Silvercrest Asset Management Group 13F annual report

Silvercrest Asset Management Group is an investment fund managing more than $29 trillion ran by Lorena Cardenas. There are currently 926 companies in Mrs. Cardenas’s portfolio. The largest investments include Microsoft Corp Com and Broadcom Inc, together worth $1.23 trillion.

$29 trillion Assets Under Management (AUM)

As of 7th August 2024, Silvercrest Asset Management Group’s top holding is 1,527,704 shares of Microsoft Corp Com currently worth over $683 billion and making up 2.4% of the portfolio value. In addition, the fund holds 343,862 shares of Broadcom Inc worth $552 billion, whose value fell 87.6% in the past six months. The third-largest holding is Alphabet Inc Cap Stk Cl C worth $377 billion and the next is Oracle Corp Com worth $353 billion, with 2,500,578 shares owned.

Currently, Silvercrest Asset Management Group's portfolio is worth at least $29 trillion. 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 Silvercrest Asset Management Group

The Silvercrest Asset Management Group office and employees reside in New York, New York. According to the last 13-F report filed with the SEC, Lorena Cardenas serves as the Director - Compliance Officer at Silvercrest Asset Management Group.

Recent trades

In the most recent 13F filing, Silvercrest Asset Management Group revealed that it had opened a new position in Aim Invt Fds Invesco Invt Fds Dvlpng Mkt R6 and bought 3,908,924 shares worth $155 billion.

The investment fund also strengthened its position in Microsoft Corp Com by buying 746,128 additional shares. This makes their stake in Microsoft Corp Com total 1,527,704 shares worth $683 billion.

On the other hand, there are companies that Silvercrest Asset Management Group is getting rid of from its portfolio. Silvercrest Asset Management Group closed its position in Lancaster Colony Corp Com on 14th August 2024. It sold the previously owned 419,866 shares for $87.2 billion. Lorena Cardenas also disclosed a decreased stake in Accenture Plc Ireland Shs Class A by approximately 0.1%. This leaves the value of the investment at $41.5 billion and 136,728 shares.

One of the largest hedge funds

The two most similar investment funds to Silvercrest Asset Management Group are Point72 Asset Management, L.P. and M&t Bank Corp. They manage $28.9 trillion and $29.2 trillion respectively.


Lorena Cardenas investment strategy

Silvercrest Asset Management Group’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Industrials — making up 6.8% of the total portfolio value. The fund focuses on investments in the United States as 25.7% 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 13% of the total holdings value. On the other hand, small-cap stocks make up only 0.5% of the portfolio. The average market cap of the portfolio companies is close to $50.3 billion.

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

These positions were updated on August 14th 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 Corp Com
95.46%
1,527,704
$682,807,472,000 2.35%
Broadcom Inc
89.06%
343,862
$552,081,350,000 1.90%
Alphabet Inc Cap Stk Cl C
95.66%
2,054,552
$376,845,872,000 1.30%
Oracle Corp Com
95.57%
2,500,578
$353,081,512,000 1.22%
Apple Inc
97.68%
1,625,300
$342,320,484,000 1.18%
Matador Res Co Com
93.45%
5,510,762
$328,441,358,000 1.13%
Cadence Bank Com
102.51%
11,099,854
$313,903,892,000 1.08%
Ameriprise Finl Inc Com
94.24%
699,344
$298,752,764,000 1.03%
Element Solutions Inc
92.26%
9,979,692
$270,649,254,000 0.93%
Home Depot, Inc.
97.67%
775,786
$267,056,668,000 0.92%
Waste Connections Inc
107.56%
1,475,648
$258,769,634,000 0.89%
Abbott Labs Com
94.49%
2,475,976
$257,278,762,000 0.89%
Microchip Technology, Inc.
93.55%
2,778,892
$254,268,618,000 0.88%
Ishares Tr Rus 1000 Grw Etf
98.93%
687,364
$250,551,052,000 0.86%
Carlisle Cos Inc Com
78.67%
613,722
$248,686,418,000 0.86%
Casella Waste Sys Inc Cl A
87.41%
2,471,498
$245,222,082,000 0.85%
Williams Cos Inc Del Com
93.91%
5,581,888
$237,230,276,000 0.82%
Vanguard Scottsdale Fds Vng Rus1000grw
101.20%
2,497,618
$234,301,540,000 0.81%
Chevron Corp New Com
95.01%
1,457,026
$227,908,076,000 0.79%
Ametek Inc
95.89%
1,360,170
$226,754,086,000 0.78%
Alphabet Inc Cap Stk Cl A
79.76%
1,236,044
$225,145,580,000 0.78%
Icf Intl Inc Com
86.42%
1,511,384
$224,379,950,000 0.77%
Brinks Co Com
130.26%
2,138,884
$219,021,712,000 0.76%
Cisco Sys Inc Com
92.31%
4,457,308
$211,766,672,000 0.73%
Eaton Corp Plc Shs
84.47%
659,010
$206,632,586,000 0.71%
Glacier Bancorp Inc New Com
107.36%
5,510,400
$205,648,090,000 0.71%
Magnolia Oil & Gas Corp
92.52%
8,070,094
$204,496,164,000 0.71%
Stifel Finl Corp Com
73.23%
2,410,882
$202,875,670,000 0.70%
Atmos Energy Corp Com
82.17%
1,728,156
$201,589,284,000 0.70%
Fuller H B Co Com
91.99%
2,597,822
$199,928,386,000 0.69%
Shell Plc Spon Ads
92.32%
2,756,722
$198,980,232,000 0.69%
Select Sector Spdr Tr Sbi Int-utils
137.76%
2,909,002
$198,219,362,000 0.68%
Pnc Finl Svcs Group Inc Com
94.36%
1,258,648
$195,694,592,000 0.67%
Fidelity Natl Information Svcs Com
98.67%
2,583,156
$194,666,592,000 0.67%
Delta Air Lines Inc Del Com New
124.63%
4,102,854
$194,639,394,000 0.67%
Citigroup Inc Com New
90.39%
3,058,990
$194,123,506,000 0.67%
Synovus Finl Corp Com New
72.54%
4,769,852
$191,700,340,000 0.66%
Avery Dennison Corp Com
82.13%
873,692
$191,032,930,000 0.66%
Integer Hldgs Corp Com
94.29%
1,649,132
$190,953,024,000 0.66%
Eog Res Inc Com
93.85%
1,483,896
$186,777,974,000 0.64%
Meta Platforms Inc
145.00%
368,686
$185,899,058,000 0.64%
Standex Intl Corp Com
121.88%
1,143,478
$184,271,410,000 0.64%
Curtiss Wright Corp Com
62.18%
636,356
$172,439,816,000 0.59%
Advisors Inner Circle Fd Edgwd Grw Inst
102.66%
3,372,984
$171,516,230,000 0.59%
Us Foods Hldg Corp Com
74.60%
3,224,794
$170,849,590,000 0.59%
Target Corp Com
96.22%
1,128,464
$167,057,810,000 0.58%
Federal Signal Corp Com
72.11%
1,990,884
$166,577,302,000 0.57%
Addus Homecare Corp Com
122.29%
1,418,744
$164,730,302,000 0.57%
Johnson & Johnson Com
90.72%
1,092,326
$159,654,428,000 0.55%
Leonardo DRS, Inc.
118.60%
6,238,518
$159,144,618,000 0.55%
Aim Invt Fds Invesco Invt Fds Dvlpng Mkt R6
Opened
3,908,924
$154,988,848,000 0.53%
Columbia Bkg Sys Inc Com
74.36%
7,791,522
$154,973,362,000 0.53%
Exxon Mobil Corp Com
113.93%
1,336,324
$153,837,716,000 0.53%
Union Pacific Corp Com
93.49%
674,332
$152,574,134,000 0.53%
Cvs Health Corp Com
87.74%
2,558,912
$151,129,342,000 0.52%
FormFactor Inc.
117.55%
2,409,040
$145,819,240,000 0.50%
Emcor Group, Inc.
58.16%
395,934
$144,547,656,000 0.50%
AMGEN Inc.
96.62%
455,212
$142,231,056,000 0.49%
Lantheus Hldgs Inc Com
115.15%
1,750,010
$140,508,228,000 0.48%
United Bankshares Inc West Va Com
104.47%
4,323,474
$140,253,478,000 0.48%
Simply Good Foods Co Com
90.96%
3,877,410
$140,090,790,000 0.48%
Mondelez International Inc.
94.56%
2,105,748
$137,800,160,000 0.48%
Avantor, Inc.
77.81%
6,482,820
$137,435,780,000 0.47%
Martin Marietta Matls Inc Com
97.29%
249,922
$135,407,740,000 0.47%
Oxford Inds Inc Com
117.27%
1,351,912
$135,394,000,000 0.47%
Belden Inc
117.49%
1,425,280
$133,691,330,000 0.46%
Procter And Gamble Co Com
98.55%
804,452
$132,670,332,000 0.46%
Marsh & McLennan Cos., Inc.
97.74%
620,100
$130,667,472,000 0.45%
Cbiz Inc
86.70%
1,755,960
$130,116,700,000 0.45%
Plexus Corp Com
88.80%
1,238,456
$127,783,832,000 0.44%
Primecap Odyssey Funds Growth Fund
Opened
3,228,692
$127,275,004,000 0.44%
Arcosa Inc
91.86%
1,515,888
$126,440,200,000 0.44%
BorgWarner Inc
95.31%
3,914,802
$126,213,226,000 0.44%
DuPont de Nemours Inc
94.30%
1,566,324
$126,073,418,000 0.43%
Esco Technologies, Inc.
117.05%
1,188,966
$124,889,076,000 0.43%
Johnson Ctls Intl Plc Shs
92.54%
1,859,042
$123,570,522,000 0.43%
Cvb Finl Corp Com
116.75%
7,037,430
$121,325,274,000 0.42%
La-Z-Boy Inc.
85.61%
3,201,606
$119,355,854,000 0.41%
Installed Bldg Prods Inc Com
115.82%
579,028
$119,094,428,000 0.41%
Clean Harbors, Inc.
74.32%
514,078
$116,258,832,000 0.40%
Knife Riv Hldg Co Common Stock
119.88%
1,635,400
$114,707,004,000 0.40%
Gibraltar Inds Inc Com
117.01%
1,662,388
$113,956,672,000 0.39%
Old Natl Bancorp Ind Com
95.59%
6,465,656
$111,144,638,000 0.38%
General Mls Inc Com
129.54%
1,733,948
$109,689,534,000 0.38%
Primecap Odyssey Funds Aggressive Grw
Opened
2,406,726
$109,241,254,000 0.38%
Texas Instrs Inc Com
88.49%
555,338
$108,029,916,000 0.37%
Materion Corp Com
116.90%
997,356
$107,844,060,000 0.37%
Southstate Corporation Com
117.38%
1,410,106
$107,760,280,000 0.37%
Skyline Champion Corp
99.98%
1,583,976
$107,314,312,000 0.37%
Comcast Corp New Cl A
86.76%
2,677,724
$104,859,690,000 0.36%
Mid Amer Apt Cmntys Inc Com
93.11%
732,176
$104,415,726,000 0.36%
Avient Corporation Com
118.36%
2,385,718
$104,136,600,000 0.36%
Raymond James Financial, Inc.
96.93%
838,932
$103,700,384,000 0.36%
Vanguard Index Fds Growth Etf
203.24%
273,910
$102,445,080,000 0.35%
Lakeland Finl Corp Com
120.21%
1,655,724
$101,860,106,000 0.35%
Coherent Corp Com
91.30%
1,404,522
$101,771,656,000 0.35%
ONE Gas Inc
106.95%
1,593,050
$101,716,276,000 0.35%
International Business Machs Com
92.61%
585,048
$101,184,162,000 0.35%
Hershey Co Com
4,814.75%
546,422
$100,448,608,000 0.35%
Vanguard Intl Equity Index Fds Ftse Emr Mkt Etf
99.43%
2,288,160
$100,129,882,000 0.35%
Plymouth Indl Reit Inc Com
118.48%
4,679,328
$100,044,024,000 0.34%
Potlatch Corp New Com
111.03%
2,516,144
$99,110,912,000 0.34%
Stryker Corp Com
100.50%
291,080
$99,039,920,000 0.34%
Pepsico Inc Com
99.33%
595,864
$98,275,734,000 0.34%
Abm Inds Inc Com
120.59%
1,923,374
$97,264,982,000 0.34%
Humana Inc.
26.51%
257,470
$96,203,390,000 0.33%
Zebra Technologies Corp.
71.45%
309,070
$95,481,270,000 0.33%
Brunswick Corp Com
75.34%
1,290,086
$93,879,512,000 0.32%
Interpublic Group Cos Inc Com
66.31%
3,188,328
$92,748,434,000 0.32%
Ge Healthcare Technologies Inc Common Stock
101.84%
1,184,104
$92,265,384,000 0.32%
Icu Med Inc Com
175.60%
767,356
$91,123,496,000 0.31%
Spdr Ser Tr S&p Oilgas Exp
100.00%
623,960
$90,767,462,000 0.31%
Tidewater Inc New Com
Opened
944,676
$89,942,608,000 0.31%
Vanguard Fenway Fds Primecp Co Inv
98.95%
2,475,688
$88,951,470,000 0.31%
Asbury Automotive Group Inc
117.19%
389,492
$88,753,416,000 0.31%
Lancaster Colony Corp Com
Closed
419,866
$87,176,794,000
DENTSPLY Sirona Inc
72.98%
3,453,402
$86,024,262,000 0.30%
Vanguard Index Tr Grw Index Adml
98.26%
436,330
$83,915,132,000 0.29%
Haemonetics Corp Com
119.67%
996,178
$82,413,730,000 0.28%
Freshpet Inc
70.62%
631,696
$81,735,146,000 0.28%
Amazon.com Inc.
100.87%
422,008
$81,553,046,000 0.28%
Nvidia Corp Com
2,495.28%
655,958
$81,037,168,000 0.28%
Central Garden & Pet Co Cl A Non-vtg
120.03%
2,447,594
$80,844,050,000 0.28%
Renaissancere Holdings Ltd Com
67.93%
360,110
$80,488,038,000 0.28%
Core & Main, Inc.
56.52%
1,621,368
$79,349,752,000 0.27%
Dodge & Cox Stk Fd
Opened
308,864
$79,331,468,000 0.27%
Janus International Group Inc Common Stock
115.01%
6,256,394
$79,018,266,000 0.27%
Visa Inc
98.60%
295,020
$77,433,960,000 0.27%
Jpmorgan Chase & Co Com
99.97%
377,070
$76,266,104,000 0.26%
Littelfuse, Inc.
66.67%
296,756
$75,847,906,000 0.26%
Merck & Co Inc New Com
96.70%
601,662
$74,485,678,000 0.26%
Flowserve Corp Com
69.50%
1,536,674
$73,913,996,000 0.25%
Berkshire Hathaway Inc Del Cl B New
95.91%
180,632
$73,481,098,000 0.25%
Ishares Tr Rus 2000 Grw Etf
103.24%
269,770
$70,822,718,000 0.24%
Independent Bank Corp Mass Com
40.27%
1,386,486
$70,322,560,000 0.24%
SPX Technologies Inc
55.16%
477,294
$67,842,570,000 0.23%
D.R. Horton Inc.
95.09%
467,054
$65,821,920,000 0.23%
Mcgrath Rentcorp Com
66.84%
617,018
$65,743,164,000 0.23%
Rambus Inc Del Com
114.77%
1,096,422
$64,425,754,000 0.22%
Halozyme Therapeutics Inc.
100.16%
1,207,262
$63,212,238,000 0.22%
Conocophillips Com
101.47%
543,986
$62,221,118,000 0.21%
Omega Healthcare Invs Inc Com
94.03%
1,814,550
$62,148,338,000 0.21%
Cdw Corp Com
94.82%
277,134
$62,033,674,000 0.21%
BWX Technologies Inc
77.02%
649,928
$61,743,236,000 0.21%
Hess Corp Com
100.00%
416,338
$61,418,182,000 0.21%
Blackstone Inc
99.98%
490,342
$60,704,226,000 0.21%
Danaher Corp Del Com
96.32%
241,940
$60,448,510,000 0.21%
Mks Instrs Inc Com
97.37%
460,890
$60,183,016,000 0.21%
Selective Ins Group Inc Com
85.29%
631,550
$59,258,344,000 0.20%
Eastgroup Ppty Inc Com
55.66%
339,904
$57,817,694,000 0.20%
Extra Space Storage Inc.
94.49%
368,192
$57,220,718,000 0.20%
Willscot Mobil Mini Hldng Corp Com Cl A
59.85%
1,519,640
$57,199,228,000 0.20%
Costco Whsl Corp New Com
123.96%
66,126
$56,206,438,000 0.19%
Crane Co New Com
100.57%
387,204
$56,136,836,000 0.19%
Northern Oil And Gas Inc Mn Com
99.49%
1,495,504
$55,587,884,000 0.19%
Intuitive Surgical Inc Com New
104.41%
123,336
$54,866,020,000 0.19%
Coca Cola Co Com
95.77%
838,004
$53,338,996,000 0.18%
MGE Energy, Inc.
118.18%
709,702
$53,028,962,000 0.18%
Macom Tech Solutions Hldgs Inc Com
97.98%
475,384
$52,991,054,000 0.18%
Ishares Inc Msci Jpn Etf New
100.00%
771,624
$52,655,622,000 0.18%
Ulta Beauty Inc
34.75%
136,136
$52,531,074,000 0.18%
AMN Healthcare Services Inc.
111.73%
1,023,376
$52,427,528,000 0.18%
Exponent Inc.
98.61%
549,170
$52,237,050,000 0.18%
Boot Barn Hldgs Inc Com
169.99%
395,496
$50,991,300,000 0.18%
Abbvie Inc
94.56%
296,750
$50,898,712,000 0.18%
Vertex Inc Cl A
97.63%
1,408,974
$50,793,512,000 0.18%
F M C Corp Com New
90.85%
860,108
$49,499,196,000 0.17%
Crocs Inc
96.79%
326,814
$47,695,236,000 0.16%
Sonoco Prods Co Com
88.81%
933,254
$47,334,642,000 0.16%
Thermo Fisher Scientific Inc.
81.95%
83,024
$45,912,272,000 0.16%
Radnet Inc
98.67%
779,006
$45,899,034,000 0.16%
Progyny Inc
142.26%
1,589,530
$45,476,454,000 0.16%
Modine Mfg Co Com
93.49%
448,588
$44,944,032,000 0.15%
Atkore Inc
97.95%
331,840
$44,775,172,000 0.15%
Crane Nxt Co Com
332.00%
688,358
$42,278,948,000 0.15%
Berkshire Hathaway Inc.
119.35%
68
$41,632,388,000 0.14%
Accenture Plc Ireland Shs Class A
1.58%
136,728
$41,484,900,000 0.14%
Pebblebrook Hotel Tr Com
113.81%
3,010,950
$41,400,576,000 0.14%
Carters Inc
89.22%
660,658
$40,940,976,000 0.14%
Regal Rexnord Corporation Com
63.02%
294,314
$39,797,140,000 0.14%
Pfizer Inc.
81.47%
1,394,712
$39,024,058,000 0.13%
Mdu Res Group Inc Com
Opened
1,550,200
$38,910,020,000 0.13%
Vanguard Index Fds 500index Admir
109.58%
77,058
$38,819,128,000 0.13%
Linde Plc Shs
97.36%
87,140
$38,237,678,000 0.13%
Brightspring Health Svcs Inc Com
155.82%
3,336,966
$37,907,934,000 0.13%
Airbnb, Inc.
99.68%
237,392
$35,995,748,000 0.12%
CSW Industrials Inc
97.66%
135,632
$35,984,526,000 0.12%
Liquidity Services Inc
131.24%
1,798,946
$35,942,942,000 0.12%
Netstreit Corp Com
121.16%
2,227,198
$35,857,888,000 0.12%
Clearwater Analytics Holdings, Inc.
94.13%
1,929,638
$35,736,896,000 0.12%
Chefs Whse Inc Com
60.34%
887,962
$34,728,194,000 0.12%
Vanguard Scottsdale Fds Vr 1000gw Inst
100.30%
47,922
$34,567,666,000 0.12%
Spdr S&p 500 Etf Tr Tr Unit
105.36%
63,430
$34,519,524,000 0.12%
Perficient Inc.
44.20%
455,260
$34,048,954,000 0.12%
Novo-nordisk A S Adr
77.34%
237,740
$33,935,008,000 0.12%
SI-BONE Inc
143.33%
2,581,624
$33,380,398,000 0.12%
Emerson Elec Co Com
100.07%
299,982
$33,046,018,000 0.11%
Everi Hldgs Inc Com
171.53%
3,868,948
$32,499,164,000 0.11%
Parsons Corporation Com
63.44%
385,154
$31,509,448,000 0.11%
Ishares Tr S&p 500 Grwt Etf
94.80%
340,282
$31,489,696,000 0.11%
Onto Innovation Inc.
99.45%
142,666
$31,323,746,000 0.11%
Bellring Brands Inc
97.60%
537,986
$30,740,520,000 0.11%
Allegro Microsystems Inc
70.48%
1,078,370
$30,453,158,000 0.11%
Agilent Technologies Inc.
84.90%
226,684
$29,384,946,000 0.10%
Douglas Dynamics Inc
84.03%
1,254,434
$29,353,778,000 0.10%
Silicon Laboratories Inc
161.73%
264,114
$29,218,932,000 0.10%
Ezcorp Inc Cl A Non Vtg
98.94%
2,748,822
$28,780,166,000 0.10%
Tfi Intl Inc Com
97.52%
198,086
$28,754,164,000 0.10%
Magnite Inc
153.31%
2,162,200
$28,735,638,000 0.10%
Nestle S A Sponsored Adr
96.65%
281,124
$28,694,268,000 0.10%
Taiwan Semiconductor Mfg Ltd Sponsored Adr
57.15%
164,000
$28,504,760,000 0.10%
Ashtead Group Plc Adr
124.29%
105,662
$28,219,986,000 0.10%
Ncino, Inc.
96.51%
892,656
$28,074,032,000 0.10%
Permian Resources Corp Class A Com
97.72%
1,734,796
$28,016,956,000 0.10%
Evolent Health Inc
98.14%
1,455,316
$27,825,642,000 0.10%
Intapp Inc Com
98.13%
756,682
$27,747,528,000 0.10%
American Express Co Com
93.41%
119,322
$27,629,158,000 0.10%
Encompass Health Corp Com
26.68%
319,224
$27,386,236,000 0.09%
Zeta Global Holdings Corp.
35.34%
1,545,072
$27,270,520,000 0.09%
Xylem Inc
92.15%
199,068
$26,999,492,000 0.09%
Ishares Tr Msci Eafe Etf
28.25%
337,246
$26,416,480,000 0.09%
Bae Sys Plc Sponsored Adr
101.23%
392,818
$26,218,324,000 0.09%
Veeco Instrs Inc Del Com
44.99%
557,208
$26,027,186,000 0.09%
Unitedhealth Group Inc
102.08%
50,864
$25,903,478,000 0.09%
Disney Walt Co Com Disney
94.88%
259,124
$25,728,434,000 0.09%
Ishares Tr Rus 1000 Val Etf
89.59%
147,352
$25,708,504,000 0.09%
Blackrock Inc.
96.26%
32,534
$25,614,668,000 0.09%
MercadoLibre Inc
98.24%
15,568
$25,584,452,000 0.09%
Neogen Corp Com
218.05%
1,634,262
$25,543,516,000 0.09%
Gsk Plc Sponsored Adr
100.00%
662,628
$25,511,178,000 0.09%
Floor & Decor Holdings Inc
90.91%
248,916
$24,744,740,000 0.09%
Astrazeneca Plc Sponsored Adr
691.52%
315,936
$24,639,848,000 0.08%
Mcdonalds Corp Com
98.77%
96,608
$24,619,456,000 0.08%
Asml Holding N V N Y Registry Shs
99.32%
24,012
$24,558,346,000 0.08%
ModivCare Inc.
116.94%
933,756
$24,501,736,000 0.08%
Fox Factory Hldg Corp Com
299.92%
507,680
$24,465,100,000 0.08%
Home Bancshares Inc
146.65%
1,010,320
$24,207,268,000 0.08%
Acadia Healthcare Company Inc
97.34%
352,186
$23,786,642,000 0.08%
Hamilton Lane Inc
97.33%
188,434
$23,286,674,000 0.08%
Motorola Solutions Inc Com New
134.30%
57,956
$22,373,914,000 0.08%
Synnex Corp Com
21.05%
193,280
$22,304,470,000 0.08%
Tesla Inc
103.44%
112,392
$22,240,128,000 0.08%
Hanover Ins Group Inc Com
20.47%
174,564
$21,897,360,000 0.08%
Tandem Diabetes Care Inc Com New
102.71%
539,530
$21,737,664,000 0.07%
Surgery Partners Inc
Opened
913,462
$21,731,260,000 0.07%
L3Harris Technologies Inc
95.86%
96,598
$21,693,978,000 0.07%
Ishares Tr Rus 2000 Val Etf
548.24%
142,172
$21,652,946,000 0.07%
ExlService Holdings Inc
12.61%
687,590
$21,562,822,000 0.07%
PDF Solutions Inc.
102.64%
590,762
$21,491,922,000 0.07%
Vanguard Scottsdale Fds Vng Rus2000grw
103.72%
111,074
$21,220,688,000 0.07%
Vanguard Scottsdale Fds Vng Rus1000val
170.03%
273,834
$20,967,464,000 0.07%
Kratos Defense & Sec Solutions Com New
141.91%
1,041,702
$20,844,458,000 0.07%
Granite Ridge Resources Inc Com
100.00%
3,286,000
$20,800,380,000 0.07%
iRhythm Technologies Inc
102.91%
192,056
$20,672,908,000 0.07%
Lowes Cos Inc Com
95.86%
91,094
$20,082,584,000 0.07%
Trimble Inc
14.81%
358,780
$20,062,998,000 0.07%
QuinStreet Inc
70.74%
1,179,862
$19,573,910,000 0.07%
Vse Corp Com
476.23%
221,272
$19,533,892,000 0.07%
Ishares Tr Core S&p500 Etf
102.56%
35,636
$19,501,088,000 0.07%
Goldman Sachs Group, Inc.
101.57%
43,086
$19,488,660,000 0.07%
U.S. Physical Therapy, Inc.
191.53%
210,700
$19,472,894,000 0.07%
Canadian Natl Ry Co Com
99.27%
164,436
$19,424,802,000 0.07%
Ecolab, Inc.
99.00%
81,516
$19,400,808,000 0.07%
Ferguson Plc New Shs
101.81%
99,754
$19,317,362,000 0.07%
Rtx Corporation Com
107.51%
192,360
$19,311,104,000 0.07%
Sony Group Corporation Sponsored Adr
24.68%
226,596
$19,249,296,000 0.07%
Phreesia Inc
102.72%
907,468
$19,238,322,000 0.07%
Descartes Sys Group Inc Com
102.66%
196,846
$19,062,566,000 0.07%
Alkami Technology Inc Com
102.60%
669,044
$19,054,374,000 0.07%
Valvoline Inc
Opened
439,354
$18,980,092,000 0.07%
Credo Technology Group Holding Ordinary Shares
59.22%
586,840
$18,743,670,000 0.06%
Ishares Tr Rus 1000 Etf
97.63%
62,600
$18,626,004,000 0.06%
Chart Inds Inc Com Par $0.01
34.72%
128,426
$18,537,082,000 0.06%
Arhaus Inc Com Cl A
102.62%
1,092,964
$18,514,810,000 0.06%
Tokyo Electron Ltd Adr
98.94%
168,350
$18,262,506,000 0.06%
Smart Global Hldgs Inc Shs
102.62%
797,494
$18,238,688,000 0.06%
Ishares Tr Russell 3000
66.21%
58,800
$18,149,796,000 0.06%
Automatic Data Processing Inc.
88.29%
75,886
$18,113,230,000 0.06%
Helios Technologies, Inc.
102.77%
374,950
$17,903,862,000 0.06%
Ferrari N V Com
96.47%
43,800
$17,886,606,000 0.06%
Intel Corp Com
89.83%
575,854
$17,834,218,000 0.06%
Harmonic, Inc.
145.27%
1,513,734
$17,816,650,000 0.06%
Brookfield Corp Cl A Ltd Vt Sh
98.98%
427,088
$17,741,236,000 0.06%
RBC Bearings Inc.
98.82%
65,326
$17,623,648,000 0.06%
Montrose Environmental Group I Com
128.26%
394,292
$17,569,652,000 0.06%
Sprout Social, Inc.
121.58%
490,996
$17,518,738,000 0.06%
On Hldg Ag Namen Akt A
176.29%
450,250
$17,469,700,000 0.06%
Silicon Motion Technology Corp Sponsored Adr
102.59%
215,672
$17,467,276,000 0.06%
Graphic Packaging Hldg Co Com
15.30%
662,026
$17,351,692,000 0.06%
Deere & Co Com
91.69%
46,120
$17,231,574,000 0.06%
Hitachi Ltd Adr 10 Com
54.85%
75,454
$16,990,732,000 0.06%
Mercedes Benz Group Ag Unsponsor Adr
156.52%
972,770
$16,829,700,000 0.06%
Aon Plc Shs Cl A
98.70%
57,130
$16,772,226,000 0.06%
Disco Corp Adr
28.81%
441,812
$16,764,998,000 0.06%
Vanguard/windsor Fd Inc Windsor Ii Inv
100.73%
358,364
$16,760,660,000 0.06%
Vanguard Admiral Fds Inc Smlcp 600 Val
61.61%
200,212
$16,751,714,000 0.06%
Monster Beverage Corp New Com Shs
276.13%
334,566
$16,711,572,000 0.06%
Cadence Design System Inc Com
265.84%
54,206
$16,681,896,000 0.06%
Flywire Corporation Com Vtg
171.08%
1,002,086
$16,424,190,000 0.06%
Intra-Cellular Therapies Inc
465.66%
239,140
$16,378,698,000 0.06%
Marriott Intl Inc New Cl A
91.29%
67,510
$16,321,892,000 0.06%
Entegris Inc
104.11%
120,126
$16,265,060,000 0.06%
Natixis Fds Tr I V Nels Scval Y
Opened
785,684
$16,192,944,000 0.06%
Wns Hldgs Ltd Com Shs
Closed
318,169
$16,077,080,000
Jfrog Ltd Ord Shs
59.79%
426,878
$16,029,268,000 0.06%
Ceco Environmental Corp Com
63.68%
554,276
$15,990,862,000 0.06%
Vericel Corp Com
175.69%
346,510
$15,897,878,000 0.05%
Three Bridges Europe Fund
100.00%
16,000
$15,845,534,000 0.05%
International Mny Express Inc Com
102.60%
757,984
$15,796,386,000 0.05%
Canada Goose Holdings Inc Shs Sub Vtg
97.56%
1,195,356
$15,455,954,000 0.05%
Impinj Inc
35.58%
98,524
$15,445,608,000 0.05%
Northrop Grumman Corp Com
99.62%
35,324
$15,399,498,000 0.05%
Service Corp Intl Com
2,337.74%
216,130
$15,373,266,000 0.05%
Genius Sports Limited Shares Cl A
142.27%
2,808,986
$15,308,974,000 0.05%
Bancorp Inc Del Com
102.64%
404,438
$15,271,578,000 0.05%
Pinnacle Finl Partners Inc Com
102.76%
190,096
$15,215,284,000 0.05%
Applied Indl Technologies Inc Com
102.61%
78,362
$15,202,228,000 0.05%
FirstCash Holdings Inc
Closed
119,036
$15,181,851,000
Enpro Inc
102.64%
104,166
$15,163,444,000 0.05%
Mirum Pharmaceuticals Inc
170.84%
440,980
$15,077,106,000 0.05%
Aia Group Ltd Sponsored Adr
Opened
555,014
$15,070,684,000 0.05%
Glencore Plc Unsponsord Adr
109.30%
1,319,088
$15,043,802,000 0.05%
Vanguard Tax Managed Intl Fd Ftse Dev Mkt Etf
99.76%
303,054
$14,976,952,000 0.05%
Total S.a. Sponsored Ads
107.89%
223,778
$14,921,518,000 0.05%
Revolve Group Inc
147.12%
930,716
$14,807,692,000 0.05%
Dutch Bros Inc.
Opened
357,482
$14,799,754,000 0.05%
Renasant Corp Com
Opened
483,592
$14,768,900,000 0.05%
Cencora Inc.
99.70%
65,548
$14,767,964,000 0.05%
Forum Fds Df Dnt Md Inst
Opened
439,844
$14,734,766,000 0.05%
Certara, Inc.
102.77%
1,046,878
$14,499,260,000 0.05%
Natera Inc
40.32%
132,794
$14,380,262,000 0.05%
Qualcomm, Inc.
62.02%
72,118
$14,364,294,000 0.05%
Rxo Inc Common Stock
Closed
654,337
$14,310,350,000
Tjx Cos Inc New Com
98.62%
129,292
$14,235,050,000 0.05%
Quidelortho Corp Com
97.91%
428,182
$14,224,206,000 0.05%
Lockheed Martin Corp Com
99.44%
30,446
$14,221,326,000 0.05%
Ichor Holdings Shs
Opened
368,708
$14,213,694,000 0.05%
Icon Plc Shs
47.91%
45,238
$14,180,756,000 0.05%
Euronext
112.26%
154,400
$14,143,522,000 0.05%
Sprott Physical Gold Trust Unit
Opened
777,664
$14,044,612,000 0.05%
Armada Hoffler Pptys Inc Com
14.24%
1,255,386
$13,922,238,000 0.05%
Qcr Holdings Inc Com
Opened
231,976
$13,918,560,000 0.05%
Verizon Communications Inc
89.57%
336,342
$13,870,722,000 0.05%
Inter Parfums, Inc.
84.41%
119,042
$13,812,444,000 0.05%
Gates Indl Corp Plc Ord Shs
Opened
871,450
$13,777,624,000 0.05%
Unilever Plc Spon Adr New
96.76%
250,246
$13,761,028,000 0.05%
Heineken N V Sponsored Adr L1
757.37%
281,964
$13,644,154,000 0.05%
Twist Bioscience Corp Com
106.00%
276,486
$13,625,230,000 0.05%
Amphastar Pharmaceuticals Inc
201.66%
339,152
$13,566,080,000 0.05%
Sap Se Spon Adr
3,098.95%
67,242
$13,563,384,000 0.05%
Ishares Inc Msci Sth Kor Etf
96.01%
202,176
$13,361,854,000 0.05%
Myr Group Inc Del Com
Opened
97,806
$13,273,252,000 0.05%
Protagonist Therapeutics Inc
102.57%
382,336
$13,247,942,000 0.05%
Arch Cap Group Ltd Ord
97.08%
131,098
$13,226,478,000 0.05%
Novocure Ltd Ord Shs
Opened
770,820
$13,204,146,000 0.05%
Caterpillar Inc Del Com
128.58%
39,634
$13,202,086,000 0.05%
Adobe Sys Inc Com
95.34%
23,660
$13,144,076,000 0.05%
Vinci S A Adr
75.54%
495,966
$13,073,564,000 0.05%
Werner Enterprises, Inc.
102.67%
364,822
$13,071,572,000 0.05%
Summit Matls Inc Cl A
142.15%
356,870
$13,065,010,000 0.05%
Vertex Pharmaceuticals, Inc.
100.00%
27,518
$12,898,236,000 0.04%
Udemy Inc Com
101.62%
1,489,056
$12,850,554,000 0.04%
Hologic, Inc.
100.00%
170,924
$12,691,108,000 0.04%
AdaptHealth Corp.
Closed
1,096,574
$12,621,567,000
Semrush Hldgs Inc Cl A Com
361.68%
941,818
$12,610,944,000 0.04%
Walmart Inc
98.37%
186,136
$12,603,330,000 0.04%
Ivy Fds Inc Mid Cap Gwth I
Opened
409,426
$12,544,832,000 0.04%
Atricure Inc
182.49%
538,288
$12,256,818,000 0.04%
Hexcel Corp New Com
140.66%
194,822
$12,166,634,000 0.04%
Bowman Consulting Group Ltd Com
102.60%
382,358
$12,155,160,000 0.04%
American Wtr Wks Co Inc New Com
86.20%
93,336
$12,055,254,000 0.04%
Braze Inc Com Cl A
140.55%
310,240
$12,049,722,000 0.04%
Aspen Aerogels Inc.
4.92%
501,710
$11,965,784,000 0.04%
Cohen & Steers Instl Rlty Shs Com
128.36%
258,540
$11,835,998,000 0.04%
Advisors Inner Circle Fd Iii Gqg Prtn Instl
Opened
639,778
$11,765,518,000 0.04%
Cantaloupe Inc
102.58%
1,778,770
$11,739,882,000 0.04%
Enterprise Prods Partners L P Com
96.06%
402,196
$11,655,650,000 0.04%
Axogen Inc.
102.60%
1,601,842
$11,597,336,000 0.04%
Arcbest Corp Com
72.31%
107,988
$11,563,356,000 0.04%
Ishares Tr Russell 2000
69.78%
56,636
$11,490,976,000 0.04%
Independent Bk Group Inc Com
207.33%
249,292
$11,347,772,000 0.04%
Simulations Plus Inc.
102.62%
232,254
$11,292,190,000 0.04%
Mitek Sys Inc Com New
Opened
1,005,152
$11,237,600,000 0.04%
Parker Hannifin Corp Com
72.78%
22,136
$11,196,610,000 0.04%
Mettler Toledo International Com
98.96%
8,010
$11,194,696,000 0.04%
Concentrix Corp Com
5.02%
173,340
$10,968,956,000 0.04%
Philip Morris Intl Inc Com
85.89%
107,948
$10,938,370,000 0.04%
Colgate Palmolive Co Com
107.53%
112,192
$10,887,112,000 0.04%
Transcat Inc
55.28%
90,656
$10,849,710,000 0.04%
Arteris Inc Com
102.69%
1,442,952
$10,836,570,000 0.04%
Varonis Sys Inc Com
104.21%
225,760
$10,829,708,000 0.04%
Amicus Therapeutics Inc
188.43%
1,081,476
$10,728,242,000 0.04%
Sk Telecom Ltd Sponsored Adr
96.68%
512,178
$10,719,876,000 0.04%
Colliers Intl Group Inc Sub Vtg Shs
98.11%
95,766
$10,692,306,000 0.04%
Saia Inc.
102.55%
22,380
$10,614,610,000 0.04%
Invesco Qqq Tr Unit Ser 1
Opened
22,134
$10,604,154,000 0.04%
Weave Communications, Inc.
131.28%
1,169,170
$10,545,914,000 0.04%
Zurich Ins Group Ltd Sponsored Adr
106.04%
197,706
$10,540,952,000 0.04%
Stevanato Group S P A Ord Shs
98.89%
571,804
$10,486,900,000 0.04%
Intuit Com
47.27%
15,860
$10,423,350,000 0.04%
Aim Intl Mut Fds Invsc Euro Grw Y
Opened
281,506
$10,395,986,000 0.04%
NextEra Energy Inc
114.23%
144,512
$10,232,894,000 0.04%
The Trade Desk Inc Com Cl A
104.24%
104,336
$10,190,498,000 0.04%
Cactus Inc
Closed
203,153
$10,175,934,000
Vanguard Index Fds S&p 500 Etf Shs
126.78%
19,784
$9,894,580,000 0.03%
MediaAlpha, Inc.
97.62%
742,084
$9,773,246,000 0.03%
Roper Technologies Inc
148.45%
17,188
$9,688,188,000 0.03%
Tokio Marine Holdings Inc Adr
Opened
258,532
$9,651,154,000 0.03%
Vanguard/windsor Fd Inc Windsor Ii Adm
99.34%
116,188
$9,637,844,000 0.03%
Cerus Corp Com
102.66%
5,464,942
$9,618,298,000 0.03%
Labcorp Holdings Inc.
Opened
47,062
$9,577,588,000 0.03%
Vanguard Scottsdale Fds Explorer Value
100.36%
210,062
$9,383,504,000 0.03%
Shopify Inc
167.20%
141,424
$9,341,056,000 0.03%
General Electric Co Com New
106.98%
58,694
$9,330,586,000 0.03%
Bristol-myers Squibb Co Com
100.94%
224,590
$9,327,222,000 0.03%
Lilly Eli & Co Com
99.73%
10,174
$9,211,336,000 0.03%
Norfolk Southern Corp Com
91.09%
42,316
$9,084,638,000 0.03%
Thales Unsponsord Adr
Opened
282,690
$9,058,914,000 0.03%
Universal Music Group Nv Unsponsored Ads
Opened
602,688
$8,972,036,000 0.03%
Vanguard Index Fds Valu Index Adm
147.36%
143,140
$8,959,080,000 0.03%
British Amern Tob Plc Sponsored Adr
95.45%
289,562
$8,956,132,000 0.03%
Airbus Se Unsponsored Adr
197.05%
259,386
$8,914,008,000 0.03%
Ishares Tr Rus Mid Cap Etf
103.07%
109,642
$8,889,768,000 0.03%
Vanguard Bd Index Fds Smcp Val Idx Adm
92.14%
113,062
$8,866,384,000 0.03%
Verisk Analytics Inc
106.48%
32,820
$8,846,632,000 0.03%
Blue Bird Corp Com
Opened
163,490
$8,803,936,000 0.03%
Boston Scientific Corp Com
124.14%
113,882
$8,770,052,000 0.03%
Koninklijke Ahold Delhaize N V Sponsored Adr Ne
96.58%
288,234
$8,522,992,000 0.03%
Pagerduty Inc
Opened
371,676
$8,522,530,000 0.03%
Amphenol Corp.
252.01%
123,964
$8,351,454,000 0.03%
Visteon Corp Com New
Closed
70,353
$8,274,216,000
Portillos Inc Com Cl A
Closed
576,865
$8,179,946,000
Vanguard Bd Index Fds Sc Gwth Idx Adm
100.03%
92,714
$8,152,366,000 0.03%
3m Co Com
105.41%
79,682
$8,142,704,000 0.03%
Netflix Inc.
537.90%
11,884
$8,020,274,000 0.03%
Matthews Intl Fds Pac Tiger Inst
Opened
406,344
$8,009,026,000 0.03%
Newpark Res Inc Com Par $.01new
Opened
958,046
$7,961,362,000 0.03%
West Pharmaceutical Svsc Inc Com
108.17%
24,154
$7,956,086,000 0.03%
Sterling Infrastructure Inc
Opened
67,004
$7,929,254,000 0.03%
Vanguard Index Fds Total Stk Mkt
73.94%
29,610
$7,921,022,000 0.03%
Arrowhead Pharmaceuticals Inc.
102.74%
304,518
$7,914,422,000 0.03%
Potbelly Corp Com
102.62%
973,864
$7,820,128,000 0.03%
Nike, Inc.
108.94%
103,726
$7,817,828,000 0.03%
Veralto Corp Com Shs
90.40%
81,112
$7,743,762,000 0.03%
Warby Parker Inc.
Opened
481,188
$7,727,880,000 0.03%
Ishares Tr Core Msci Euro
94.03%
135,196
$7,699,412,000 0.03%
Mastercard Incorporated
99.44%
17,248
$7,609,128,000 0.03%
Ishares Brazil Sm-cp
Closed
518,000
$7,531,720,000
Mp Materials Corp Com Cl A
165.43%
591,070
$7,524,322,000 0.03%
Grid Dynamics Holdings, Inc.
Closed
604,481
$7,429,071,000
Suncor Energy Inc New Com
68.22%
190,372
$7,254,830,000 0.03%
Five9 Inc
Closed
116,194
$7,216,809,000
MSA Safety Inc
80.26%
37,442
$7,027,338,000 0.02%
Starbucks Corp Com
98.61%
90,118
$7,015,684,000 0.02%
Ppg Inds Inc Com
99.35%
55,576
$6,996,448,000 0.02%
Copart, Inc.
238.85%
128,634
$6,966,818,000 0.02%
Dino Polska S A Unsponsored Adr
Opened
136,794
$6,911,080,000 0.02%
Dbs Group Hldgs Ltd Sponsored Adr
120.69%
64,802
$6,845,268,000 0.02%
Zymeworks Inc Com
102.61%
796,288
$6,776,410,000 0.02%
MongoDB Inc
95.16%
26,760
$6,688,930,000 0.02%
Gallagher Arthur J & Co Com
Opened
25,770
$6,682,418,000 0.02%
Lumentum Hldgs Inc Com
Opened
130,656
$6,653,004,000 0.02%
Schlumberger Ltd Com
313.04%
139,650
$6,588,688,000 0.02%
ServiceNow Inc
113.73%
8,248
$6,488,454,000 0.02%
Pioneer Nat Res Co Com
Closed
24,580
$6,452,250,000
Aehr Test Systems Com
288.86%
577,184
$6,447,146,000 0.02%
Cintas Corp Com
99.73%
9,024
$6,319,146,000 0.02%
Chord Energy Corporation Com New
Closed
35,137
$6,262,819,000
Carrier Global Corporation Com
107.15%
99,000
$6,244,920,000 0.02%
PTC Inc
100.00%
34,168
$6,207,300,000 0.02%
Liveramp Hldgs Inc Com
Closed
179,796
$6,202,962,000
Spdr S&p Midcap 400 Etf Tr Utser1 S&pdcrp
99.72%
11,556
$6,183,156,000 0.02%
Cvrx Inc Com
102.62%
514,594
$6,169,982,000 0.02%
Ross Stores, Inc.
65.97%
42,124
$6,121,460,000 0.02%
O Reilly Automotive Inc New Com
1,362.63%
5,792
$6,116,700,000 0.02%
Bk Of America Corp Com
86.31%
150,302
$5,977,476,000 0.02%
Erste Group Bk A G Sponsored Adr
Closed
265,226
$5,915,044,000
Phillips 66 Com
99.84%
41,876
$5,911,634,000 0.02%
Cryoport Inc Com Par $0.001
102.60%
844,894
$5,838,218,000 0.02%
Steris Plc Shs Usd
101.23%
26,476
$5,812,542,000 0.02%
Flextronics Intl Ltd Ord
100.94%
196,066
$5,781,986,000 0.02%
Boeing Co Com
98.52%
31,730
$5,775,178,000 0.02%
Uber Technologies Inc
424.53%
78,732
$5,722,242,000 0.02%
Allient Inc Com
Closed
159,634
$5,695,741,000
Heico Corp New Com
107.69%
25,346
$5,667,620,000 0.02%
Honeywell Intl Inc Com
102.58%
26,392
$5,635,590,000 0.02%
Dominion Energy Inc
94.15%
114,644
$5,617,556,000 0.02%
Singapore Telecommunicatns Ltd Spon Adr New06
93.25%
273,668
$5,553,134,000 0.02%
Maxcyte Inc Com
102.60%
1,416,326
$5,551,998,000 0.02%
Xencor Inc
102.60%
292,226
$5,531,838,000 0.02%
Franklin Covey Co Com
Closed
140,838
$5,529,300,000
Omnicell, Inc.
Closed
186,093
$5,439,498,000
Ishares Tr Core Msci Eafe
104.56%
74,264
$5,394,536,000 0.02%
S&P Global Inc
12.80%
12,084
$5,389,464,000 0.02%
Air Prods & Chems Inc Com
111.16%
20,810
$5,369,880,000 0.02%
Tractor Supply Co Com
106.76%
19,822
$5,351,940,000 0.02%
Targa Res Corp Com
97.51%
41,470
$5,340,506,000 0.02%
Kla Corp Com New
100.00%
6,442
$5,311,494,000 0.02%
Autoliv Inc.
71.59%
49,216
$5,265,700,000 0.02%
Markel Corp Com
100.00%
3,326
$5,240,646,000 0.02%
No transactions found in first 500 rows out of 990
Showing first 500 out of 990 holdings