Nilsine Partners 13F annual report

Nilsine Partners is an investment fund managing more than $744 billion ran by Teresa Friess. There are currently 270 companies in Mrs. Friess’s portfolio. The largest investments include Apple Inc and First Tr Exchange-traded Fd, together worth $100 billion.

$744 billion Assets Under Management (AUM)

As of 24th July 2024, Nilsine Partners’s top holding is 189,806 shares of Apple Inc currently worth over $40 billion and making up 5.4% of the portfolio value. Relative to the number of outstanding shares of Apple Inc, Nilsine Partners owns more than approximately 0.1% of the company. In addition, the fund holds 699,541 shares of First Tr Exchange-traded Fd worth $60.1 billion. The third-largest holding is Broadcom worth $18.5 billion and the next is NVIDIA Corp worth $18.4 billion, with 149,226 shares owned.

Currently, Nilsine Partners's portfolio is worth at least $744 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 Nilsine Partners

The Nilsine Partners office and employees reside in Greenwood Village, Colorado. According to the last 13-F report filed with the SEC, Teresa Friess serves as the Chief Compliance Officer at Nilsine Partners.

Recent trades

In the most recent 13F filing, Nilsine Partners revealed that it had opened a new position in Ishares Tr and bought 32,460 shares worth $1.31 billion.

The investment fund also strengthened its position in Apple Inc by buying 3,932 additional shares. This makes their stake in Apple Inc total 189,806 shares worth $40 billion. Apple Inc soared 14.2% in the past year.

On the other hand, there are companies that Nilsine Partners is getting rid of from its portfolio. Nilsine Partners closed its position in Ishares Inc on 31st July 2024. It sold the previously owned 30,162 shares for $2.09 billion. Teresa Friess also disclosed a decreased stake in Broadcom by approximately 0.1%. This leaves the value of the investment at $18.5 billion and 11,504 shares.

One of the average hedge funds

The two most similar investment funds to Nilsine Partners are Hackensack Meridian Health and Rtd Advisors. They manage $744 billion and $744 billion respectively.


Teresa Friess investment strategy

Nilsine Partners’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 13.8% of the total portfolio value. The fund focuses on investments in the United States as 52.6% 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 48% of the total holdings value. On the other hand, small-cap stocks make up only 1.9% of the portfolio. The average market cap of the portfolio companies is close to $119 billion.

The complete list of Nilsine Partners trades based on 13F SEC filings

These positions were updated on July 31st 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
2.12%
189,806
$39,976,940,000 5.37%
First Tr Exchange-traded Fd
0.80%
699,541
$60,067,439,000 8.07%
Broadcom Inc.
0.49%
11,504
$18,470,017,000 2.48%
NVIDIA Corp
887.14%
149,226
$18,435,335,000 2.48%
First Tr Nasdaq 100 Tech Ind
2.42%
84,664
$16,717,753,000 2.25%
Amazon.com Inc.
0.28%
83,990
$16,231,068,000 2.18%
First Tr Exchange Traded Fd
2.20%
500,329
$32,533,505,000 4.37%
Microsoft Corporation
0.44%
35,315
$15,783,891,000 2.12%
Spdr Sp 500 Etf Trust
0.20%
26,827
$14,599,790,000 1.96%
Lam Research Corp.
0.23%
11,531
$12,278,785,000 1.65%
Costco Whsl Corp New
1.90%
13,538
$11,506,808,000 1.55%
Kroger Co.
0.13%
229,866
$11,477,209,000 1.54%
Lilly Eli Co
0.15%
11,394
$10,315,900,000 1.39%
Novo-nordisk A S Adr
1.68%
69,311
$9,893,452,000 1.33%
Tempur Sealy International Inc
0.59%
184,788
$8,747,842,000 1.18%
Invesco Exch Traded Fd Tr Ii
3.95%
300,403
$13,004,033,000 1.75%
Visa Inc
1.20%
29,961
$7,863,755,000 1.06%
Berkshire Hathaway Inc.
1.07%
16,968
$6,902,582,000 0.93%
Pacer Fds Tr
1.48%
128,876
$6,873,058,000 0.92%
Jpmorgan Chase Co
0.31%
31,763
$6,424,384,000 0.86%
Applied Matls Inc
0.27%
25,756
$6,078,158,000 0.82%
Builders Firstsource Inc
0.31%
42,928
$5,941,664,000 0.80%
Ishares Tr
1.96%
285,408
$19,748,582,000 2.65%
Lowes Cos Inc
2.54%
26,580
$5,859,871,000 0.79%
Exxon Mobil Corp.
28.43%
50,390
$5,800,908,000 0.78%
Thermo Fisher Scientific Inc.
2.71%
10,163
$5,620,139,000 0.76%
Marathon Pete Corp
1.95%
30,589
$5,306,580,000 0.71%
Fiserv, Inc.
0.71%
34,039
$5,073,173,000 0.68%
KLA Corp.
1.65%
6,021
$4,964,375,000 0.67%
Adobe Systems Incorporated
1.36%
8,802
$4,889,863,000 0.66%
Meta Platforms Inc
1.80%
9,607
$4,844,051,000 0.65%
Zoetis Inc
4.83%
27,184
$4,712,618,000 0.63%
First Tr Exch Traded Fd Iii
1.31%
473,117
$10,116,461,000 1.36%
Mcdonalds Corp
1.22%
17,738
$4,520,298,000 0.61%
United Rentals, Inc.
0.13%
6,902
$4,463,874,000 0.60%
Murphy USA Inc
1.84%
9,248
$4,341,566,000 0.58%
Spdr Ser Tr
3.18%
306,276
$11,889,368,000 1.60%
Dicks Sporting Goods, Inc.
0.09%
19,122
$4,108,362,000 0.55%
Oracle Corp.
1.99%
27,881
$3,936,844,000 0.53%
Autonation Inc.
1.04%
24,094
$3,840,102,000 0.52%
Disney Walt Co
0.61%
37,978
$3,770,824,000 0.51%
Diamondback Energy Inc
3.51%
18,454
$3,694,304,000 0.50%
Lululemon Athletica inc.
3.61%
12,052
$3,599,932,000 0.48%
Vanguard Scottsdale Fds
5.25%
62,104
$3,866,425,000 0.52%
D.R. Horton Inc.
3.03%
24,975
$3,519,727,000 0.47%
Unitedhealth Group Inc
10.73%
6,757
$3,441,070,000 0.46%
Bny Mellon Etf Trust
2.61%
82,129
$3,401,783,000 0.46%
Alphabet Inc
0.24%
17,635
$3,212,215,000 0.43%
Vanguard Whitehall Fds
6.02%
55,800
$3,806,593,000 0.51%
Acm Resh Inc
2.56%
136,385
$3,145,038,000 0.42%
Caterpillar Inc.
5.62%
9,431
$3,141,339,000 0.42%
Alphabet Inc Cap Stk
2.71%
16,890
$3,097,964,000 0.42%
Belden Inc
3.33%
32,845
$3,080,861,000 0.41%
Hologic, Inc.
2.32%
41,463
$3,078,628,000 0.41%
Taiwan Semiconductor Mfg Ltd Sponsored Ads
19.40%
17,510
$3,043,413,000 0.41%
Amerisourcebergen Corp
2.26%
13,374
$3,013,162,000 0.41%
Tesla Inc
16.27%
14,827
$2,933,967,000 0.39%
Netflix Inc.
0.63%
4,347
$2,933,703,000 0.39%
Intuitive Surgical Inc
0.69%
6,547
$2,912,433,000 0.39%
Merck Co Inc
0.99%
23,351
$2,890,854,000 0.39%
Paccar Inc.
6.10%
27,990
$2,881,291,000 0.39%
Johnson Johnson
4.88%
18,136
$2,650,718,000 0.36%
Prologis Inc
17.05%
23,527
$2,642,317,000 0.36%
Coca-Cola Co
9.86%
41,166
$2,620,216,000 0.35%
Select Sector Spdr Tr
No change
20,665
$2,518,444,000 0.34%
Advanced Micro Devices Inc.
0.94%
15,512
$2,516,202,000 0.34%
Arch Cap Group Ltd
1.94%
24,531
$2,474,933,000 0.33%
Mckesson Corporation
1.50%
4,202
$2,454,136,000 0.33%
ON Semiconductor Corp.
0.27%
35,734
$2,449,566,000 0.33%
Chubb Limited
3.20%
9,534
$2,431,933,000 0.33%
Penske Automotive Grp Inc
1.61%
15,484
$2,307,426,000 0.31%
Option Care Health Inc
2.83%
83,203
$2,304,723,000 0.31%
Boeing Co.
18.88%
12,320
$2,242,363,000 0.30%
Trane Technologies plc
5.72%
6,727
$2,212,712,000 0.30%
Toll Brothers Inc.
0.10%
19,197
$2,211,110,000 0.30%
Ishares Inc
1.32%
356,080
$14,505,466,000 1.95%
Ishares Inc
Closed
30,162
$2,090,528,000
Cisco Sys Inc
1.17%
43,991
$2,090,022,000 0.28%
Cigna Group (The)
3.65%
6,284
$2,077,302,000 0.28%
Chevron Corp.
38.95%
13,185
$2,062,398,000 0.28%
Travelers Companies Inc.
0.62%
10,038
$2,041,117,000 0.27%
Eaton Corp Plc
3.76%
6,301
$1,975,679,000 0.27%
Ssga Active Etf Tr
3.07%
46,443
$1,941,317,000 0.26%
Blackrock Inc.
0.99%
2,450
$1,928,934,000 0.26%
Rush Enterprises Inc
0.36%
45,657
$1,911,659,000 0.26%
Northrop Grumman Corp.
5.35%
4,373
$1,906,409,000 0.26%
Live Nation Entertainment In
6.33%
20,189
$1,892,517,000 0.25%
Invesco Exchange Traded Fd T
1.91%
196,681
$11,023,809,000 1.48%
Salesforce Inc
2.55%
7,286
$1,873,231,000 0.25%
Abbott Labs
2.11%
17,819
$1,851,572,000 0.25%
Pepsico Inc
2.24%
10,966
$1,808,650,000 0.24%
Parker-Hannifin Corp.
3.28%
3,559
$1,800,178,000 0.24%
Kimco Rlty Corp
3.72%
91,571
$1,781,972,000 0.24%
Mgic Invt Corp Wis
0.28%
82,046
$1,768,091,000 0.24%
Deere Co
5.14%
4,681
$1,748,962,000 0.24%
Norfolk Southn Corp
6.19%
8,126
$1,744,571,000 0.23%
Conocophillips
0.91%
15,103
$1,727,481,000 0.23%
Vanguard Index Fds
0.57%
4,744
$1,926,560,000 0.26%
Comcast Corp New
4.72%
42,941
$1,681,570,000 0.23%
Automatic Data Processing Inc.
2.03%
7,042
$1,680,855,000 0.23%
Vertex Pharmaceuticals, Inc.
0.89%
3,450
$1,617,084,000 0.22%
Qualcomm, Inc.
1.70%
7,838
$1,561,173,000 0.21%
Schwab Strategic Tr
3.06%
35,344
$1,558,670,000 0.21%
Olin Corp.
0.50%
32,677
$1,540,721,000 0.21%
DaVita Inc
0.02%
11,040
$1,529,813,000 0.21%
Coinbase Global Inc
0.52%
6,703
$1,489,608,000 0.20%
Goldman Sachs Group, Inc.
3.91%
3,266
$1,477,277,000 0.20%
Home Depot, Inc.
10.56%
4,244
$1,460,806,000 0.20%
Abbvie Inc
0.52%
8,193
$1,405,263,000 0.19%
Union Pac Corp
0.42%
5,902
$1,335,387,000 0.18%
Honeywell International Inc
0.97%
6,226
$1,329,500,000 0.18%
Agilent Technologies Inc.
2.73%
10,159
$1,316,911,000 0.18%
Ishares Tr
Opened
32,460
$1,305,866,000 0.18%
CSX Corp.
0.96%
38,523
$1,288,594,000 0.17%
Lyondellbasell Industries N
Opened
13,361
$1,278,113,000 0.17%
Progressive Corp.
1.36%
6,027
$1,251,868,000 0.17%
Autodesk Inc.
2.14%
4,992
$1,235,270,000 0.17%
AECOM
1.10%
13,981
$1,232,285,000 0.17%
Elevance Health Inc
0.53%
2,264
$1,226,960,000 0.16%
Kontoor Brands Inc
Opened
18,355
$1,214,183,000 0.16%
Eog Res Inc
2.47%
9,513
$1,197,401,000 0.16%
International Business Machs
3.44%
6,874
$1,188,905,000 0.16%
Schwab Charles Corp
0.65%
15,529
$1,144,332,000 0.15%
Procter And Gamble Co
6.72%
6,891
$1,136,529,000 0.15%
Att Inc
7.32%
59,343
$1,134,045,000 0.15%
General Mtrs Co
0.24%
23,876
$1,109,279,000 0.15%
Regeneron Pharmaceuticals, Inc.
11.08%
1,051
$1,104,633,000 0.15%
Mondelez International Inc.
4.35%
16,803
$1,099,588,000 0.15%
Lockheed Martin Corp.
1.30%
2,342
$1,093,948,000 0.15%
Mastercard Incorporated
0.53%
2,479
$1,093,513,000 0.15%
VanEck ETF Trust
3.91%
12,494
$1,082,105,000 0.15%
Motorola Solutions Inc
0.78%
2,796
$1,079,396,000 0.15%
Vanguard Specialized Funds
No change
5,886
$1,074,489,000 0.14%
Accenture Plc Ireland
4.69%
3,530
$1,071,037,000 0.14%
Verizon Communications Inc
3.28%
25,316
$1,044,045,000 0.14%
Starbucks Corp.
10.29%
13,383
$1,041,834,000 0.14%
First Tr Nasdaq Aba Cmnty Bk
6.10%
22,121
$1,017,360,000 0.14%
Micron Technology Inc.
13.56%
7,655
$1,006,862,000 0.14%
Monster Beverage Corp.
2.06%
19,630
$980,519,000 0.13%
Marsh Mclennan Cos Inc
0.22%
4,615
$972,473,000 0.13%
Gilead Sciences, Inc.
Closed
13,216
$968,036,000
Energy Transfer L P
No change
59,575
$966,307,000 0.13%
Shopify Inc
18.10%
14,569
$962,282,000 0.13%
Texas Instrs Inc
7.27%
4,847
$942,887,000 0.13%
Yum Brands Inc.
0.01%
6,936
$918,743,000 0.12%
Walmart Inc
0.63%
13,349
$903,861,000 0.12%
The Southern Co.
11.45%
11,451
$888,254,000 0.12%
Alibaba Group Hldg Ltd
0.33%
12,201
$878,472,000 0.12%
Host Hotels Resorts Inc
6.11%
48,241
$867,373,000 0.12%
Aflac Inc.
2.33%
9,641
$861,038,000 0.12%
Vanguard Bd Index Fds
23.76%
21,915
$1,592,666,000 0.21%
Centene Corp.
1.99%
12,569
$833,325,000 0.11%
Colgate-Palmolive Co.
0.87%
8,341
$809,411,000 0.11%
Nike, Inc.
17.21%
10,711
$807,269,000 0.11%
General Dynamics Corp.
6.58%
2,782
$807,169,000 0.11%
Cleveland-Cliffs Inc
0.64%
52,191
$803,219,000 0.11%
Morgan Stanley
13.22%
8,145
$791,613,000 0.11%
Citigroup Inc
4.13%
12,461
$790,787,000 0.11%
Spdr Gold Shares
5.64%
3,583
$770,381,000 0.10%
Vanguard World Fds
No change
1,328
$765,712,000 0.10%
Tjx Cos Inc New
7.69%
6,769
$745,267,000 0.10%
Bp Plc Sponsored Adr
6.82%
20,388
$736,022,000 0.10%
Marriott Intl Inc New
30.50%
3,042
$735,464,000 0.10%
Bank America Corp
0.22%
18,278
$726,916,000 0.10%
Astrazeneca Plc Sponsored Adr
22.75%
9,249
$721,330,000 0.10%
Bunge Global SA
1.37%
6,679
$713,117,000 0.10%
Linde Plc Shs
No change
1,607
$705,168,000 0.09%
Expedia Group Inc
0.05%
5,588
$704,032,000 0.09%
Lennar Corp.
0.13%
4,560
$683,407,000 0.09%
Duke Energy Corp.
0.81%
6,755
$677,054,000 0.09%
American Express Co.
1.34%
2,881
$667,096,000 0.09%
East West Bancorp, Inc.
Opened
9,038
$661,853,000 0.09%
American Tower Corp.
1.86%
3,387
$658,365,000 0.09%
NextEra Energy Inc
0.39%
9,164
$648,903,000 0.09%
Allegion Plc Ord
0.53%
5,434
$642,027,000 0.09%
Southern Copper Corporation
1.03%
5,778
$622,529,000 0.08%
Novartis AG
1.94%
5,789
$616,297,000 0.08%
Expeditors Intl Wash Inc
0.97%
4,810
$600,240,000 0.08%
Cummins Inc.
2.03%
2,159
$597,991,000 0.08%
Workday Inc
1.71%
2,643
$590,869,000 0.08%
Sei Invts Co
0.04%
9,005
$582,533,000 0.08%
Omnicom Group, Inc.
0.09%
6,450
$578,565,000 0.08%
Factset Resh Sys Inc
0.37%
1,339
$546,674,000 0.07%
Bristol-Myers Squibb Co.
Closed
9,739
$528,160,000
T-Mobile US, Inc.
0.97%
2,961
$521,669,000 0.07%
Danaher Corp.
3.34%
2,013
$502,948,000 0.07%
Asml Holding N V N Y Registry
3.55%
489
$500,115,000 0.07%
Avery Dennison Corp.
No change
2,284
$499,397,000 0.07%
Nxp Semiconductors N V
1.12%
1,847
$497,009,000 0.07%
Pfizer Inc.
31.83%
17,381
$486,307,000 0.07%
Wells Fargo Co New
0.20%
8,110
$481,653,000 0.06%
Textron Inc.
No change
5,558
$477,210,000 0.06%
Sp Global Inc
2.40%
1,067
$475,882,000 0.06%
Sysco Corp.
3.25%
6,586
$470,175,000 0.06%
AdvanSix Inc
0.97%
20,433
$468,324,000 0.06%
Devon Energy Corp.
6.26%
9,780
$463,584,000 0.06%
Avnet, Inc.
0.02%
8,872
$456,796,000 0.06%
General Mls Inc
40.86%
6,967
$440,732,000 0.06%
Jabil Inc
0.94%
4,000
$435,194,000 0.06%
CDW Corp
8.79%
1,944
$435,145,000 0.06%
Illinois Tool Wks Inc
19.91%
1,774
$420,367,000 0.06%
Nasdaq Inc
3.79%
6,904
$416,035,000 0.06%
PayPal Holdings Inc
0.07%
7,119
$413,116,000 0.06%
Boston Scientific Corp.
2.56%
5,362
$412,928,000 0.06%
Block Inc
4.15%
6,329
$408,157,000 0.05%
M.D.C. Holdings, Inc.
Closed
6,401
$402,687,000
Phillips 66
2.74%
2,772
$391,280,000 0.05%
Relx Plc Sponsored Adr
No change
8,348
$383,006,000 0.05%
American Elec Pwr Co Inc
No change
4,356
$382,195,000 0.05%
Illumina Inc
15.45%
3,640
$379,943,000 0.05%
Price T Rowe Group Inc
1.55%
3,220
$371,298,000 0.05%
Arista Networks Inc
1.86%
1,039
$364,149,000 0.05%
Unilever Plc Spon Adr New
18.57%
6,558
$360,624,000 0.05%
Pnc Finl Svcs Group Inc
6.84%
2,311
$359,314,000 0.05%
Simon Ppty Group Inc New
2.56%
2,326
$353,087,000 0.05%
Public Storage
1.01%
1,205
$346,618,000 0.05%
TE Connectivity Ltd
No change
2,257
$339,521,000 0.05%
Valero Energy Corp.
0.14%
2,166
$339,500,000 0.05%
Kimberly-Clark Corp.
0.29%
2,456
$339,419,000 0.05%
Synopsys, Inc.
1.98%
567
$337,399,000 0.05%
Pioneer Nat Res Co
Closed
1,284
$337,050,000
Genuine Parts Co.
58.54%
2,405
$332,660,000 0.04%
Arrow Electrs Inc
0.54%
2,742
$331,124,000 0.04%
Vanguard Mun Bd Fds
No change
6,570
$329,223,000 0.04%
Hartford Finl Svcs Group Inc
1.97%
3,259
$327,660,000 0.04%
nVent Electric plc
0.14%
4,251
$325,669,000 0.04%
Kraft Heinz Co
2.26%
10,032
$323,231,000 0.04%
Intel Corp.
3.87%
10,415
$322,553,000 0.04%
First Trust Technology
No change
2,353
$320,620,000 0.04%
Hilton Worldwide Holdings Inc
10.48%
1,444
$315,081,000 0.04%
Vici Pptys Inc
5.70%
10,888
$311,832,000 0.04%
Principal Financial Group Inc
7.12%
3,974
$311,759,000 0.04%
Oaktree Specialty Lending Corp
No change
16,455
$309,519,000 0.04%
Philip Morris International Inc
23.46%
3,054
$309,462,000 0.04%
ING Groep N.V.
1.44%
17,991
$308,366,000 0.04%
Us Bancorp Del
5.16%
7,740
$307,278,000 0.04%
WEC Energy Group Inc
No change
3,841
$301,365,000 0.04%
Vanguard Total Stock Market Etf
12.50%
1,120
$299,611,000 0.04%
Blackstone Inc
4.13%
2,397
$296,749,000 0.04%
Dover Corp.
6.29%
1,639
$295,758,000 0.04%
Archer Daniels Midland Co.
No change
4,871
$294,452,000 0.04%
CVS Health Corp
46.16%
4,952
$292,465,000 0.04%
Welltower Inc.
6.89%
2,763
$288,043,000 0.04%
Nucor Corp.
38.87%
1,815
$286,915,000 0.04%
Aon plc.
15.19%
955
$280,369,000 0.04%
MetLife, Inc.
0.92%
3,993
$280,269,000 0.04%
Kinder Morgan Inc
Opened
14,069
$279,559,000 0.04%
Resideo Technologies Inc
3.27%
14,256
$278,847,000 0.04%
Honda Motor
0.09%
8,564
$276,103,000 0.04%
Analog Devices Inc.
No change
1,198
$273,455,000 0.04%
American Centy Etf Tr
No change
2,996
$268,801,000 0.04%
Palo Alto Networks Inc
38.78%
772
$261,716,000 0.04%
Group 1 Automotive, Inc.
0.23%
866
$257,585,000 0.03%
Oneok Inc.
4.97%
3,144
$256,393,000 0.03%
Ryanair Holdings Plc
Closed
1,746
$254,200,000
Raytheon Technologies Corp
12.45%
2,518
$252,782,000 0.03%
Allstate Corp (The)
5.56%
1,563
$249,549,000 0.03%
American Intl Group Inc
1.71%
3,334
$247,516,000 0.03%
Packaging Corp Amer
8.01%
1,349
$246,273,000 0.03%
Dollar Tree Inc
Closed
1,820
$242,333,000
Cognizant Technology Solutions Corp.
0.09%
3,482
$236,749,000 0.03%
AMGEN Inc.
Opened
747
$233,400,000 0.03%
First Tr Value Line Divid In
No change
5,589
$227,752,000 0.03%
Baxter International Inc.
Closed
5,324
$227,548,000
Pulte Group Inc
0.10%
1,989
$219,014,000 0.03%
Equity Residential
Opened
3,149
$218,352,000 0.03%
Crowdstrike Holdings Inc
Opened
567
$217,269,000 0.03%
Howmet Aerospace Inc.
Closed
3,159
$216,170,000
Digital Rlty Tr Inc
0.28%
1,416
$215,303,000 0.03%
Graphic Packaging Hldg Co
No change
8,211
$215,210,000 0.03%
Emerson Elec Co
6.52%
1,934
$213,049,000 0.03%
Fidelity Natl Information Svcs
0.18%
2,827
$213,043,000 0.03%
Waste Mgmt Inc Del
Closed
995
$212,081,000
Yum China Holdings Inc
No change
6,806
$209,897,000 0.03%
Costar Group, Inc.
Closed
2,158
$208,463,000
Broadridge Finl Solutions Inc
5.28%
1,058
$208,426,000 0.03%
General Electric Co
Closed
1,185
$208,003,000
Berkley W R Corp
Closed
2,340
$206,950,000
Dollar Gen Corp New
Closed
1,321
$206,155,000
Magna International Inc.
Closed
3,769
$205,335,000
Vanguard Index Fds
Closed
891
$203,781,000
Marvell Technology Inc
8.38%
2,909
$203,339,000 0.03%
First Horizon Corporation
No change
10,946
$172,618,000 0.02%
F.N.B. Corp.
No change
11,966
$163,695,000 0.02%
Walgreens Boots Alliance Inc
3.43%
13,158
$159,146,000 0.02%
Motorcar Pts Amer Inc
Closed
19,169
$154,119,000
Ericsson Adr B Sek 10
3.50%
22,008
$135,789,000 0.02%
No transactions found
Showing first 500 out of 287 holdings