SEC 13F Intelligence

Resources Management Corp /Ct/ /Adv / HD

Resources Management Corp /Ct/ /Adv’s Home Depot Inc Position

Does Resources Management Corp /Ct/ /Adv own Home Depot Inc (HD)? Yes44.2K shares worth $15M (+1.93% of its 13F portfolio) as of Q1 2026, up from 44.1K shares the prior filed quarter.

Position Value
$15M
Q1 2026
Shares
44.2K
% of Portfolio
+1.93%
Quarters Held
27
currently held

Position History HD

Reported value by quarter
Q4 ’18: $9MQ4 ’18Q4 ’19: $12MQ1 ’20: $10MQ2 ’20: $14MQ3 ’20: $15MQ3 ’20Q4 ’20: $14MQ1 ’21: $17MQ2 ’21: $17MQ3 ’21: $17MQ3 ’21Q4 ’21: $21MQ1 ’22: $15MQ2 ’22: $14MQ3 ’22: $14MQ3 ’22Q4 ’22: $16MQ1 ’23: $11,000Q2 ’23: $15MQ3 ’23: $14MQ3 ’23Q4 ’23: $16MQ1 ’24: $18MQ2 ’24: $16MQ3 ’24: $18MQ3 ’24Q4 ’24: $18MQ1 ’25: $17MQ2 ’25: $16MQ3 ’25: $18MQ3 ’25Q4 ’25: $15MQ1 ’26: $15Mfilingsflow.com
QuarterSharesValue% of Portfolio
Q1 202644.2K$15M+1.93%
Q4 202544.1K$15M+1.96%
Q3 202544.1K$18M+2.31%
Q2 202544.9K$16M+2.24%
Q1 202545.1K$17M+2.32%
Q4 202445.3K$18M+2.41%
Q3 202445.5K$18M+2.49%
Q2 202445.8K$16M+2.30%
Q1 202446.3K$18M+2.60%
Q4 202347.2K$16M+2.43%
Q3 202347.6K$14M+2.34%
Q2 202348.7K$15M+2.36%
Q1 20231.0K$11,0000.00%
Q4 202250.0K$16M+2.49%
Q3 202250.2K$14M+2.39%
Q2 202250.2K$14M+2.23%
Q1 202250.5K$15M+2.11%
Q4 202150.5K$21M+2.73%
Q3 202152.4K$17M+2.47%
Q2 202152.8K$17M+2.37%
Q1 202154.2K$17M+2.50%
Q4 202053.8K$14M+2.30%
Q3 202054.6K$15M+2.74%
Q2 202055.8K$14M+2.67%
Q1 202055.7K$10M+2.32%
Q4 201957.2K$12M+2.16%
Q4 201852.1K$9M+1.99%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Resources Management Corp /Ct/ /Adv’s full portfolio or all institutional holders of HD.