Carret Asset Management 13F annual report

Carret Asset Management is an investment fund managing more than $857 billion ran by Marco Vega. There are currently 276 companies in Mr. Vega’s portfolio. The largest investments include Apple Inc and Microsoft, together worth $125 billion.

$857 billion Assets Under Management (AUM)

As of 25th July 2024, Carret Asset Management’s top holding is 338,794 shares of Apple Inc currently worth over $71.4 billion and making up 8.3% of the portfolio value. Relative to the number of outstanding shares of Apple Inc, Carret Asset Management owns more than approximately 0.1% of the company. In addition, the fund holds 119,870 shares of Microsoft worth $53.6 billion, whose value grew 3.6% in the past six months. The third-largest holding is Alphabet Inc worth $32.2 billion and the next is JPMorgan Chase & Co worth $30.6 billion, with 151,315 shares owned.

Currently, Carret Asset Management's portfolio is worth at least $857 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Carret Asset Management

The Carret Asset Management office and employees reside in New York, New York. According to the last 13-F report filed with the SEC, Marco Vega serves as the Chief Operating Officer at Carret Asset Management.

Recent trades

In the most recent 13F filing, Carret Asset Management revealed that it had opened a new position in Healthpeak Properties and bought 40,365 shares worth $791 million. This means they effectively own approximately 0.1% of the company. Healthpeak Properties makes up 6.9% of the fund's Real Estate sector allocation and has grown its share price by 50.0% in the past year.

The investment fund also strengthened its position in Alphabet Inc by buying 413 additional shares. This makes their stake in Alphabet Inc total 116,563 shares worth $21.2 billion. Alphabet Inc soared 31.3% in the past year.

On the other hand, there are companies that Carret Asset Management is getting rid of from its portfolio. Carret Asset Management closed its position in Rockwell Automation Inc on 1st August 2024. It sold the previously owned 6,190 shares for $1.92 billion. Marco Vega also disclosed a decreased stake in Apple Inc by approximately 0.1%. This leaves the value of the investment at $71.4 billion and 338,794 shares.

One of the average hedge funds

The two most similar investment funds to Carret Asset Management are Townsend & Associates, Inc and Griffin Asset Management, Inc. They manage $857 billion and $855 billion respectively.


Marco Vega investment strategy

Carret Asset Management’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 19.6% of the total portfolio value. The fund focuses on investments in the United States as 51.4% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 46% of the total holdings value. On the other hand, small-cap stocks make up only 1.8% of the portfolio. The average market cap of the portfolio companies is close to $145 billion.

The complete list of Carret Asset Management trades based on 13F SEC filings

These positions were updated on August 1st based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Apple Inc
1.37%
338,794
$71,356,751,000 8.33%
Microsoft Corporation
1.47%
119,870
$53,575,910,000 6.25%
Alphabet Inc
0.46%
175,401
$32,172,126,000 3.76%
JPMorgan Chase & Co.
1.46%
151,315
$30,605,016,000 3.57%
Berkshire Hathaway Inc.
0.48%
58,997
$23,999,980,000 2.80%
Alphabet Inc
0.36%
116,563
$21,232,008,000 2.48%
Oracle Corp.
4.49%
113,836
$16,073,623,000 1.88%
Penumbra Inc
No change
79,000
$14,217,630,000 1.66%
American Express Co.
2.07%
56,919
$13,179,639,000 1.54%
Chevron Corp.
1.93%
82,379
$12,885,799,000 1.50%
Johnson & Johnson
2.58%
85,021
$12,426,604,000 1.45%
Amazon.com Inc.
5.07%
62,279
$12,035,455,000 1.40%
Meta Platforms Inc
0.54%
22,857
$11,525,158,000 1.35%
Pepsico Inc
2.82%
64,319
$10,608,073,000 1.24%
Merck & Co Inc
3.68%
79,106
$9,793,323,000 1.14%
Lam Research Corp Com
3.55%
8,931
$9,510,642,000 1.11%
Cisco Sys Inc
1.84%
196,254
$9,324,018,000 1.09%
Eaton Corp
5.37%
29,461
$9,237,622,000 1.08%
Berkshire Hathaway - A
No change
15
$9,183,615,000 1.07%
Fedex Corp
3.40%
29,615
$8,879,818,000 1.04%
Abbvie Inc
1.10%
51,770
$8,879,648,000 1.04%
Walmart Inc
197.33%
127,012
$8,599,996,000 1.00%
Applied Materials Inc Delaware
2.89%
34,502
$8,142,127,000 0.95%
Procter & Gamble Co.
1.00%
48,583
$8,012,305,000 0.94%
Target Corp
0.51%
53,134
$7,865,964,000 0.92%
Parker-Hannifin Corp.
No change
15,200
$7,688,110,000 0.90%
Ishares S&p 100 Index
3.80%
28,843
$7,623,205,000 0.89%
Travelers Companies Inc.
1.12%
36,635
$7,449,361,000 0.87%
Ishares Russell 2000 Index Fun
4.90%
34,773
$7,055,110,000 0.82%
Allstate Corp (The)
3.88%
43,763
$6,987,201,000 0.82%
Walt Disney Co (The)
2.46%
69,443
$6,894,982,000 0.80%
Spdr S&p 500 Index
5.44%
12,181
$6,629,377,000 0.77%
NVIDIA Corp
1,064.43%
53,657
$6,628,786,000 0.77%
Hartford Financial Services Gr
1.91%
65,349
$6,570,188,000 0.77%
CVS Health Corp
3.32%
106,434
$6,286,019,000 0.73%
Church & Dwight Co., Inc.
1.32%
59,702
$6,189,872,000 0.72%
Conocophillips
0.49%
52,713
$6,029,321,000 0.70%
Goldman Sachs Group, Inc.
1.99%
13,318
$6,024,202,000 0.70%
Ishares Dow Jones Select Divid
1.94%
48,938
$5,920,569,000 0.69%
The Southern Co.
0.29%
76,026
$5,897,337,000 0.69%
Blackstone Inc
22.61%
47,320
$5,858,251,000 0.68%
Ishares Russell Mid-cap Index
2.74%
69,119
$5,604,169,000 0.65%
Home Depot, Inc.
0.92%
16,202
$5,577,344,000 0.65%
Mastercard Incorporated
0.26%
12,473
$5,502,589,000 0.64%
American Elec Pwr
3.18%
62,367
$5,472,081,000 0.64%
Eli Lilly & Co
8.10%
6,032
$5,461,252,000 0.64%
Visa Inc
0.12%
20,449
$5,367,272,000 0.63%
Abbott Laboratories
0.96%
50,743
$5,272,705,000 0.62%
Welltower Inc.
7.81%
49,921
$5,204,264,000 0.61%
Verizon Communications Inc
5.96%
119,019
$4,908,364,000 0.57%
Bank Of America Corp.
8.79%
121,270
$4,822,897,000 0.56%
Progressive Corp-ohio-
9.27%
22,400
$4,652,704,000 0.54%
PNC Financial Services Group Inc
0.96%
28,800
$4,477,824,000 0.52%
Broadcom Inc
No change
2,758
$4,428,052,000 0.52%
Novartis Ag Adr
0.76%
41,034
$4,368,480,000 0.51%
Exxon Mobil Corp.
2.57%
37,425
$4,308,320,000 0.50%
Thermo Fisher Scientific Inc.
0.70%
7,787
$4,306,211,000 0.50%
Canadian Natl Railway Co
16.32%
36,226
$4,279,425,000 0.50%
Corning, Inc.
1.36%
105,086
$4,082,591,000 0.48%
MetLife, Inc.
1.15%
56,019
$3,931,974,000 0.46%
I Shares S&p Growth Index
7.53%
42,160
$3,901,512,000 0.46%
L3Harris Technologies Inc
3.93%
17,128
$3,846,606,000 0.45%
Ishares Core S&p 500 Index
4.17%
6,667
$3,648,561,000 0.43%
Unitedhealth Group Inc
8.49%
7,145
$3,638,455,000 0.42%
Costco Wholesale Corp
4.24%
4,231
$3,596,050,000 0.42%
Hershey Company
18.99%
18,800
$3,456,004,000 0.40%
D.R. Horton Inc.
13.70%
24,317
$3,426,995,000 0.40%
Vanguard Index Fds Value Etf
3.15%
20,930
$3,357,381,000 0.39%
Intl Business Machines Corp
3.29%
19,349
$3,346,465,000 0.39%
Pfizer Inc.
7.35%
119,522
$3,344,236,000 0.39%
HCA Healthcare Inc
4.44%
10,345
$3,323,642,000 0.39%
Morgan Stanley
6.05%
33,146
$3,221,460,000 0.38%
Mcdonalds Corp
7.21%
12,185
$3,105,104,000 0.36%
Ameriprise Financial Inc
2.40%
7,183
$3,068,506,000 0.36%
Deere & Co.
1.74%
8,123
$3,034,988,000 0.35%
Intel Corp.
4.74%
96,757
$2,996,558,000 0.35%
Emerson Electric Co.
1.56%
26,670
$2,937,914,000 0.34%
Comcast Corp Cl A
6.55%
71,113
$2,784,773,000 0.33%
Becton Dickinson & Co.
7.30%
11,803
$2,758,486,000 0.32%
Dow Chem Co Com
15.17%
51,907
$2,753,666,000 0.32%
Illinois Tool Works, Inc.
14.42%
11,088
$2,627,326,000 0.31%
Ishares Us Oil & Gas Explo & P
3.10%
24,536
$2,441,823,000 0.29%
Automatic Data Processing Inc.
0.98%
10,229
$2,441,500,000 0.28%
Phillips 66
1.20%
17,238
$2,433,488,000 0.28%
Schwab Us Broad Market Etf
4.18%
38,598
$2,426,656,000 0.28%
Omnicom Group, Inc.
43.67%
26,715
$2,396,335,000 0.28%
Vanguard Ftse All World Ex-u
0.24%
40,388
$2,368,352,000 0.28%
Bristol-Myers Squibb Co.
2.77%
55,747
$2,315,173,000 0.27%
Dominion Energy Inc
3.97%
45,571
$2,232,979,000 0.26%
Adobe Inc
15.97%
3,995
$2,219,193,000 0.26%
Fidelity Contrafund Com
0.99%
106,290
$2,147,065,000 0.25%
The Kraft Heinz Company
1.54%
66,109
$2,130,032,000 0.25%
Nestle Sa-spons Adr
6.15%
20,614
$2,104,069,000 0.25%
DuPont de Nemours Inc
6.76%
26,138
$2,103,848,000 0.25%
VICI Properties Inc
14.51%
70,848
$2,029,087,000 0.24%
Fifth Third Bancorp
3.11%
54,525
$1,989,617,000 0.23%
Taiwan Semiconductor Mfg Ltd-s
4.63%
11,340
$1,971,005,000 0.23%
Simon Ppty Group Inc New
No change
12,953
$1,966,265,000 0.23%
Wells Fargo & Co.
5.11%
32,522
$1,931,482,000 0.23%
Analog Devices Inc.
2.55%
8,450
$1,928,797,000 0.23%
Rockwell Automation Inc
Closed
6,190
$1,921,871,000
RTX Corp
3.49%
19,054
$1,912,879,000 0.22%
Vanguard Index Fds 500index Ad
0.46%
3,723
$1,875,416,000 0.22%
Citigroup Inc
0.31%
29,431
$1,867,663,000 0.22%
Ishares Russell 1000 Value
0.56%
10,654
$1,858,774,000 0.22%
AT&T Inc.
12.14%
95,007
$1,815,589,000 0.21%
Lowes Cos Inc
0.93%
7,781
$1,715,493,000 0.20%
Invesco S&p 500 Equal Weight
36.03%
10,413
$1,710,617,000 0.20%
Qualcomm, Inc.
2.31%
8,364
$1,665,872,000 0.19%
Ametek Inc
8.88%
9,750
$1,625,422,000 0.19%
Honeywell International Inc
1.12%
7,608
$1,624,612,000 0.19%
Boeing Co.
14.32%
8,739
$1,590,585,000 0.19%
Xylem Inc
0.93%
11,682
$1,584,430,000 0.18%
Colgate-Palmolive Co.
0.49%
16,293
$1,581,106,000 0.18%
Fidelity National Financial Inc
2.16%
31,775
$1,570,320,000 0.18%
Kimberly-Clark Corp.
No change
11,311
$1,563,180,000 0.18%
Marathon Petroleum Corp
No change
8,990
$1,559,585,000 0.18%
Ishares Dj Us Technology Secto
6.43%
10,331
$1,554,833,000 0.18%
AES Corp.
0.48%
88,314
$1,551,677,000 0.18%
IQVIA Holdings Inc
6.09%
7,311
$1,545,838,000 0.18%
Ishares Dj Regional Banks
10.60%
35,730
$1,481,366,000 0.17%
Ulta Beauty Inc
196.43%
3,818
$1,473,252,000 0.17%
Bank New York Mellon Corp
0.36%
24,488
$1,466,586,000 0.17%
Us Bancorp Del New
7.01%
36,494
$1,448,812,000 0.17%
Oneok Inc.
No change
17,066
$1,391,732,000 0.16%
Sysco Corp.
6.78%
19,206
$1,371,116,000 0.16%
Akamai Technologies Inc
2.22%
14,999
$1,351,110,000 0.16%
Mondelez International Inc.
1.37%
20,578
$1,346,624,000 0.16%
AMGEN Inc.
27.22%
4,212
$1,316,124,000 0.15%
Vanguard Ftse Emr Mkt Etf
0.43%
29,480
$1,290,060,000 0.15%
Texas Instruments Inc.
No change
6,515
$1,267,363,000 0.15%
Stanley Black & Decker Inc
3.59%
15,423
$1,232,143,000 0.14%
NextEra Energy Inc
0.79%
16,759
$1,186,738,000 0.14%
Eastman Chemical Co
18.54%
11,603
$1,136,746,000 0.13%
Schwab Us Large-cap Etr
5.08%
17,350
$1,114,737,000 0.13%
Vanguard Dividend Apprec
5.63%
6,044
$1,103,332,000 0.13%
Consolidated Edison, Inc.
2.43%
12,029
$1,075,633,000 0.13%
Vanguard Star Fund Star Portfo
4.92%
37,259
$1,046,611,000 0.12%
3M Co.
21.61%
9,955
$1,017,267,000 0.12%
Autozone Inc.
3.38%
343
$1,016,686,000 0.12%
Digital Realty Trust, Inc.
6.50%
6,620
$1,006,571,000 0.12%
Norfolk Southern Corp.
0.09%
4,648
$997,792,000 0.12%
Spdr Gold Minishares Trust
9.89%
21,331
$983,146,000 0.11%
Ishares Russell 1000 Growth
1.87%
2,675
$975,064,000 0.11%
Fidelity Secs Fd Blue Chip Gwt
No change
4,338
$954,422,000 0.11%
Spdr Gold Trust
6.65%
4,269
$917,878,000 0.11%
Coca-Cola Co
1.60%
13,804
$878,645,000 0.10%
Vanguard Growth Etf
3.82%
2,310
$863,963,000 0.10%
Lockheed Martin Corp.
0.28%
1,821
$850,546,000 0.10%
Fidelity 500 Index Fund
0.30%
4,398
$836,507,000 0.10%
Organon And Co
29.37%
40,385
$835,961,000 0.10%
Spdr Fd Technolgy Sel
10.01%
3,680
$832,526,000 0.10%
Ishares Msci Emerging Markets
47.72%
19,525
$831,582,000 0.10%
Caterpillar Inc.
No change
2,460
$819,479,000 0.10%
Prudential Financial, Inc.
5.18%
6,860
$803,923,000 0.09%
Healthpeak Properties Inc.
Closed
60,260
$802,061,000
Fidelity Secs Fd Otc Portfolio
No change
34,995
$799,282,000 0.09%
Healthpeak Properties Inc.
Opened
40,365
$791,154,000 0.09%
Marriott Intl Inc New Cl A
No change
3,266
$789,621,000 0.09%
Netflix Com Inc Com
2.10%
1,165
$786,235,000 0.09%
Ishares Msci Usa Esg Select
0.54%
6,937
$779,521,000 0.09%
Real Estate Select Sect Spdr
1.66%
19,778
$759,673,000 0.09%
Intl Paper Co
64.30%
17,370
$749,522,000 0.09%
MercadoLibre Inc
No change
455
$747,747,000 0.09%
Invesco Qqq Nasdaq 100 Index
No change
1,487
$712,267,000 0.08%
GE Aerospace
0.02%
4,419
$702,487,000 0.08%
Ishares Core S&p Midcap
456.00%
11,865
$694,340,000 0.08%
Ishares S&p Pref Stk Indx Fn
5.41%
21,935
$692,041,000 0.08%
Schwab Small-cap Index
No change
20,839
$689,347,000 0.08%
Salesforce.com Inc.
3.77%
2,679
$688,771,000 0.08%
Eastgroup Properties, Inc.
No change
3,999
$680,230,000 0.08%
F&g Annuities And Life Inc
No change
17,429
$663,173,000 0.08%
Axa-spons Adr
28.45%
20,075
$657,727,000 0.08%
NRG Energy Inc.
6.36%
8,250
$642,345,000 0.07%
Global X Funds Global X Art In
Opened
18,000
$641,340,000 0.07%
Crane Co
2.22%
4,410
$639,362,000 0.07%
Duke Energy Corp.
0.08%
6,238
$625,235,000 0.07%
Carrier Global Corporation
2.07%
9,878
$623,073,000 0.07%
NXP Semiconductors NV
2.15%
2,280
$613,525,000 0.07%
Genl Dynamics Corp Com
9.67%
2,055
$596,238,000 0.07%
American Water Works Co. Inc.
1.70%
4,507
$582,124,000 0.07%
Aflac Inc.
No change
6,324
$564,796,000 0.07%
Principal Financial Group Inc
0.49%
7,156
$561,388,000 0.07%
Avnet, Inc.
No change
10,797
$555,938,000 0.06%
Lamar Advertising Co
2.12%
4,620
$552,229,000 0.06%
Fidelity Extended Market Index
23.26%
6,597
$532,070,000 0.06%
Unum Group
28.63%
10,132
$517,847,000 0.06%
Ford Mtr Co
2.00%
41,099
$515,383,000 0.06%
S&P Global Inc
Opened
1,123
$500,858,000 0.06%
Camden Property Trust
No change
4,579
$499,615,000 0.06%
Carlyle Group Inc (The)
3.61%
12,015
$482,402,000 0.06%
Hewlett Packard Enterprise Com
No change
22,350
$473,149,000 0.06%
General Motors Company
38.29%
10,056
$467,203,000 0.05%
SS&C Technologies Holdings Inc
4.24%
7,370
$461,878,000 0.05%
Schwab Us Large-cap Value
1.75%
5,826
$431,590,000 0.05%
Gilead Sciences, Inc.
1.58%
6,243
$428,332,000 0.05%
Schwab Us Dividend Equity Fund
39.80%
5,462
$424,761,000 0.05%
Schwab Us Small-cap Etr
1.17%
8,618
$408,924,000 0.05%
Spdr Dow Jones Industrial Aver
No change
1,022
$399,926,000 0.05%
Elme Communities
5.15%
24,865
$396,099,000 0.05%
Ishares Expanded Teck-software
378.63%
4,480
$389,313,000 0.05%
Ishares Nasdaq Biotech Indx
4.40%
2,804
$384,877,000 0.04%
M & T Bk Corp Com
7.31%
2,536
$383,849,000 0.04%
Schwab S&p 500 Fund-select
1.10%
4,493
$378,602,000 0.04%
Fidelity Total Market Index Fu
0.20%
2,497
$373,079,000 0.04%
Spdr S&p Midcap 400 Etf Tr
No change
695
$371,881,000 0.04%
Vanguard Index Fds Small Cp Et
3.04%
1,695
$369,578,000 0.04%
Clorox Company De
0.38%
2,620
$357,551,000 0.04%
Occidental Pete
24.88%
5,646
$355,867,000 0.04%
Viper Energy Inc
16.23%
9,365
$351,468,000 0.04%
Nike Inc - B
62.03%
4,640
$349,717,000 0.04%
Grayscale Bitcoin Trust
12.86%
6,438
$342,759,000 0.04%
Marsh & McLennan Cos., Inc.
No change
1,580
$332,938,000 0.04%
Waste Mgmt Inc
No change
1,557
$332,269,000 0.04%
Jpmorgan Mid Cap Value Fd-a
No change
9,249
$331,849,000 0.04%
Shell Plc
No change
4,536
$327,408,000 0.04%
Virtus Opportunities T Virtus
Closed
12,701
$326,171,000
Xcel Energy Inc.
29.69%
6,039
$322,522,000 0.04%
WEC Energy Group Inc
45.95%
4,000
$313,840,000 0.04%
Amex Healthcare Select Spdr
6.43%
2,153
$313,800,000 0.04%
Vanguard Index Fds Large Cap E
No change
1,254
$313,029,000 0.04%
Coherent Corp
Opened
4,275
$309,766,000 0.04%
Chubb Limited
2.55%
1,206
$307,626,000 0.04%
Prudential Jenn Eqty Oppor-z
No change
14,319
$306,427,000 0.04%
Vontobel Us Eq Institutioanl F
No change
17,489
$305,351,000 0.04%
Uber Technologies Inc
20.00%
4,200
$305,256,000 0.04%
Paramount Global Class-b
13.49%
29,379
$305,248,000 0.04%
Philip Morris International Inc
20.55%
2,938
$297,687,000 0.03%
Spdr Fd Financial Sel
0.42%
7,166
$294,594,000 0.03%
W. P. Carey Inc
0.77%
5,282
$290,759,000 0.03%
Cigna Group (The)
22.10%
860
$284,290,000 0.03%
Ishares Core Growth Allocation
No change
5,022
$282,839,000 0.03%
Seagate Technology Holdings
0.04%
2,713
$280,206,000 0.03%
Crane Nxt Co
2.15%
4,560
$280,075,000 0.03%
Vanguard S&p 500
3.36%
546
$273,071,000 0.03%
Stryker Corp.
No change
800
$272,200,000 0.03%
Intuit Inc
0.25%
400
$262,884,000 0.03%
American Centy Mut Fds Growth
No change
4,508
$260,878,000 0.03%
Public Svc Enterprise Group In
No change
3,497
$257,729,000 0.03%
Illumina Inc
Closed
1,840
$256,202,000
Invesco Exchange Tr Fd Dvd Ach
No change
6,000
$256,020,000 0.03%
Old National Bancorp Ind
Opened
14,881
$255,804,000 0.03%
Delta Air Lines, Inc.
35.28%
5,385
$255,464,000 0.03%
Gallagher (arthur J.) & Co.
No change
975
$252,827,000 0.03%
Exelon Corp.
0.21%
7,219
$249,850,000 0.03%
Corteva Inc
5.05%
4,508
$243,162,000 0.03%
Fidelity Growth Discovery Fund
Opened
3,662
$242,894,000 0.03%
Ishares Dj Us Financial Sector
11.45%
2,475
$234,061,000 0.03%
Blackrock Inc.
No change
297
$233,834,000 0.03%
Twilio Inc - A
Closed
3,075
$233,300,000
Rowe T Pric Mid Cp Val Com
No change
6,851
$231,138,000 0.03%
Elevance Health Inc
10.64%
420
$227,581,000 0.03%
Rowe Price New Hori Fd Com
23.92%
4,144
$225,979,000 0.03%
Ishares Dj Us Home Constructio
No change
2,229
$225,263,000 0.03%
Constellation Energy Group Inc
Opened
1,120
$224,302,000 0.03%
Renaissance Re Hldgs Com
Opened
1,000
$223,510,000 0.03%
Unilever Plc New Ads 4 Ord
Opened
4,044
$222,380,000 0.03%
Fidelity Magellan
0.61%
15,104
$221,267,000 0.03%
Leidos Holdings Inc
Opened
1,505
$219,549,000 0.03%
Cognizant Technology Solutions Corp.
Closed
2,885
$217,904,000
Fortune Brands Home&security
Closed
2,837
$216,009,000
Tesla Inc
23.88%
1,090
$215,689,000 0.03%
Ishares Core High Dividend
Closed
2,105
$214,689,000
Diageo plc
Closed
1,469
$213,919,000
Alliant Energy Corp.
No change
4,200
$213,780,000 0.02%
General Mills, Inc.
Closed
3,275
$213,327,000
Dropbox Inc
22.78%
9,492
$213,285,000 0.02%
Dodge & Cox Stock
Closed
869
$211,589,000
Yum Brands Inc.
0.50%
1,584
$209,803,000 0.02%
Royal Bank Canada Pv$1
Closed
2,050
$207,316,000
Nuveen Esg Large-cap Value
Opened
5,450
$205,955,000 0.02%
Huntington Bancshares, Inc.
70.86%
13,825
$182,213,000 0.02%
Fidelity Str Dvd&inc Fund
21.46%
10,429
$173,845,000 0.02%
Fidelity Asset Manager 60
No change
11,009
$170,423,000 0.02%
KeyCorp
16.53%
11,870
$168,673,000 0.02%
Lyft Inc
14.84%
11,800
$166,380,000 0.02%
Virtus Sga International Growt
Opened
18,043
$159,497,000 0.02%
Cohen & Steers Qual Inc Rlty F
No change
12,534
$146,397,000 0.02%
Nuveen S&p 500 Buy-write Inc F
No change
10,000
$135,000,000 0.02%
Federated Kaufmann Fund
33.74%
19,637
$111,931,000 0.01%
Pacific Biosciences Of Califor
269.52%
77,600
$106,312,000 0.01%
Bionano Genomics Inc
150.00%
45,000
$30,510,000 0.00%
Cannabist Compnay Holdings Inc
141.67%
58,000
$11,217,000 0.00%
Noram Lithium Corp
Closed
15,000
$4,080,000
Cerberus Cyber Sentinel Corpor
Closed
20,000
$2,032,000
Grounded Lithium Corp
Closed
30,000
$1,821,000
Banyan Gold Corp.
No change
10,000
$1,700,000 0.00%
Jervois Global Ltd
Opened
70,000
$926,000 0.00%
Three Sixty Solar Ltd
55.56%
12,000
$517,000 0.00%
Vaxil Bio Ltd
No change
20,000
$160,000 0.00%
Associates First Capital Corpo
No change
16,000
$0 0.00%
No transactions found
Showing first 500 out of 291 holdings