCH CORP
1.62%
$1.7M
-13.08%
+11.30%
-28.76%
SCHB - SCHWAB STRATEGIC TR
Reduce 6% $(88.2K)
1.27%
$1.4M
+13.97%
+8.43%
+4.89%
GOOG - ALPHABET INC
1.03%
$1.1M
+7.19%
+17.31%
+1.78%
MSFT - MICROSOFT CORP
0.98%
$1.0M
+7.74%
+7.15%
-7.85%
IVV - ISHARES TR
0.94%
$1.0M
+14.84%
+9.25%
+6.18%
INTU - INTUIT
0.93%
$990.0K
+7.40%
+3.94%
-3.41%
AAPL - APPLE INC
0.90%
$956.5K
+16.67%
+32.48%
+16.77%
SCHF - SCHWAB STRATEGIC TR
Reduce 7% $(51.6K)
0.62%
$656.6K
+15.64%
+6.16%
+5.28%
DFAE - DIMENSIONAL ETF TRUST
Reduce 7% $(42.2K)
0.55%
$587.1K
+14.20%
+9.62%
+3.75%
GOOGL - ALPHABET INC
0.53%
$569.2K
+7.22%
+17.30%
+1.18%
LRGF - ISHARES TR
0.51%
$548.5K
+16.20%
+8.78%
+6.77%
XOM - EXXON MOBIL CORP
0.43%
$457.5K
-12.04%
-7.12%
-13.07%
VOO - VANGUARD INDEX FDS
0.43%
$456.9K
+14.84%
+9.22%
+6.21%
ORCL - ORACLE CORP
0.42%
$446.6K
+30.55%
+19.25%
+11.83%
DFAX - DIMENSIONAL ETF TRUST
0.39%
$413.4K
+15.64%
+6.03%
+4.79%
SCHA - SCHWAB STRATEGIC TR
Reduce 9% $(41.2K)
0.38%
$404.6K
+2.95%
+5.02%
-5.82%
CGGR - CAPITAL GROUP GROWTH ETF
0.36%
$384.5K
+18.65%
+6.19%
+4.60%
VUG - VANGUARD INDEX FDS
0.36%
$382.9K
+19.29%
+12.64%
+6.18%
AVRE - AMERICAN CENTY ETF TR
Reduce 2% $(6.0K)
0.33%
$350.2K
+11.51%
+7.80%
+7.15%
AMZN - AMAZON COM INC
0.31%
$327.0K
+7.14%
+3.61%
-2.98%
DFUS - DIMENSIONAL ETF TRUST
0.30%
$320.6K
+14.08%
+8.49%
+4.95%
COST - COSTCO WHSL CORP NEW
0.28%
$297.1K
+41.79%
+15.97%
+35.26%
CGUS - CAPITAL GROUP CORE EQUITY ET
0.28%
$296.4K
+13.39%
+7.54%
+5.64%
DFSV - DIMENSIONAL ETF TRUST
0.28%
$295.8K
-1.07%
+4.18%
-9.75%
CAT - CATERPILLAR INC
0.25%
$270.5K
-5.23%
-8.63%
-17.91%
QCOM - QUALCOMM INC
0.24%
$259.7K
-10.41%
+17.98%
-17.59%
ALB - ALBEMARLE CORP
0.24%
$259.3K
-55.76%
-24.37%
-55.02%
IUSV - ISHARES TR
Reduce 8% $(20.8K)
0.24%
$256.2K
+6.53%
+3.70%
+2.10%
TSLA - TESLA INC
0.23%
$249.7K
+94.16%
+44.04%
+46.43%
BSV - VANGUARD BD INDEX FDS
0.22%
$234.1K
+6.53%
+2.39%
+6.27%
VTI - VANGUARD INDEX FDS
0.22%
$234.1K
+13.85%
+8.36%
+4.87%
CSCO - CISCO SYS INC
0.22%
$231.3K
+32.29%
-2.89%
+20.17%
CMF - ISHARES TR
0.19%
$203.8K
+0.38%
+1.54%
-0.25%
BP - BP PLC
0.19%
$198.2K
-22.60%
-11.16%
-29.02%
ABBV - ABBVIE INC
0.18%
$187.2K
+14.57%
+3.55%
+11.83%
SUSB - ISHARES TR
0.17%
$183.7K
+7.19%
+2.53%
+6.28%
HD - HOME DEPOT INC
0.16%
$173.6K
+9.81%
+4.67%
+5.77%
ITOT - ISHARES TR
0.16%
$166.1K
+13.91%
+8.42%
+4.93%
MRK - MERCK & CO INC
0.16%
$165.8K
-37.61%
+1.17%
-35.83%
GOVT - ISHARES TR
0.15%
$164.7K
+4.55%
+3.04%
+5.37%