Monetary Management Group Inc 13F annual report

Monetary Management Group Inc is an investment fund managing more than $378 billion ran by Thomas Jr.. There are currently 321 companies in Mr. Jr.’s portfolio. The largest investments include Microsoft and Apple Inc, together worth $62.7 billion.

Limited to 30 biggest holdings

$378 billion Assets Under Management (AUM)

As of 9th July 2024, Monetary Management Group Inc’s top holding is 73,608 shares of Microsoft currently worth over $32.9 billion and making up 8.7% of the portfolio value. Relative to the number of outstanding shares of Microsoft, Monetary Management Group Inc owns more than approximately 0.1% of the company. In addition, the fund holds 141,353 shares of Apple Inc worth $29.8 billion, whose value grew 27.6% in the past six months. The third-largest holding is NVIDIA Corp worth $24.8 billion and the next is Eli Lilly And Co. worth $14.8 billion, with 16,305 shares owned.

Currently, Monetary Management Group Inc's portfolio is worth at least $378 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 Monetary Management Group Inc

The Monetary Management Group Inc office and employees reside in St Louis, Missouri. According to the last 13-F report filed with the SEC, Thomas Jr. serves as the President at Monetary Management Group Inc.

Recent trades

In the most recent 13F filing, Monetary Management Group Inc revealed that it had opened a new position in Meta Platforms Inc and bought 15,760 shares worth $7.95 billion. This means they effectively own approximately 0.1% of the company. Meta Platforms Inc makes up 7.3% of the fund's Technology sector allocation and has decreased its share price by approximately 0.1% in the past year.

The investment fund also strengthened its position in Microsoft by buying 68 additional shares. This makes their stake in Microsoft total 73,608 shares worth $32.9 billion. Microsoft dropped approximately 0.1% in the past year.

On the other hand, there are companies that Monetary Management Group Inc is getting rid of from its portfolio. Monetary Management Group Inc closed its position in Meta Platforms Inc on 16th July 2024. It sold the previously owned 14,355 shares for $6.97 billion. Thomas Jr. also disclosed a decreased stake in Eli Lilly And Co. by approximately 0.1%. This leaves the value of the investment at $14.8 billion and 16,305 shares.

One of the smaller hedge funds

The two most similar investment funds to Monetary Management Group Inc are Caligan Partners L.P. and Genwealth. They manage $378 billion and $378 billion respectively.


Thomas Jr. investment strategy

Monetary Management Group Inc’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 28.9% of the total portfolio value. The fund focuses on investments in the United States as 54.2% 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 49% of the total holdings value. On the other hand, small-cap stocks make up only 4.0% of the portfolio. The average market cap of the portfolio companies is close to $103 billion.

The complete list of Monetary Management Group Inc trades based on 13F SEC filings

These positions were updated on July 16th 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
Microsoft Corporation
0.09%
73,608
$32,899,096,000 8.70%
Apple Inc
2.51%
141,353
$29,771,769,000 7.87%
NVIDIA Corp
902.62%
200,575
$24,779,035,000 6.55%
Eli Lilly And Co.
2.80%
16,305
$14,762,221,000 3.90%
Alphabet Inc (a)
0.47%
64,480
$11,745,032,000 3.11%
Amazon.com Inc.
2.34%
52,515
$10,148,524,000 2.68%
Home Depot, Inc.
0.92%
25,634
$8,824,248,000 2.33%
Broadcom Inc.
0.93%
5,427
$8,713,211,000 2.30%
Meta Platforms Inc
Opened
15,760
$7,946,507,000 2.10%
Meta Platforms Inc
Closed
14,355
$6,970,501,000
Abbvie Lnc.
1.03%
37,665
$6,460,301,000 1.71%
Unitedhealth Group Inc
0.42%
11,883
$6,051,537,000 1.60%
J P Morgan/chase
1.02%
26,654
$5,391,038,000 1.43%
I Shares Tr Russell 1000 Growth Index
2.66%
14,261
$5,198,277,000 1.37%
Pepsico Inc
3.71%
27,975
$4,613,917,000 1.22%
Lam Research Corp.
2.51%
4,296
$4,574,596,000 1.21%
AMGEN Inc.
2.40%
14,246
$4,451,163,000 1.18%
I Shares Russell 1000 Value Index
0.22%
22,450
$3,916,851,000 1.04%
Costco Whsl Corp
2.28%
4,490
$3,816,455,000 1.01%
Mastercard Inc. (a)
2.59%
8,510
$3,754,272,000 0.99%
Caterpillar Inc.
2.40%
10,167
$3,386,628,000 0.90%
Abbott Laboratories
0.02%
31,287
$3,251,032,000 0.86%
Chevron Corp.
1.43%
20,728
$3,242,274,000 0.86%
Qualcomm, Inc.
No change
15,825
$3,152,023,000 0.83%
KLA Corp.
21.20%
3,573
$2,945,974,000 0.78%
Olin Corp.
No change
61,100
$2,880,865,000 0.76%
Visa Inc. (a)
8.47%
10,810
$2,837,301,000 0.75%
Procter & Gamble Co.
No change
17,200
$2,836,624,000 0.75%
Deere & Co.
8.81%
7,100
$2,652,773,000 0.70%
Wal Mart Stores, Inc.
0.31%
38,708
$2,620,919,000 0.69%
L3Harris Technologies Inc
3.09%
11,670
$2,620,849,000 0.69%
Oracle Corp.
4.30%
17,810
$2,514,772,000 0.66%
Lowes Cos Inc.
0.67%
11,351
$2,502,441,000 0.66%
Stryker Corp.
0.35%
7,220
$2,456,605,000 0.65%
Johnson & Johnson
8.16%
16,675
$2,437,218,000 0.64%
iShares Select Dividend ETF
No change
20,000
$2,419,600,000 0.64%
Adobe Inc
2.49%
4,120
$2,288,825,000 0.61%
Sherwin-Williams Co.
No change
7,528
$2,246,581,000 0.59%
Williams Co.s
1.62%
50,250
$2,135,625,000 0.56%
Thermo Fisher Corp
14.01%
3,805
$2,104,165,000 0.56%
O Reilly Automotive Inc.
No change
1,940
$2,048,756,000 0.54%
Crowdstrike Holdings Inc
2.79%
5,225
$2,002,168,000 0.53%
Palo Alto Networks Inc
No change
5,860
$1,986,599,000 0.53%
Tesla Inc
11.57%
9,633
$1,906,178,000 0.50%
Berkshire Hathaway Inc.
1.99%
4,603
$1,872,500,000 0.50%
Select Spdr Energy
9.86%
19,505
$1,777,881,000 0.47%
Philip Morris International Inc
1.76%
16,775
$1,699,811,000 0.45%
Mcdonald's Corporation
0.38%
6,659
$1,696,980,000 0.45%
Alphabet Inc (c)
No change
8,935
$1,638,862,000 0.43%
Oneok Inc.
0.26%
19,550
$1,594,302,000 0.42%
Regeneron Pharmaceuticals, Inc.
5.73%
1,477
$1,552,371,000 0.41%
Parker-Hannifin Corp.
3.39%
3,050
$1,542,720,000 0.41%
Advanced Micro Devices Inc.
No change
9,220
$1,495,576,000 0.40%
Cadence Design Systems, Inc.
2.36%
4,765
$1,466,429,000 0.39%
Select Sector Spdr Financial
4.41%
35,550
$1,461,460,000 0.39%
Lockheed Martin Corp.
1.63%
3,112
$1,453,615,000 0.38%
Ishares S&p 500 Index
No change
2,625
$1,436,479,000 0.38%
Tjx Cos Inc New Com
0.77%
12,900
$1,420,290,000 0.38%
Sector Spdr Tr Shs Ben Int Technology
6.81%
6,230
$1,409,413,000 0.37%
Exxon Mobil Corp.
95.80%
11,650
$1,341,148,000 0.35%
Honeywell International Inc
3.85%
6,250
$1,334,625,000 0.35%
Standard & Poors Dep Rec Trust
7.82%
2,440
$1,327,897,000 0.35%
Accenture plc
No change
4,375
$1,327,419,000 0.35%
Pfizer Inc.
2.84%
47,050
$1,316,459,000 0.35%
Automatic Data Processing Inc.
No change
5,425
$1,294,893,000 0.34%
Verizon Communications Inc
10.85%
30,650
$1,264,006,000 0.33%
Starbucks Corp.
1.27%
16,075
$1,251,439,000 0.33%
Intuit Inc
No change
1,880
$1,235,555,000 0.33%
Synopsys, Inc.
No change
2,075
$1,234,749,000 0.33%
Ishares Russell 2000 Index Fd
3.45%
5,997
$1,216,731,000 0.32%
Netflix Inc.
No change
1,768
$1,193,188,000 0.32%
Humana Inc.
11.31%
3,137
$1,172,140,000 0.31%
Select Sector Spider Con Disc
0.08%
6,375
$1,162,800,000 0.31%
Ibm Corp
No change
6,657
$1,151,328,000 0.30%
Ishares Russell Midcap Index Fund
3.00%
13,755
$1,115,255,000 0.29%
Merck & Co Inc
2.18%
8,955
$1,108,629,000 0.29%
Union Pac Corp
16.99%
4,885
$1,105,280,000 0.29%
iShares PHLX Semiconductor ETF
9.20%
4,440
$1,095,037,000 0.29%
Cisco Systems, Inc.
No change
22,935
$1,089,642,000 0.29%
NextEra Energy Inc
86.15%
15,125
$1,071,001,000 0.28%
Raytheon Technologies Corp
10.44%
10,576
$1,061,725,000 0.28%
Energy Transfer Partners, Lp
No change
64,000
$1,038,080,000 0.27%
Chubb Ltd
No change
4,030
$1,027,972,000 0.27%
Booking Holdings Inc
No change
253
$1,002,259,000 0.26%
NextEra Energy Partners LP
6.24%
35,765
$988,545,000 0.26%
Delta Air Lines, Inc.
30.63%
20,550
$974,892,000 0.26%
EOG Resources, Inc.
9.38%
7,725
$972,346,000 0.26%
Ulta Beauty Inc
Closed
1,830
$956,870,000
Invesco QQQ Trust
No change
1,950
$934,264,000 0.25%
Intel Corp.
1.97%
29,800
$922,906,000 0.24%
Enterprise Prods Partners Lp
No change
31,160
$903,017,000 0.24%
Medtronic Inc
10.98%
11,200
$881,552,000 0.23%
Salesforce Inc
16.71%
3,365
$865,141,000 0.23%
Consolidated Edison, Inc.
No change
9,650
$862,903,000 0.23%
Intuitive Surgical Inc
No change
1,895
$842,991,000 0.22%
Colgate-Palmolive Co.
2.82%
8,600
$834,544,000 0.22%
Quanex Corp
No change
30,000
$829,500,000 0.22%
Northrop Grumman Corp.
3.80%
1,900
$828,305,000 0.22%
Coca-Cola Co
2.49%
12,975
$825,859,000 0.22%
Bristol-myers
0.52%
19,300
$801,529,000 0.21%
Novo Nordisk
No change
5,570
$795,062,000 0.21%
ServiceNow Inc
14.12%
1,010
$794,537,000 0.21%
CVS Health Corp
23.56%
12,818
$757,031,000 0.20%
Welltower Inc.
No change
7,225
$753,206,000 0.20%
Cigna Corp
14.96%
2,273
$751,386,000 0.20%
Edwards Lifesciences Corp
No change
8,115
$749,583,000 0.20%
Emerson Electric Co.
No change
6,750
$743,580,000 0.20%
The Southern Co.
No change
9,576
$742,810,000 0.20%
Simon Property Group, Inc.
0.33%
4,775
$724,845,000 0.19%
Pioneer Natural Resource Co
Closed
2,656
$697,200,000
Cheniere Energy Inc.
13.79%
5,726
$686,777,000 0.18%
Total S.a.
No change
10,125
$675,135,000 0.18%
Mondelez International Inc.
No change
10,294
$673,639,000 0.18%
Air Products & Chemicals Inc.
7.90%
2,565
$661,898,000 0.17%
Ishares International Select Dividend
4.44%
23,500
$650,245,000 0.17%
Select Spiders Consumer Staples
0.30%
8,485
$649,781,000 0.17%
Nike, Inc.
5.31%
8,475
$638,761,000 0.17%
American Tower Corp.
28.46%
3,268
$635,234,000 0.17%
American International Group Inc
No change
8,540
$634,010,000 0.17%
Aflac Inc.
9.03%
7,050
$629,635,000 0.17%
Hartford Financial Services
No change
6,175
$620,834,000 0.16%
Select Spdr Materials (xlb)
No change
6,990
$617,287,000 0.16%
Consol Energy Inc
No change
6,050
$617,281,000 0.16%
S&p Spdr Utilities
5.28%
8,970
$611,216,000 0.16%
Discover Finl Svcs
6.06%
4,650
$608,266,000 0.16%
Tortoise Energy Infrastructure Clsd Fund
49.70%
17,233
$600,915,000 0.16%
General Dynamics Corp.
158.23%
2,040
$591,886,000 0.16%
Uber Technologies Inc
Opened
7,950
$577,806,000 0.15%
Duke Energy Corp.
No change
5,733
$574,619,000 0.15%
Glaxosmithkline Plc Adr
No change
14,910
$574,035,000 0.15%
Ishares Russell Midcap Value Index
No change
4,750
$573,515,000 0.15%
Vertex Pharmaceuticals, Inc.
8.93%
1,220
$571,838,000 0.15%
Us Bancorp
15.82%
14,365
$570,290,000 0.15%
Vulcan Materials Co
2.27%
2,250
$559,530,000 0.15%
DNP Select Income Fund Inc.
10.90%
67,000
$550,740,000 0.15%
American Express Co.
1.33%
2,375
$549,931,000 0.15%
Ishares Muni Bond
No change
5,000
$532,750,000 0.14%
Kayne Anderson Mlp
7.03%
51,040
$527,243,000 0.14%
Kinder Morgan Inc
0.57%
26,250
$521,587,000 0.14%
Goldman Sachs
No change
1,125
$508,860,000 0.13%
Amphenol Corp.
100.00%
7,400
$498,538,000 0.13%
Cummins Inc.
No change
1,785
$494,320,000 0.13%
Mplx Com Unit Rep Ltd
6.48%
11,600
$494,044,000 0.13%
Wells Fargo
No change
8,065
$478,980,000 0.13%
Micron Technology Inc.
No change
3,500
$460,355,000 0.12%
Real Estate Select Sector Spdr Fund
1.76%
11,568
$444,327,000 0.12%
Disney Walt Co.
6.45%
4,425
$439,358,000 0.12%
Select Sector Spider Industrial
4.35%
3,600
$438,732,000 0.12%
Lab Corp. Of America Holdings
Closed
2,000
$436,920,000
Ishares Expanded Tech-software
11.05%
5,025
$436,672,000 0.12%
Vitesse Eneregy Ord Shs
74.29%
18,300
$433,710,000 0.11%
Zoetis Inc. (a)
No change
2,485
$430,800,000 0.11%
Astrazeneca plc
No change
5,500
$428,945,000 0.11%
Communication Services Select Sector Fd
No change
4,850
$415,451,000 0.11%
Danaher Corp.
5.71%
1,650
$412,252,000 0.11%
Lab Corp. Of America Holdings
Opened
2,000
$407,020,000 0.11%
American Electric Power Company Inc.
No change
4,320
$379,037,000 0.10%
Federal Realty Investment Trust.
No change
3,750
$378,637,000 0.10%
Texas Instruments Inc.
12.02%
1,940
$377,388,000 0.10%
3M Co.
3.97%
3,625
$370,439,000 0.10%
Comcast Corp Cl A
12.90%
9,450
$370,062,000 0.10%
Jefferies Financial Group Inc
No change
7,400
$368,224,000 0.10%
Fidelity Natl Information Serv
No change
4,825
$363,612,000 0.10%
I Shares Msci Emerg Mkts
4.58%
8,340
$355,201,000 0.09%
The Allstate Corporation
No change
2,200
$351,252,000 0.09%
Applied Materials Inc.
No change
1,475
$348,085,000 0.09%
Ishares Tr S&p 500 Growth
No change
3,750
$347,025,000 0.09%
Clearway Energy, Inc.
228.57%
13,800
$340,722,000 0.09%
Dow Inc
No change
6,323
$335,435,000 0.09%
Kimberly-Clark Corp.
No change
2,425
$335,135,000 0.09%
Norfolk Southern Corp.
No change
1,550
$332,769,000 0.09%
Illinois Tool Works, Inc.
No change
1,400
$331,744,000 0.09%
Diamondback Energy Inc
No change
1,650
$330,313,000 0.09%
Vanguard Mega Cap Growth Index Fund
2,000.00%
1,050
$329,920,000 0.09%
Phillips 66
14.83%
2,280
$321,868,000 0.09%
iShares MBS ETF
No change
3,500
$321,335,000 0.08%
Conocophillips
23.23%
2,652
$303,336,000 0.08%
Public Storage
No change
1,050
$302,032,000 0.08%
Johnson Controls International plc
5.26%
4,500
$299,115,000 0.08%
Aercap Holdings
Opened
3,200
$298,240,000 0.08%
Ishares Msci Eafe Index Fd
No change
3,595
$281,596,000 0.07%
Flex Lng Ltd
6.48%
10,100
$273,104,000 0.07%
Ishares Tr S&p 500 Value
No change
1,500
$273,015,000 0.07%
Easterly Government Properties Inc
37.50%
22,000
$272,140,000 0.07%
Martin Marietta Materials, Inc.
No change
500
$270,900,000 0.07%
Ametek Inc
Closed
1,450
$265,205,000
Select Spdr Tr Health Care Sector
17.24%
1,700
$247,775,000 0.07%
Vivani Medical Ord Shs
No change
193,977
$244,411,000 0.06%
Jb Hunt Transport
No change
1,500
$240,000,000 0.06%
PPG Industries, Inc.
No change
1,900
$239,191,000 0.06%
Constellation Brands, Inc.
No change
925
$237,984,000 0.06%
Nucor Corp.
50.00%
1,500
$237,120,000 0.06%
Valero Energy Corp.
No change
1,500
$235,140,000 0.06%
Centene Corp.
No change
3,500
$232,050,000 0.06%
British American Tobacco
35.24%
7,350
$227,335,000 0.06%
Altria Group Inc.
No change
4,800
$218,640,000 0.06%
Devon Energy Corp.
80.00%
4,500
$213,300,000 0.06%
Clorox Co.
No change
1,550
$211,528,000 0.06%
Kraft Heinz Co
No change
6,000
$193,320,000 0.05%
Ishares Russell Midcap Growth Index
No change
1,750
$193,112,000 0.05%
Bankamerica Corp
No change
4,750
$188,907,000 0.05%
WEC Energy Group Inc
No change
2,350
$184,381,000 0.05%
Calamos Conv Opp Inc Fund
50.00%
15,000
$174,600,000 0.05%
Srh Total Return Fund, Inc
No change
12,000
$174,600,000 0.05%
Taiwan Semiconductor Co.
No change
1,000
$173,810,000 0.05%
Reaves Utility Inc. Tr
Opened
6,000
$163,920,000 0.04%
Iron Mountain Inc.
No change
1,800
$161,316,000 0.04%
Ameren Corp.
No change
2,259
$160,637,000 0.04%
Generac Holdings Inc
Opened
1,200
$158,664,000 0.04%
General Mills, Inc.
No change
2,450
$154,987,000 0.04%
DuPont de Nemours Inc
850.00%
1,900
$152,931,000 0.04%
Blackstone Group
No change
1,200
$148,560,000 0.04%
Progressive Corp Ohio
No change
700
$145,397,000 0.04%
Ishares Us Real Estate
No change
1,625
$142,577,000 0.04%
New Residential Investment Corp.
No change
13,000
$141,830,000 0.04%
MetLife, Inc.
9.17%
2,000
$140,380,000 0.04%
AT&T Inc.
No change
7,335
$140,172,000 0.04%
Spdr Tr Biotech
No change
1,500
$139,065,000 0.04%
Digital Realty Trust, Inc.
No change
912
$138,670,000 0.04%
Anthem Inc
No change
250
$135,465,000 0.04%
Grainger W W Inc.
No change
150
$135,336,000 0.04%
Nestles Sa Spons Adr
No change
1,321
$134,834,000 0.04%
Novartis AG
No change
1,259
$134,033,000 0.04%
Yum Brands Inc.
No change
1,000
$132,460,000 0.04%
Carrier Global Corporation
8.79%
2,075
$130,891,000 0.03%
Standard & Poors Midcap 400
No change
230
$123,068,000 0.03%
Marathon Pete Corp
No change
700
$121,436,000 0.03%
Spire, Inc. (formerly Laclede Gas)
No change
1,875
$113,869,000 0.03%
Linde Plc Ordinary Share
150.00%
250
$109,702,000 0.03%
Dover Corp.
No change
600
$108,270,000 0.03%
Neuberger Bernman Mlp Income Fund, Inc
8.33%
13,000
$104,000,000 0.03%
Capital One Financial Corp.
No change
750
$103,837,000 0.03%
Citigroup Inc
No change
1,625
$103,122,000 0.03%
United Parcel Services
15.48%
746
$102,090,000 0.03%
Morgan Stanley
No change
1,000
$97,190,000 0.03%
Ishares Us Medical Devices Etf
No change
1,700
$95,268,000 0.03%
Air Lease Corp
Opened
2,000
$95,060,000 0.03%
Chipotle Mexican Grill
Opened
1,500
$93,975,000 0.02%
Marriott International, Inc.
No change
375
$90,664,000 0.02%
Hershey Foods Inc.
Opened
450
$82,723,000 0.02%
Charles Schwab Corp.
No change
1,100
$81,059,000 0.02%
Seagate Technology
No change
750
$77,452,000 0.02%
M & T Bank Corp
No change
500
$75,680,000 0.02%
Target Corp
72.22%
500
$74,020,000 0.02%
PayPal Holdings Inc
No change
1,250
$72,537,000 0.02%
Graco Inc.
No change
900
$71,352,000 0.02%
Wal-mart De Mexico Sa-sp Adr
No change
2,000
$68,350,000 0.02%
Paychex Inc.
No change
550
$65,208,000 0.02%
American Waterworks Co
No change
500
$64,580,000 0.02%
Sysco Corp.
No change
900
$64,251,000 0.02%
British Petroleum Ads
No change
1,750
$63,175,000 0.02%
CSX Corp.
350.00%
1,800
$60,210,000 0.02%
Fortrea Holdings Ord Shs
Closed
1,500
$60,210,000
Fifth Third Bnc
57.86%
1,636
$59,698,000 0.02%
Boeing Co.
No change
325
$59,153,000 0.02%
Becton Dickinson
No change
250
$58,427,000 0.02%
Otis Worldwide Corporation
No change
596
$57,371,000 0.02%
NiSource Inc
No change
1,955
$56,324,000 0.01%
Autodesk Inc.
No change
225
$55,676,000 0.01%
Mckesson Corporation
Closed
100
$53,685,000
Ishares Silver Trust
No change
2,000
$53,140,000 0.01%
ITT Inc
No change
400
$51,672,000 0.01%
Travelers Companies Inc.
61.54%
250
$50,835,000 0.01%
Vanguard Growth Etf
13.33%
130
$48,621,000 0.01%
Sanofi
No change
1,000
$48,520,000 0.01%
Rockwell Automation Inc
10.26%
175
$48,174,000 0.01%
Schlumberger Ltd.
No change
1,000
$47,180,000 0.01%
Yum China Holdings Inc
No change
1,500
$46,260,000 0.01%
Corteva Inc
No change
849
$45,795,000 0.01%
Commerce Bancshares, Inc.
No change
810
$45,182,000 0.01%
Cognizant Technology Solutions Corp.
No change
650
$44,200,000 0.01%
Kellogg
No change
750
$43,260,000 0.01%
Bunge Limited
No change
400
$42,708,000 0.01%
Sl Green Realty Reit Ord Shs
Closed
750
$41,347,000
I Shares Nasdaq Bitotech Fd
No change
300
$41,178,000 0.01%
Louisiana Pac Corp
No change
500
$41,165,000 0.01%
Smucker Jm Co
No change
350
$38,164,000 0.01%
Ford Motor Co.
No change
3,000
$37,620,000 0.01%
Fiserv, Inc.
No change
250
$37,260,000 0.01%
Atlassian Ord Shs Class A
No change
210
$37,145,000 0.01%
Apollo Global Management Ord Shs
No change
300
$35,421,000 0.01%
Marvell Technology Inc
No change
500
$34,950,000 0.01%
Vanguard Info Tech
Closed
65
$34,082,000
Moog Inc.
Closed
200
$31,930,000
Ishares Russell 3000 Etf
No change
100
$30,867,000 0.01%
Vanguard Health Care Index Fund
No change
115
$30,590,000 0.01%
Pinnacle West Capital Corp.
No change
400
$30,552,000 0.01%
Sempra Energy
No change
400
$30,424,000 0.01%
First Trust Nasdaq-100 Tech Sector Index F
No change
150
$29,619,000 0.01%
Brookfield Renewable Sub Voting Class A
No change
1,000
$28,380,000 0.01%
Newmont Mining
No change
675
$28,262,000 0.01%
Jacob Solutions Inc
No change
200
$27,942,000 0.01%
TEGNA Inc
No change
2,000
$27,880,000 0.01%
Intercontinental Exchange Inc
No change
200
$27,378,000 0.01%
Dell Corporation
No change
194
$26,755,000 0.01%
Xcel Energy Inc.
No change
500
$26,705,000 0.01%
Avalonbay Communities Inc.
No change
125
$25,861,000 0.01%
Tootsie Roll Inds Inc.
2.84%
832
$25,434,000 0.01%
Lyondellbasell Industries
No change
250
$23,915,000 0.01%
Veralto Ord Shs
No change
249
$23,740,000 0.01%
Healthpeak Properties Inc.
No change
1,200
$23,520,000 0.01%
Price T Rowe Associates
No change
200
$23,062,000 0.01%
Ishares Russell 2000 Value
No change
150
$22,845,000 0.01%
MGE Energy, Inc.
No change
300
$22,416,000 0.01%
Sirius XM Holdings Inc
No change
7,900
$22,357,000 0.01%
Walgreen Boots Alliance Inc.
76.92%
1,725
$20,864,000 0.01%
Vanguard Industrials Index Fund
Closed
85
$20,753,000
Skechers
No change
300
$20,736,000 0.01%
Service Properties Trust
Closed
3,000
$20,340,000
Dominion Energy Inc
No change
400
$19,600,000 0.01%
Realty Income Corp.
No change
360
$19,015,000 0.01%
Northwest Natural Holding Co
No change
500
$18,055,000 0.00%
AES Corp.
No change
1,000
$17,570,000 0.00%
Exelon Corp.
No change
500
$17,305,000 0.00%
Gilead Sciences, Inc.
No change
250
$17,152,000 0.00%
Aramark
No change
500
$17,010,000 0.00%
Market Vectors Gold Miners Etf
No change
500
$16,965,000 0.00%
Snowflake Inc.
No change
125
$16,886,000 0.00%
Blackrock Science & Technology Trust
No change
445
$16,759,000 0.00%
Vanguard Consumer Discretionary Index Fund
Closed
50
$15,886,000
WestRock Co
No change
300
$15,078,000 0.00%
Truist Financial Corporation
No change
388
$15,074,000 0.00%
Energizer Holdings Inc
28.57%
500
$14,770,000 0.00%
Invesco Financial Preferred Etf
No change
1,000
$14,730,000 0.00%
Vanguard Consumer Staples
Closed
70
$14,290,000
Keurig Dr. Pepper
No change
425
$14,195,000 0.00%
Ingersoll Rand Inc.
No change
140
$12,718,000 0.00%
Fastenal Co.
No change
200
$12,568,000 0.00%
Conagra, Inc.
No change
400
$11,368,000 0.00%
iShares MSCI ACWI ETF
No change
100
$11,240,000 0.00%
Unilever plc
No change
200
$10,998,000 0.00%
Boston Properties Inc.
Opened
150
$9,234,000 0.00%
Annaly Capital Management Inc
Opened
437
$8,329,000 0.00%
Mfs Intermediate
50.00%
2,000
$5,320,000 0.00%
Warner Bros Discovery Ord Shs Series A
Opened
578
$4,300,000 0.00%
No transactions found
Showing first 500 out of 335 holdings