Market Value163,350,000
Total Holdings95
File Date2021-10-27
Original Filing (Click here)

All hedge funds or institutions that manage over $100M are required by the SEC to file quarterly reports on their holdings. These reports are called 13F reports. However, the filings are required the following quarter from the reporting period, which means that by the time the filing is made (and we see them), the information could be five months old.

For funds with long term positions that make few trades, the holdings might closely resemble their current holdings, even after several months. However, for funds that have high turnover, the holdings data we see might differ significantly from their current holdings. Institutions are required to report CALL and PUT options, and those positions are identified in the table. However, they are not required to report short positions.

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Security Imputed
Share Price
Prev
Shares
Current
Shares
Change
(Percent)
Prev Value
(USD x1000)
Current Value
(USD x1000)
Change
(Percent)
MMM / 3M Company
DIS / The Walt Disney Company
ICLN / iShares Trust - iShares Global Clean Energy ETF
APA / APA Corporation
AAPL / Apple Inc.
TGT / Target Corporation
CVS / CVS Health Corporation
C.WSA / Citigroup, Inc.
PPL / PPL Corporation
XEC / Cimarex Energy Co.
SHEL / Shell plc - Depositary Receipt (Common Stock)
COR / Cencora, Inc.
SBUX / Starbucks Corporation
TXN / Texas Instruments Incorporated
VTI / Vanguard Index Funds - Vanguard Total Stock Market ETF
PEP / PepsiCo, Inc.
BRK.B / Berkshire Hathaway Inc.
CPT / Camden Property Trust
XLK / The Select Sector SPDR Trust - The Technology Select Sector SPDR Fund
VGT / Vanguard World Fund - Vanguard Information Technology ETF
DUK / Duke Energy Corporation
RTX / RTX Corporation
PFE / Pfizer Inc.
VIG / Vanguard Specialized Funds - Vanguard Dividend Appreciation ETF
SPY / SPDR S&P 500 ETF
CL / Colgate-Palmolive Company
KO / The Coca-Cola Company
IBM / International Business Machines Corporation
CVX / Chevron Corporation
MDY / SPDR S&P MidCap 400 ETF Trust
CARR / Carrier Global Corporation
XOM / Exxon Mobil Corporation
BAC / Bank of America Corporation
JNJ / Johnson & Johnson
MCK / McKesson Corporation
INTC / Intel Corporation
MDT / Medtronic plc
BA / The Boeing Company
MNMD / Mind Medicine (MindMed) Inc.
AXP / American Express Company
MRK / Merck & Co., Inc.
AFL / Aflac Incorporated
ABT / Abbott Laboratories
NOC / Northrop Grumman Corporation
GOOGL / Alphabet Inc.
PNW / Pinnacle West Capital Corporation
WMT / Walmart Inc.
SLB / Schlumberger Limited
AMGN / Amgen Inc.
WEBR / Weber Inc - Class A
V / Visa Inc.
MCD / McDonald's Corporation
ADP / Automatic Data Processing, Inc.
GOOG / Alphabet Inc.
LH / Labcorp Holdings Inc.
EXC / Exelon Corporation
APD / Air Products and Chemicals, Inc.
MAA / Mid-America Apartment Communities, Inc.
WELL / Welltower Inc.
MOFG / MidWestOne Financial Group, Inc.
TELL / Tellurian Inc.
UNH / UnitedHealth Group Incorporated
NKE / NIKE, Inc.
TREX / Trex Company, Inc.
GSBD / Goldman Sachs BDC, Inc.
VFC / V.F. Corporation
VPU / Vanguard World Fund - Vanguard Utilities ETF
XLF / The Select Sector SPDR Trust - The Financial Select Sector SPDR Fund
PG / The Procter & Gamble Company
CSCO / Cisco Systems, Inc.
AMZN / Amazon.com, Inc.
HD / The Home Depot, Inc.
UPS / United Parcel Service, Inc.
JEPI / J.P. Morgan Exchange-Traded Fund Trust - JPMorgan Equity Premium Income ETF
SCHW / The Charles Schwab Corporation
RSP / Invesco Exchange-Traded Fund Trust - Invesco S&P 500 Equal Weight ETF
JPM / JPMorgan Chase & Co.
T / AT&T Inc.
IJH / iShares Trust - iShares Core S&P Mid-Cap ETF
POOL / Pool Corporation
FDX / FedEx Corporation
META / Meta Platforms, Inc.
ROST / Ross Stores, Inc.
IJR / iShares Trust - iShares Core S&P Small-Cap ETF
MSFT / Microsoft Corporation
ABBV / AbbVie Inc.
IUSG / iShares Trust - iShares Core S&P U.S. Growth ETF
IRT / Independence Realty Trust, Inc.
AIRC / Apartment Income REIT Corp.
OKE / ONEOK, Inc.
GIS / General Mills, Inc.
COST / Costco Wholesale Corporation
SYK / Stryker Corporation
CMI / Cummins Inc.
ZTS / Zoetis Inc.
OTIS / Otis Worldwide Corporation