Tennessee Valley Asset Management Partners 13F annual report

Tennessee Valley Asset Management Partners is an investment fund managing more than $523 billion ran by Jeff Foster. There are currently 82 companies in Mr. Foster’s portfolio. The largest investments include Spdr Ser Tr and Ishares Tr, together worth $308 billion.

Limited to 30 biggest holdings

$523 billion Assets Under Management (AUM)

As of 2nd August 2024, Tennessee Valley Asset Management Partners’s top holding is 3,346,266 shares of Spdr Ser Tr currently worth over $173 billion and making up 33.1% of the portfolio value. In addition, the fund holds 1,593,880 shares of Ishares Tr worth $135 billion. The third-largest holding is Vanguard Index Fds worth $48 billion and the next is Blackrock Etf Trust worth $23.6 billion, with 503,416 shares owned.

Currently, Tennessee Valley Asset Management Partners's portfolio is worth at least $523 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 Tennessee Valley Asset Management Partners

The Tennessee Valley Asset Management Partners office and employees reside in Knoxville, Tennessee. According to the last 13-F report filed with the SEC, Jeff Foster serves as the Partner, CCO at Tennessee Valley Asset Management Partners.

Recent trades

In the most recent 13F filing, Tennessee Valley Asset Management Partners revealed that it had opened a new position in Blackrock Etf Trust and bought 503,416 shares worth $23.6 billion.

The investment fund also strengthened its position in Vanguard Index Fds by buying 160,811 additional shares. This makes their stake in Vanguard Index Fds total 180,516 shares worth $48 billion.

On the other hand, there are companies that Tennessee Valley Asset Management Partners is getting rid of from its portfolio. Tennessee Valley Asset Management Partners closed its position in Ishares Iboxx on 9th August 2024. It sold the previously owned 42,625 shares for $4.72 billion. Jeff Foster also disclosed a decreased stake in Spdr Ser Tr by 0.4%. This leaves the value of the investment at $173 billion and 3,346,266 shares.

One of the average hedge funds

The two most similar investment funds to Tennessee Valley Asset Management Partners are Alpha Omega Wealth Management and Portside Wealth. They manage $523 billion and $523 billion respectively.


Jeff Foster investment strategy

Tennessee Valley Asset Management Partners’s portfolio is diversified across 8 sectors. Currently, their heaviest sector is Technology — making up 3.7% of the total portfolio value. The fund focuses on investments in the United States as 45.1% 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 39% of the total holdings value. On the other hand, small-cap stocks make up only approximately 0.1% of the portfolio. The average market cap of the portfolio companies is close to $306 billion.

The complete list of Tennessee Valley Asset Management Partners trades based on 13F SEC filings

These positions were updated on August 9th 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
Spdr Ser Tr
41.00%
3,346,266
$173,186,345,000 33.08%
Ishares Tr
47.02%
1,593,880
$134,895,793,000 25.77%
Vanguard Index Fds
816.09%
180,516
$48,030,905,000 9.18%
Blackrock Etf Trust
Opened
503,416
$23,630,361,000 4.51%
Berkshire Hathaway Inc.
48.39%
38,806
$15,786,278,000 3.02%
Schwab Strategic Tr
418.84%
208,424
$10,219,048,000 1.95%
Vanguard Specialized Funds
50.67%
31,383
$5,728,919,000 1.09%
Apple Inc
31.70%
25,762
$5,426,092,000 1.04%
Vanguard Scottsdale Fds
56.18%
226,625
$19,838,040,000 3.79%
Spdr Sp 500 Etf Tr
16.70%
9,461
$5,148,908,000 0.98%
Vanguard Intl Equity Index F
14.17%
81,915
$4,803,488,000 0.92%
Ishares Iboxx
Closed
42,625
$4,716,834,000
Columbia Etf Tr Ii
Opened
135,904
$4,338,054,000 0.83%
Abbvie Inc
50.54%
24,089
$4,131,800,000 0.79%
Pimco Etf Tr
Opened
37,355
$3,462,824,000 0.66%
Microsoft Corporation
40.57%
7,222
$3,228,016,000 0.62%
Spdr Index Shs Fds
55.44%
112,345
$4,348,708,000 0.83%
NVIDIA Corp
412.66%
25,387
$3,136,288,000 0.60%
Procter And Gamble Co
50.81%
16,551
$2,729,540,000 0.52%
Ishares Tr
Opened
78,611
$4,974,153,000 0.95%
Qualcomm, Inc.
44.45%
11,937
$2,377,525,000 0.45%
Meta Platforms Inc
49.98%
4,568
$2,303,123,000 0.44%
Alphabet Inc
34.28%
13,674
$2,506,380,000 0.48%
Abbott Labs
50.27%
20,411
$2,120,931,000 0.41%
Pimco Dynamic Income Fd
48.58%
112,078
$2,108,196,000 0.40%
Legg Mason, Inc.
Closed
57,618
$2,094,392,000
Broadcom Inc
48.69%
1,288
$2,067,828,000 0.40%
Invesco Exch Traded Fd Tr Ii
94.82%
14,502
$2,136,997,000 0.41%
Zeta Global Holdings Corp.
Opened
99,789
$1,761,276,000 0.34%
Amazon.com Inc.
34.01%
7,919
$1,530,351,000 0.29%
Jpmorgan Chase Co.
47.16%
6,922
$1,399,939,000 0.27%
Vanguard Tax-managed Fds
981.29%
26,816
$1,325,226,000 0.25%
Invesco Exchange Traded Fd T
25.97%
10,446
$1,557,158,000 0.30%
Rivernorth Opportunities Fd
49.11%
97,202
$1,190,722,000 0.23%
Home Depot, Inc.
17.23%
3,367
$1,159,180,000 0.22%
Lowes Cos Inc
43.28%
5,165
$1,138,597,000 0.22%
Ishares Msci
Closed
28,961
$1,186,221,000
Guggenheim Strategic Opportu
47.46%
62,322
$929,225,000 0.18%
Franklin Liberty
Closed
9,746
$876,794,000
Invesco Exch Trd Slf Idx Fd
37.52%
50,147
$1,075,952,000 0.21%
Spdr Sp Midcap 400 Etf Tr
58.09%
1,465
$783,803,000 0.15%
Blackrock Etf Trust Ii
Opened
14,858
$775,604,000 0.15%
Sector Financial
Closed
19,982
$751,294,000
Spdr Series
Closed
8,286
$786,618,000
Exxon Mobil Corp.
52.18%
5,366
$617,784,000 0.12%
International Business Machs
47.05%
3,484
$602,537,000 0.12%
SmartFinancial Inc
Closed
24,594
$602,300,000
Ishares Select
Closed
5,088
$596,334,000
Caterpillar Inc.
47.02%
1,745
$581,239,000 0.11%
Walmart Inc
666.03%
8,411
$569,533,000 0.11%
Tesla Inc
46.80%
2,723
$538,828,000 0.10%
Visa Inc
49.05%
1,989
$521,947,000 0.10%
Inventrust Properties
Closed
19,904
$504,364,000
Humana Inc.
2,535.29%
1,344
$502,018,000 0.10%
Vanguard Whitehall Fds
688.18%
4,067
$482,292,000 0.09%
Salesforce Inc
48.57%
1,830
$470,596,000 0.09%
Invesco Ltd
52.62%
31,082
$464,993,000 0.09%
Alibaba Group Hldg Ltd
8.50%
6,447
$464,173,000 0.09%
Phillips 66
49.16%
3,273
$462,054,000 0.09%
Lam Research Corp.
49.88%
433
$461,559,000 0.09%
Block Inc
Closed
5,700
$440,902,000
Johnson Johnson
44.32%
2,969
$433,982,000 0.08%
Ishares Esg
Closed
6,460
$493,991,000
Waste Mgmt Inc Del
49.65%
1,884
$401,938,000 0.08%
Deere Co
Closed
1,000
$400,004,000
American Express Co.
1,050.67%
1,726
$399,655,000 0.08%
Global X Fds
56.37%
21,931
$387,525,000 0.07%
Pepsico Inc
50.35%
2,291
$377,915,000 0.07%
Spdr Gold Tr
48.32%
1,749
$376,052,000 0.07%
J P Morgan Exchange Traded F
Opened
10,479
$569,221,000 0.11%
Select Sector Spdr Tr
87.29%
5,317
$708,285,000 0.14%
Advanced Micro Devices Inc.
49.26%
2,119
$343,722,000 0.07%
Eli Lilly Co
20.32%
373
$338,047,000 0.06%
Disney Walt Co
48.53%
3,386
$336,213,000 0.06%
Brookfield Real Assets Incom
49.15%
26,005
$331,822,000 0.06%
Coca-Cola Co
328.76%
4,875
$310,294,000 0.06%
Intuit Inc
49.89%
471
$309,272,000 0.06%
Ford Motor Co.
Closed
24,104
$293,840,000
Seagate Technology Hldngs Pl
49.56%
2,841
$293,354,000 0.06%
Carrier Global Corporation
49.73%
4,630
$292,038,000 0.06%
Republic Svcs Inc
49.80%
1,497
$290,963,000 0.06%
GE Aerospace
1,321.77%
1,763
$280,264,000 0.05%
United Rentals, Inc.
56.12%
430
$278,058,000 0.05%
DraftKings Inc.
50.00%
7,203
$274,937,000 0.05%
PayPal Holdings Inc
53.55%
4,649
$269,781,000 0.05%
Costco Whsl Corp New
50.00%
313
$266,096,000 0.05%
Mastercard Incorporated
49.65%
581
$256,426,000 0.05%
Boeing Co.
66.79%
1,401
$255,054,000 0.05%
Dell Technologies Inc
118.55%
1,685
$232,319,000 0.04%
Cummins Inc.
0.98%
806
$223,234,000 0.04%
Fs Credit Opportunities Corp
2,403.40%
33,896
$215,918,000 0.04%
Vanguard World Fd
2.84%
362
$208,448,000 0.04%
Wisdomtree U S
Closed
4,378
$216,575,000
LKQ Corp
Closed
4,030
$192,597,000
Schwab Charles
Closed
2,775
$190,891,000
Box Inc
Closed
7,218
$184,853,000
Invesco Bulletshares
Closed
47,901
$927,282,000
Southern Company
Closed
2,486
$174,287,000
Delta Airlines
Closed
4,328
$174,095,000
Ishares Core
Closed
8,373
$391,991,000
Goldman Sachs
Closed
435
$163,320,000
iShares Trust
Closed
7,126
$290,900,000
Pinnacle Financial
Closed
1,812
$158,041,000
Unitedhealth Group Inc
Closed
300
$157,726,000
Alps Sector
Closed
2,975
$152,499,000
Automatic Data
Closed
645
$150,196,000
Ishares Fallen
Closed
5,654
$149,278,000
Invesco Exchange
Closed
2,956
$159,546,000
PDD Holdings Inc
Closed
983
$143,823,000
CSX Corp.
Closed
4,005
$138,862,000
Spdr Sp
Closed
3,081
$165,375,000
Sector Energy
Closed
1,629
$136,583,000
Spdr Dow
Closed
3,078
$139,850,000
Carmax Inc
Closed
1,735
$133,144,000
Palantir Technologies Inc.
Closed
7,695
$132,123,000
Spdr Intermediate
Closed
4,612
$131,710,000
Mcdonalds Corp
Closed
442
$131,171,000
Eastman Kodak Co.
Opened
23,000
$123,740,000 0.02%
Intel Corp.
Closed
2,333
$117,251,000
Trimble Inc
Closed
2,203
$117,200,000
Ishares Gold
Closed
2,904
$113,343,000
Shopify Inc
Closed
1,450
$112,955,000
Toyota Motor Corporation
Closed
600
$109,954,000
Ishares Russell
Closed
896
$168,057,000
Commercial Metals Co.
Closed
2,135
$106,859,000
Exchange Emqq
Closed
3,163
$97,452,000
Vanguard Real
Closed
1,100
$97,196,000
3M Co.
Closed
835
$91,332,000
Teledyne Technologies Inc
Closed
202
$90,151,000
Fs Kkr
Closed
4,479
$89,446,000
Ishares U S
Closed
3,934
$131,908,000
Broadstone Net
Closed
5,000
$86,104,000
Trade Desk Inc
Closed
1,187
$85,416,000
Enterprise Products
Closed
3,241
$85,407,000
Etfis Virtus
Closed
4,070
$84,299,000
Schlumberger Ltd.
Closed
1,598
$83,160,000
Graniteshares Hips
Closed
6,646
$83,077,000
Chevron Corp.
Closed
556
$82,964,000
DocuSign Inc
Closed
1,394
$82,875,000
Snowflake Inc.
Closed
407
$80,993,000
Honeywell Intl
Closed
385
$80,634,000
Vanguard Total
Closed
1,871
$121,822,000
AMGEN Inc.
Closed
275
$79,112,000
Under Armour Inc
Closed
9,430
$78,741,000
WisdomTree Trust
Closed
1,117
$78,498,000
Cisco Systems, Inc.
Closed
1,550
$78,314,000
NextEra Energy Inc
Closed
1,261
$76,599,000
Wisdomtree Emerging
Closed
2,587
$75,742,000
Xenia Hotels
Closed
5,419
$73,807,000
Conocophillips
Closed
636
$73,783,000
LPL Financial Holdings Inc
Closed
322
$73,366,000
Ishares Broad
Closed
2,657
$117,818,000
Ishares 0-3
Closed
690
$69,211,000
Pacer Us
Closed
1,331
$69,179,000
Ishares Sp
Closed
728
$98,674,000
General Mills, Inc.
Closed
1,056
$68,765,000
Spdr Bloomberg
Closed
2,710
$83,655,000
Spdr Nuveen
Closed
1,430
$67,210,000
Spdr Mortgage
Closed
2,976
$65,681,000
Merck Company
Closed
602
$65,675,000
Dnp Select
Closed
7,616
$64,580,000
Norfolk Southern Corp.
Closed
271
$64,022,000
Geron Corp.
50.00%
15,000
$63,600,000 0.01%
Regions Financial Corp.
Closed
3,276
$63,490,000
Bank America
Closed
1,873
$63,059,000
Community Health
Closed
20,000
$62,600,000
Stryker Corp.
Closed
204
$61,095,000
Att Inc
Closed
3,610
$60,573,000
Medtronic Plc
Closed
731
$60,241,000
First Trust
Closed
3,224
$161,005,000
Airbnb, Inc.
Closed
437
$59,493,000
Coinbase Global
Closed
342
$59,481,000
Keycorp
Closed
4,116
$59,271,000
Verizon Communications Inc
Closed
1,572
$59,258,000
Jacobs Solutions Inc
Closed
456
$59,158,000
Lockheed Martin Corp.
Closed
129
$58,468,000
MercadoLibre Inc
Closed
36
$56,576,000
BP plc
Closed
1,562
$55,290,000
Nu Holdings Ltd.
Closed
6,285
$52,354,000
Nike, Inc.
Closed
472
$51,252,000
Flowers Foods, Inc.
Closed
2,218
$49,933,000
CVS Health Corp
Closed
632
$49,892,000
UiPath, Inc.
Closed
2,000
$49,680,000
Gilead Sciences, Inc.
Closed
611
$49,493,000
Vanguard Mid
Closed
233
$52,234,000
Ishares Aaa
Closed
1,018
$48,992,000
Uber Technologies Inc
Closed
784
$48,271,000
Simon Property
Closed
321
$45,856,000
Invesco Investment
Closed
2,128
$44,019,000
Ishares Biotechnology
Closed
323
$43,889,000
Altria Group Inc.
Closed
1,068
$43,100,000
Parker-Hannifin Corp.
Closed
93
$42,815,000
Synovus Financial Corp.
Closed
1,115
$41,980,000
EOG Resources, Inc.
Closed
333
$40,242,000
Marathon Petroleum Corp
Closed
269
$39,865,000
Carlisle Companies Inc.
Closed
127
$39,679,000
Citigroup Inc
Closed
751
$38,629,000
Starbucks Corp.
Closed
397
$38,085,000
RTX Corp
Closed
446
$37,556,000
Taiwan Semiconductor
Closed
360
$37,440,000
Rocket Cos
Closed
2,550
$36,926,000
Cohen Steers
Closed
1,731
$36,763,000
Ishares Intl
Closed
1,313
$36,751,000
Thomson-Reuters Corp
Closed
250
$36,555,000
Fluor Corporation
Closed
930
$36,428,000
Vanguard Long
Closed
457
$36,627,000
Spdr Portfolio
Closed
1,298
$40,829,000
General Motors Company
Closed
995
$35,733,000
Pfizer Inc.
Closed
1,236
$35,592,000
Vanguard Fste
Closed
863
$35,461,000
Emerson Electric Co.
Closed
358
$34,832,000
DigitalOcean Holdings, Inc.
Closed
945
$34,673,000
Ishares Silver
Closed
1,567
$34,129,000
Ionis Pharmaceuticals Inc
Closed
673
$34,047,000
Comcast Corp
Closed
776
$34,037,000
MetLife, Inc.
Closed
512
$33,840,000
Proshares Ultra
Closed
1,695
$85,624,000
RingCentral Inc.
Closed
972
$33,000,000
Coterra Energy Inc
Closed
1,285
$32,793,000
Capital Group
Closed
3,182
$91,318,000
Philip Morris International Inc
Closed
346
$32,539,000
Darden Restaurants, Inc.
Closed
198
$32,531,000
Digital Realty
Closed
241
$32,423,000
Chubb Ltd
Closed
142
$32,122,000
Vanguard Short
Closed
796
$53,995,000
Schwab Us
Closed
1,424
$89,981,000
Alcoa Corp
Closed
905
$30,776,000
Fedex Corp
Closed
121
$30,531,000
Ishares 0-5
Closed
300
$29,577,000
Innovator U S
Closed
1,950
$63,181,000
Wells Fargo
Closed
599
$29,484,000
Molson Coors
Closed
472
$28,884,000
Enbridge Inc
Closed
776
$27,952,000
Vanguard Small
Closed
128
$27,397,000
Blackrock Inc.
Closed
34
$27,293,000
Pnc Financial
Closed
170
$26,283,000
United Parcel
Closed
167
$26,260,000
Wec Energy
Closed
303
$25,518,000
Eaton Corp
Closed
105
$25,385,000
SFL Corporation Ltd
Closed
2,242
$25,285,000
NNN REIT Inc
Closed
585
$25,197,000
Sabra Health
Closed
1,760
$25,110,000
Texas Instruments Inc.
Closed
146
$24,943,000
Northern Lights Fund Trust
Closed
251
$24,363,000
Nuveen Amt
Closed
2,039
$24,100,000
X Trackers
Closed
1,009
$37,775,000
Eastgroup Properties, Inc.
Closed
130
$23,860,000
Dr Horton
Closed
153
$23,295,000
Exchange Traded
Closed
405
$23,207,000
Ea Ser
Closed
753
$23,013,000
Williams Cos Inc
Closed
659
$22,950,000
WPP Plc.
Closed
478
$22,738,000
Mondelez International Inc.
Closed
309
$22,344,000
Amern Axle Mfg Hldgs
Closed
2,500
$22,025,000
Micron Technology Inc.
Closed
255
$21,723,000
Welltower Inc.
Closed
241
$21,697,000
Vanguard Sp
Closed
283
$35,965,000
Mgm Resorts
Closed
480
$21,447,000
Yum Brands Inc.
Closed
164
$21,446,000
F5 Inc
Closed
118
$21,119,000
Starwood Property
Closed
1,000
$21,020,000
Ishares 5-10 Year
Closed
402
$20,911,000
Oneok Inc.
Closed
297
$20,855,000
Adobe Inc
Closed
34
$20,284,000
Cion Investment
Closed
1,766
$19,976,000
Prospect Capital Corp
Closed
3,213
$19,246,000
Okta Inc
Closed
210
$19,012,000
Sector Consumer
Closed
260
$18,762,000
iShares MBS ETF
Closed
198
$18,628,000
Anheuser Busch
Closed
284
$18,330,000
Novartis AG
Closed
180
$18,182,000
Alamos Gold Inc.
Closed
1,347
$18,142,000
Summit Midstream
Closed
1,000
$17,910,000
Kraft Heinz Co
Closed
483
$17,861,000
Northern Lights
Closed
1,733
$32,932,000
Invesco Sp
Closed
1,074
$46,423,000
Rio Tinto
Closed
234
$17,409,000
Energy Transfer
Closed
1,235
$17,049,000
Nutrien Ltd
Closed
299
$16,834,000
Carlyle Group
Closed
412
$16,757,000
General Dynamics Corp.
Closed
64
$16,650,000
Spdr Ice
Closed
495
$16,589,000
Rivian Automotive, Inc.
Closed
703
$16,492,000
Invesco Nasdaq
Closed
604
$16,310,000
Global X
Closed
719
$29,211,000
Consumer Discretionary
Closed
90
$16,121,000
Net Power
Closed
1,593
$16,089,000
Realty Income Corp.
Closed
280
$16,067,000
Shell Plc
Closed
244
$16,058,000
Principal Financial
Closed
204
$16,049,000
Snap Inc
Closed
944
$15,982,000
Becton Dickinson
Closed
65
$15,789,000
Aim Allianzim
Closed
500
$15,600,000
Check Point
Closed
101
$15,432,000
Truist Financial Corporation
Closed
416
$15,367,000
Paccar Inc.
Closed
151
$14,717,000
Tractor Supply Co.
Closed
68
$14,622,000
Ishares Russ
Closed
126
$14,596,000
Arthur J
Closed
65
$14,520,000
Bristol Myers
Closed
283
$14,499,000
Microvision Inc.
Closed
5,400
$14,364,000
Amedisys Inc.
Closed
150
$14,259,000
Vale S.A.
Closed
898
$14,243,000
Sector Technology
Closed
74
$14,167,000
Manulife Financial Corp.
Closed
629
$13,890,000
Ishares Tips
Closed
129
$13,816,000
Apollo Global
Closed
148
$13,805,000
Etf Managers
Closed
229
$13,804,000
Roblox Corporation
Closed
300
$13,716,000
Asml Holding
Closed
18
$13,625,000
Jpmorgan Chase
Closed
534
$13,542,000
Spotify Technology
Closed
71
$13,342,000
Academy Sports
Closed
202
$13,331,000
Bhp Group
Closed
194
$13,270,000
Teladoc Health Inc
Closed
615
$13,255,000
Select Sector
Closed
198
$13,878,000
Park Hotels
Closed
862
$13,189,000
Devon Energy Corp.
Closed
289
$13,084,000
Aberdeen Physical
Closed
143
$13,036,000
Morgan Stanley
Closed
139
$12,932,000
Allstate Corp (The)
Closed
91
$12,806,000
Union Pacific Corp.
Closed
50
$12,281,000
Comerica, Inc.
Closed
219
$12,212,000
Equitrans Midstream Corporation
Closed
1,190
$12,114,000
TotalEnergies SE
Closed
180
$12,100,000
Ishares 1-3yr
Closed
147
$12,067,000
Magna International Inc.
Closed
204
$12,052,000
Spdr Blackstone
Closed
285
$11,956,000
Ishares 10-20yr
Closed
110
$11,935,000
Teck Resources Ltd
Closed
281
$11,878,000
Arista Networks Inc
Closed
50
$11,776,000
Kinder Morgan Inc
Closed
665
$11,722,000
Analog Devices Inc.
Closed
59
$11,718,000
Prudential Financial Inc.
Closed
113
$11,708,000
Hewlett Packard
Closed
669
$11,360,000
Synchrony Financial
Closed
297
$11,342,000
Invesco Aerospace
Closed
123
$11,336,000
Ramaco Resources Inc
Closed
650
$11,167,000
RPM International, Inc.
Closed
100
$11,163,000
HomeTrust Bancshares Inc
Closed
410
$11,037,000
Vanguard Health
Closed
44
$11,031,000
SoFi Technologies, Inc.
Closed
1,100
$10,945,000
Kyndryl Holdings
Closed
526
$10,930,000
Schwab Intl
Closed
361
$13,199,000
Cencora Inc.
Closed
52
$10,726,000
First Indxx
Closed
262
$10,724,000
Interpublic Group
Closed
316
$10,314,000
Kenvue Inc
Closed
477
$10,268,000
Weyerhaeuser Co.
Closed
295
$10,253,000
Vaneck Jpm
Closed
398
$10,098,000
Sanofi
Closed
203
$10,095,000
Aon plc.
Closed
34
$9,992,000
Copart, Inc.
Closed
200
$9,800,000
Entergy Corp.
Closed
96
$9,727,000
Marathon Oil Corporation
Closed
401
$9,697,000
Marriott Intl
Closed
43
$9,666,000
Oracle Corp.
Closed
92
$9,656,000
Sociedad Quimica
Closed
160
$9,635,000
Prologis Inc
Closed
72
$9,557,000
Occidental Petroleum Corp.
Closed
160
$9,554,000
Pimco Muni Inc Fund
Closed
1,023
$9,547,000
Sp Global
Closed
22
$9,530,000
Baidu Inc
Closed
80
$9,527,000
Cigna Group (The)
Closed
31
$9,170,000
Scotts Miracle-Gro Company
Closed
143
$9,103,000
CME Group Inc
Closed
43
$9,008,000
Pioneer Natural
Closed
40
$9,004,000
Upstart Holdings, Inc.
Closed
220
$8,989,000
Leidos Holdings Inc
Closed
82
$8,876,000
Warner Bros
Closed
776
$8,830,000
Genmab A/s
Closed
275
$8,756,000
Linde Plc.
Closed
21
$8,697,000
HCA Healthcare Inc
Closed
32
$8,681,000
ServiceNow Inc
Closed
12
$8,478,000
Kimberly-Clark Corp.
Closed
69
$8,442,000
Cracker Barrel
Closed
106
$8,159,000
Keurig Dr
Closed
243
$8,105,000
Zillow Group Inc
Closed
140
$8,100,000
United Community
Closed
276
$8,083,000
Indexiq Iq
Closed
325
$8,080,000
Vanguard Financials
Closed
88
$8,074,000
Regeneron Pharmaceutical
Closed
9
$7,904,000
First Horizon Corporation
Closed
548
$7,757,000
Alnylam Pharmaceuticals Inc
Closed
40
$7,656,000
Gabelli Equity
Closed
1,487
$7,554,000
Motorola Solutions Inc
Closed
24
$7,514,000
Royal Caribbean
Closed
58
$7,510,000
Axon Enterprise Inc
Closed
29
$7,491,000
Cellectis S A
Closed
2,430
$7,484,000
Dollar Genl
Closed
55
$7,457,000
Vanguard Large
Closed
34
$7,414,000
Albertsons Cos
Closed
314
$7,212,000
Northrop Grumman Corp.
Closed
15
$7,134,000
Blue Owl
Closed
472
$7,033,000
American Woodmark Corp.
Closed
75
$6,964,000
Fortis Inc.
Closed
169
$6,950,000
Mckesson Corporation
Closed
15
$6,945,000
Dover Corp.
Closed
45
$6,942,000
Midcap Financial
Closed
507
$6,941,000
Cbl Associates
Closed
283
$6,907,000
Laboratory Corp
Closed
30
$6,888,000
Southwestern Energy Company
Closed
1,050
$6,878,000
Southern Copper Corporation
Closed
79
$6,769,000
Spdr High
Closed
284
$6,646,000
Vanguard Mega
Closed
86
$13,204,000
Boston Beer Co., Inc.
Closed
19
$6,566,000
Viatris Inc.
Closed
606
$6,564,000
Sherwin-Williams Co.
Closed
21
$6,550,000
Sysco Corp.
Closed
89
$6,473,000
Air Products
Closed
23
$6,261,000
Lucid Group, Inc.
Closed
1,477
$6,219,000
Interactive Brokers
Closed
75
$6,218,000
Pimco 15
Closed
108
$6,140,000
TC Energy Corporation
Closed
155
$6,059,000
Dupont De
Closed
78
$6,035,000
Align Technology, Inc.
Closed
22
$6,028,000
Toronto Dominion
Closed
92
$5,945,000
VICI Properties Inc
Closed
185
$5,898,000
Kite Realty
Closed
256
$5,852,000
Rumble Inc
Closed
1,290
$5,792,000
Fidelity Covington
Closed
92
$6,171,000
Sempra
Closed
75
$5,611,000
Tjx Cos
Closed
59
$5,571,000
Consolidated Edison, Inc.
Closed
61
$5,549,000
Dow Inc
Closed
101
$5,544,000
Vanguard Mortgage
Closed
118
$5,483,000
Select Utilities
Closed
86
$5,474,000
Jp Morgan
Closed
103
$5,155,000
Synopsys, Inc.
Closed
10
$5,149,000
Tapestry Inc
Closed
138
$5,080,000
Hess Corporation
Closed
35
$5,046,000
PENN Entertainment Inc
Closed
187
$4,866,000
Elevance Health
Closed
10
$4,856,000
PPG Industries, Inc.
Closed
32
$4,761,000
Loop Media
Closed
4,600
$4,600,000
Stellantis Nv
Closed
197
$4,594,000
P A M Transportation
Closed
216
$4,488,000
Exelon Corp.
Closed
125
$4,487,000
Commercial Vehicle Group Inc
Closed
637
$4,465,000
Comstock Resources, Inc.
Closed
500
$4,425,000
Vaneck High
Closed
86
$4,421,000
Vanguard Intermediate
Closed
58
$4,416,000
Netflix Inc.
Closed
9
$4,383,000
Ishares Regional
Closed
104
$4,357,000
Best Buy Co. Inc.
Closed
55
$4,299,000
Public Service
Closed
69
$4,220,000
Target Corp
Closed
29
$4,063,000
On Holding
Closed
150
$4,046,000
Sea Ltd
Closed
99
$4,010,000
Capital One
Closed
30
$3,978,000
Avalonbay Commntys
Closed
21
$3,974,000
Atmos Energy Corp.
Closed
34
$3,941,000
Southwest Airlines Co
Closed
134
$3,861,000
Omnicom Group, Inc.
Closed
44
$3,806,000
Flexshares Iboxx
Closed
161
$3,804,000
Equitable Holdings Inc
Closed
112
$3,741,000
Kroger Co.
Closed
80
$3,657,000
Accenture plc
Closed
10
$3,596,000
Charles River
Closed
15
$3,546,000
Palo Alto
Closed
12
$3,539,000
Vodafone Group
Closed
406
$3,532,000
Freeport-McMoRan Inc
Closed
82
$3,489,000
Nasdaq Inc
Closed
60
$3,488,000
Tilray Brands Inc
Closed
1,495
$3,439,000
Thor Industries, Inc.
Closed
29
$3,429,000
Intuitive Surgical Inc
Closed
10
$3,374,000
Jack Henry
Closed
20
$3,272,000
Celsius Holdings Inc
Closed
60
$3,271,000
Teradyne, Inc.
Closed
30
$3,256,000
Paramount Global
Closed
218
$3,223,000
Equinix Inc
Closed
4
$3,222,000
Zimmer Biomet Holdings Inc
Closed
26
$3,164,000
Corteva Inc
Closed
66
$3,163,000
Digital World
Closed
180
$3,150,000
Equity Residential
Closed
51
$3,119,000
United Sts Steel Crp New
Closed
64
$3,093,000
Invesco Senior
Closed
144
$3,058,000
Constellation Energy
Closed
26
$3,041,000
Brookfield Renewable Corporation
Closed
113
$2,967,000
Colgate-Palmolive Co.
Closed
37
$2,952,000
Vaneck Semiconductor
Closed
16
$2,798,000
Invesco Intl
Closed
151
$2,787,000
TD Synnex Corp
Closed
26
$2,785,000
Pinterest Inc
Closed
75
$2,778,000
Victory Victoryshares
Closed
102
$2,764,000
Opendoor Technologies Inc.
Closed
600
$2,688,000
Progressive Corp.
Closed
16
$2,576,000
Crowdstrike Holdings Inc
Closed
10
$2,554,000
Dutch Bros Inc.
Closed
80
$2,534,000
Four Corners
Closed
100
$2,530,000
Aflac Inc.
Closed
31
$2,522,000
Vanguard Ftse
Closed
49
$4,463,000
Tyson Foods, Inc.
Closed
46
$2,478,000
BCE Inc
Closed
62
$2,442,000
CMS Energy Corporation
Closed
42
$2,431,000
HDFC Bank Ltd.
Closed
36
$2,416,000
Invesco Emerging
Closed
117
$2,412,000
Aercap Holdings
Closed
32
$2,378,000
Lincoln Natl Corp In
Closed
87
$2,339,000
Xcel Energy Inc.
Closed
37
$2,309,000
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Showing first 500 out of 663 holdings