Old Point Trust & Financial Services N A 13F annual report

Old Point Trust & Financial Services N A is an investment fund managing more than $258 billion ran by Eric Jr.. There are currently 368 companies in Mr. Jr.’s portfolio. The largest investments include Microsoft and Apple Inc, together worth $29 billion.

Limited to 30 biggest holdings

$258 billion Assets Under Management (AUM)

As of 6th August 2024, Old Point Trust & Financial Services N A’s top holding is 39,460 shares of Microsoft currently worth over $17.6 billion and making up 6.8% of the portfolio value. Relative to the number of outstanding shares of Microsoft, Old Point Trust & Financial Services N A owns more than approximately 0.1% of the company. In addition, the fund holds 53,736 shares of Apple Inc worth $11.3 billion, whose value grew 17.6% in the past six months. The third-largest holding is Exxon Mobil worth $10.2 billion and the next is Procter Gamble Co. worth $9.54 billion, with 57,851 shares owned.

Currently, Old Point Trust & Financial Services N A's portfolio is worth at least $258 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 Old Point Trust & Financial Services N A

The Old Point Trust & Financial Services N A office and employees reside in Newport News, Virginia. According to the last 13-F report filed with the SEC, Eric Jr. serves as the CEO/President at Old Point Trust & Financial Services N A.

Recent trades

In the most recent 13F filing, Old Point Trust & Financial Services N A revealed that it had opened a new position in Ge Vernova Llc Com and bought 2,176 shares worth $373 million.

The investment fund also strengthened its position in Accenture plc by buying 798 additional shares. This makes their stake in Accenture plc total 27,324 shares worth $8.29 billion. Accenture plc dropped approximately 0.1% in the past year.

On the other hand, there are companies that Old Point Trust & Financial Services N A is getting rid of from its portfolio. Old Point Trust & Financial Services N A closed its position in Stellantis Nv on 13th August 2024. It sold the previously owned 1,103 shares for $31.2 million. Eric Jr. also disclosed a decreased stake in Microsoft by approximately 0.1%. This leaves the value of the investment at $17.6 billion and 39,460 shares.

One of the smaller hedge funds

The two most similar investment funds to Old Point Trust & Financial Services N A are Parisi Gray Wealth Management and Nixon Capital. They manage $258 billion and $257 billion respectively.


Eric Jr. investment strategy

Old Point Trust & Financial Services N A’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 17.6% of the total portfolio value. The fund focuses on investments in the United States as 56.3% 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 46% of the total holdings value. On the other hand, small-cap stocks make up only 3.3% of the portfolio. The average market cap of the portfolio companies is close to $95.1 billion.

The complete list of Old Point Trust & Financial Services N A trades based on 13F SEC filings

These positions were updated on August 13th 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
6.88%
39,460
$17,636,647,000 6.84%
Apple Inc
7.89%
53,736
$11,317,877,000 4.39%
Exxon Mobil Corp.
1.02%
88,813
$10,224,153,000 3.97%
Procter Gamble Co.
5.31%
57,851
$9,540,787,000 3.70%
Conocophillips
10.52%
76,625
$8,764,368,000 3.40%
Pepsico Inc
2.23%
52,033
$8,581,803,000 3.33%
Accenture plc
3.01%
27,324
$8,290,375,000 3.22%
AMGEN Inc.
7.40%
25,634
$8,009,343,000 3.11%
Johnson Johnson
3.51%
50,614
$7,397,742,000 2.87%
Truist Financial Corporation
5.99%
181,784
$7,062,309,000 2.74%
RTX Corp
12.94%
67,960
$6,822,504,000 2.65%
Blackstone Inc
17.68%
52,510
$6,500,738,000 2.52%
Amazon.com Inc.
2.44%
33,596
$6,492,427,000 2.52%
Cisco Systems, Inc.
2.58%
133,451
$6,340,257,000 2.46%
The Southern Co.
3.80%
77,373
$6,001,824,000 2.33%
NextEra Energy Inc
2.92%
76,483
$5,415,761,000 2.10%
Ecolab, Inc.
10.11%
21,728
$5,171,264,000 2.01%
Norfolk Southern Corp.
6.42%
21,467
$4,608,750,000 1.79%
Enbridge Inc
15.35%
124,928
$4,446,188,000 1.72%
Kinder Morgan Inc
13.51%
214,525
$4,262,612,000 1.65%
Lockheed Martin Corp.
10.87%
8,604
$4,018,928,000 1.56%
Old Point Financial Corporatio
1.16%
263,562
$3,866,455,000 1.50%
Verizon Communications Inc
0.06%
90,928
$3,749,871,000 1.45%
Intel Corp.
11.25%
119,230
$3,692,553,000 1.43%
Palantir Technologies Inc - A
6.23%
133,899
$3,391,662,000 1.32%
Marathon Oil Corporation
0.40%
114,125
$3,271,964,000 1.27%
United Parcel Service, Inc.
0.49%
22,556
$3,086,789,000 1.20%
Dominion Energy Inc
17.78%
61,330
$3,005,170,000 1.17%
Alphabet Inc
8.52%
16,045
$2,922,597,000 1.13%
International Business Machine
11.35%
16,719
$2,891,551,000 1.12%
Sysco Corp.
1.47%
36,493
$2,605,235,000 1.01%
Eaton Corp Plc
3.82%
8,304
$2,603,719,000 1.01%
Hewlett Packard Enterprise Co
21.19%
104,680
$2,216,076,000 0.86%
Weyerhaeuser Co.
1.54%
75,005
$2,129,392,000 0.83%
Merck Co Inc New
2.14%
17,110
$2,118,218,000 0.82%
Yum! Brands Inc
7.27%
15,302
$2,026,903,000 0.79%
Target Corp
13.13%
12,897
$1,909,271,000 0.74%
Pfizer Inc.
1.88%
65,303
$1,827,178,000 0.71%
Coca-Cola Co
0.07%
25,433
$1,618,810,000 0.63%
Becton Dickinson Co
No change
6,771
$1,582,450,000 0.61%
Visa Inc - Class A Shares
23.79%
5,890
$1,545,948,000 0.60%
Royal Bk Cda Montreal Que Com
40.43%
14,000
$1,489,320,000 0.58%
Ulta Beauty Inc
90.59%
3,442
$1,328,165,000 0.52%
General Electric Co Com
10.90%
8,008
$1,273,032,000 0.49%
Philip Morris International In
0.55%
12,360
$1,252,439,000 0.49%
Chevron Corp.
10.61%
7,911
$1,237,439,000 0.48%
Baker Hughes Co
14.59%
33,947
$1,193,916,000 0.46%
Honeywell International Inc
No change
5,490
$1,172,335,000 0.45%
Marriott International, Inc.
12.24%
4,675
$1,130,275,000 0.44%
T. Rowe Price Group Inc.
25.17%
9,715
$1,120,237,000 0.43%
Marathon Petroleum Corp
4.10%
6,425
$1,114,609,000 0.43%
Kimberly-Clark Corp.
9.93%
7,477
$1,033,321,000 0.40%
Berkshire Hathaway Inc Cl B Ne
1.19%
2,483
$1,010,084,000 0.39%
NVIDIA Corp
797.73%
7,900
$975,966,000 0.38%
Agilent Technologies Inc.
12.51%
7,376
$956,151,000 0.37%
Jp Morgan Chase Co
4.82%
4,640
$938,486,000 0.36%
Salesforce Inc
67.30%
3,602
$926,074,000 0.36%
Elevance Health Inc
15.44%
1,682
$911,409,000 0.35%
Devon Energy Corp.
5.72%
18,125
$859,125,000 0.33%
Deere Co
57.45%
2,176
$813,019,000 0.32%
Bank Of America Corp.
No change
20,315
$807,928,000 0.31%
Chubb Corp
53.38%
3,152
$804,012,000 0.31%
Walt Disney Co/the
4.71%
7,977
$792,036,000 0.31%
Oracle Corp.
2.27%
5,558
$784,790,000 0.30%
Walmart Inc
4.93%
10,922
$739,529,000 0.29%
First Solar Inc
32.47%
3,140
$707,944,000 0.27%
Wr Berkley Corp
83.60%
8,372
$657,872,000 0.26%
Townebank
2.28%
22,872
$623,720,000 0.24%
Phillips 66
2.27%
4,309
$608,302,000 0.24%
Spdr Gold Trust
No change
2,760
$593,428,000 0.23%
Altria Group Inc.
0.52%
12,849
$585,272,000 0.23%
Bristol-Myers Squibb Co.
14.50%
13,981
$580,631,000 0.23%
Hershey Company
15.78%
3,082
$566,564,000 0.22%
Baxter International Inc.
26.17%
16,172
$540,953,000 0.21%
Fox Corp - Class B
13.29%
16,527
$529,195,000 0.21%
PPG Industries, Inc.
No change
4,050
$509,855,000 0.20%
Genuine Parts Co.
242.06%
3,660
$506,251,000 0.20%
Att Inc
6.35%
25,799
$493,019,000 0.19%
Analog Devices Inc.
6.44%
2,035
$464,509,000 0.18%
CSX Corp.
79.88%
13,700
$458,265,000 0.18%
Home Depot, Inc.
3.72%
1,294
$445,447,000 0.17%
Abbott Laboratories
No change
4,155
$431,746,000 0.17%
Caterpillar Inc.
No change
1,270
$423,037,000 0.16%
Mondelez International Inc.
No change
6,060
$396,566,000 0.15%
Cbre Group Inc
29.38%
4,333
$386,114,000 0.15%
Meta Platforms Inc
No change
760
$383,207,000 0.15%
Ge Vernova Llc Com
Opened
2,176
$373,206,000 0.14%
Qualcomm, Inc.
No change
1,736
$345,776,000 0.13%
3M Co.
5.71%
3,302
$337,431,000 0.13%
Abbvie Inc
No change
1,949
$334,292,000 0.13%
Archer Daniels Midland Co.
1.87%
5,446
$329,211,000 0.13%
Danaher Corp.
3.73%
1,291
$322,556,000 0.13%
Nike, Inc.
No change
4,174
$314,594,000 0.12%
United Health Group Inc
No change
595
$303,010,000 0.12%
Mcdonalds Corp
No change
1,164
$296,634,000 0.12%
Costco Wholesale Corp
No change
344
$292,397,000 0.11%
Valero Energy Corp.
No change
1,843
$288,909,000 0.11%
Boeing Co.
19.79%
1,581
$287,758,000 0.11%
Illinois Tool Works, Inc.
5.18%
1,209
$286,485,000 0.11%
Goldman Sachs Group, Inc.
No change
598
$270,487,000 0.10%
Advanced Micro Devics
No change
1,610
$261,158,000 0.10%
Clorox Co.
No change
1,899
$259,157,000 0.10%
Lowes Companies
No change
1,074
$236,774,000 0.09%
Mosaic Co/the
912.50%
8,100
$234,090,000 0.09%
Colgate-Palmolive Co.
No change
2,091
$202,911,000 0.08%
Albemarle Corp.
7.56%
2,080
$198,682,000 0.08%
Darden Restaurants, Inc.
No change
1,200
$181,584,000 0.07%
Tesla Inc
No change
915
$181,060,000 0.07%
Lilly (eli) Co.
No change
188
$170,211,000 0.07%
Franklin Va Tax Free Income Fu
No change
16,667
$166,504,000 0.06%
Federal Rlty Invt Tr New
13.40%
1,616
$163,168,000 0.06%
Dollar Tree Inc
6.25%
1,500
$160,155,000 0.06%
Canadian Pacific Kansas City L
20.00%
2,000
$157,460,000 0.06%
Waste Management, Inc.
6.77%
647
$138,031,000 0.05%
Walgreens Boots Alliance Inc
30.61%
11,221
$135,718,000 0.05%
Interpublic Group Cos Inc
187.97%
4,596
$133,698,000 0.05%
Ge Healthcare Technologies Inc
0.12%
1,690
$131,685,000 0.05%
Starbucks Corp.
No change
1,673
$130,243,000 0.05%
Cigna Group (The)
No change
385
$127,269,000 0.05%
CVS Health Corp
No change
2,116
$124,971,000 0.05%
Msc Industrial Direct Co-a
No change
1,500
$118,965,000 0.05%
Mfs Virginia Muni Bond Fund-a
No change
11,445
$117,768,000 0.05%
Stryker Corp.
No change
332
$112,963,000 0.04%
Duke Energy Corp New Com
1.90%
1,082
$108,449,000 0.04%
Northrop Grumman Corp Com
21.27%
248
$108,116,000 0.04%
Prologis Inc
No change
932
$104,673,000 0.04%
Church Dwight Co Inc
No change
1,000
$103,680,000 0.04%
Palo Alto Networks Inc
No change
300
$101,703,000 0.04%
VICI Properties Inc
Opened
3,500
$100,240,000 0.04%
Huntington Ingalls Inds Inc
9.98%
388
$95,576,000 0.04%
Astrazeneca Plc-spons Adr
7.55%
1,225
$95,538,000 0.04%
Tractor Supply Co.
No change
345
$93,150,000 0.04%
Wabtec Corp Com
No change
586
$92,617,000 0.04%
Travelers Companies Inc/the
No change
420
$85,403,000 0.03%
Aflac Inc.
No change
943
$84,219,000 0.03%
Mastercard Inc - Class A
No change
185
$81,615,000 0.03%
Fedex Corp
No change
250
$74,960,000 0.03%
Sony Corporation.
No change
880
$74,756,000 0.03%
Constellation Energy Corporati
No change
366
$73,299,000 0.03%
American Water Works Co. Inc.
No change
557
$71,942,000 0.03%
Wells Fargo Co New
No change
1,183
$70,258,000 0.03%
American Express Co.
No change
302
$69,928,000 0.03%
Union Pacific Corp.
12.81%
279
$63,127,000 0.02%
Automatic Data Processing Inc.
No change
262
$62,537,000 0.02%
Global Payments, Inc.
No change
600
$58,020,000 0.02%
Terex Corp.
No change
1,054
$57,801,000 0.02%
Washington Federal Inc
No change
2,020
$57,732,000 0.02%
Zoetis Inc
No change
316
$54,782,000 0.02%
WestRock Co
No change
1,084
$54,482,000 0.02%
Public Storage
No change
185
$53,215,000 0.02%
Ishares Silver Trust
No change
1,925
$51,147,000 0.02%
Shell Plc Adr
71.80%
701
$50,598,000 0.02%
Parker-Hannifin Corp.
No change
100
$50,581,000 0.02%
Hancock Holding Co
No change
1,000
$47,830,000 0.02%
Capital One Financial Corp.
No change
344
$47,627,000 0.02%
Solventum Corp Com
Opened
873
$46,164,000 0.02%
Simon Property Group, Inc.
45.45%
300
$45,540,000 0.02%
Alphabet Inc
No change
240
$44,021,000 0.02%
Linde Plc.
No change
95
$41,687,000 0.02%
Crowdstrike Holdings Inc - A
33.33%
102
$39,085,000 0.02%
Fulton Financial Corp.
No change
2,280
$38,714,000 0.02%
Dow Inc
No change
719
$38,143,000 0.01%
Exelon Corp.
No change
1,100
$38,071,000 0.01%
M T Bank Corp
No change
250
$37,840,000 0.01%
Entergy Corp.
No change
350
$37,450,000 0.01%
Wells Fargo Company
No change
2,000
$37,360,000 0.01%
Huntington Bancshares 4.5 Pfd
No change
2,000
$35,740,000 0.01%
General Motors Company
No change
750
$34,845,000 0.01%
Capital One Financial Co 4.25
No change
2,000
$34,120,000 0.01%
C F Financial Corporation
No change
700
$33,740,000 0.01%
Shopify Inc
No change
500
$33,025,000 0.01%
Corteva Inc
No change
591
$31,879,000 0.01%
Gsk Plc Spon Ads Each Rep 2 Or
No change
828
$31,878,000 0.01%
Netflix Inc.
No change
47
$31,719,000 0.01%
Chipotle Mexican Grill
4,900.00%
500
$31,325,000 0.01%
Stellantis Nv
Closed
1,103
$31,215,000
Taiwan Semiconductor - Sp Adr
No change
177
$30,764,000 0.01%
Coca Cola Bottling Co Cons
72.00%
28
$30,380,000 0.01%
Cincinnati Financial Corp.
No change
250
$29,525,000 0.01%
Brighthouse Financial Inc 5 3/
No change
1,500
$29,370,000 0.01%
Chesapeake Financial Shs, Inc.
No change
1,728
$29,265,000 0.01%
Ryman Hospitality Pptys Inc
Closed
250
$28,903,000
Comcast Corp Cl A
No change
738
$28,900,000 0.01%
Graphic Packaging Holding Co
No change
1,086
$28,464,000 0.01%
Ziff Davis Inc
No change
500
$27,525,000 0.01%
AeroVironment Inc.
No change
150
$27,324,000 0.01%
Regeneron Pharmaceutical
No change
25
$26,276,000 0.01%
Vulcan Materials Co
No change
105
$26,111,000 0.01%
Koninklijke Philips Nv
3.42%
1,029
$25,931,000 0.01%
Oneok Inc.
No change
316
$25,770,000 0.01%
Constellation Brands Inc-a
No change
100
$25,728,000 0.01%
SouthState Corporation
Closed
300
$25,509,000
General Dynamics Corp.
No change
87
$25,242,000 0.01%
Dell Technologies Inc
No change
182
$25,100,000 0.01%
Bank Of America Corp 6 Pfd St
No change
1,000
$25,009,000 0.01%
Angel Oak Financial Strat Inc
No change
2,000
$24,740,000 0.01%
Alliance Resource Partners
No change
1,000
$24,460,000 0.01%
Trade Desk Inc
No change
250
$24,418,000 0.01%
Energy Transfer Equity Lp
No change
1,500
$24,330,000 0.01%
United Continental Holdings In
No change
500
$24,330,000 0.01%
Otis Worldwide Corporation
No change
250
$24,065,000 0.01%
Royal Caribbean Cruises
No change
150
$23,915,000 0.01%
Moderna Inc
No change
200
$23,750,000 0.01%
Delta Air Lines, Inc.
No change
500
$23,720,000 0.01%
Main Str Cap Corp
Closed
500
$23,655,000
Blackrock Inc.
No change
30
$23,620,000 0.01%
Zimmer Biomet Holdings Inc
No change
217
$23,551,000 0.01%
iRhythm Technologies Inc
Closed
200
$23,200,000
DraftKings Inc.
No change
600
$22,902,000 0.01%
Adobe Sys Inc
No change
41
$22,777,000 0.01%
Anglogold Ashanti Plc Ord
No change
900
$22,617,000 0.01%
Iron Mtn Inc New
No change
250
$22,405,000 0.01%
Consolidated Edison, Inc.
No change
250
$22,355,000 0.01%
Valley National Bancorp
Closed
2,784
$22,161,000
Williams Cos Inc
No change
519
$22,058,000 0.01%
Hilton Worldwide Holdings In
No change
100
$21,820,000 0.01%
Thermo Fisher Scientific Inc.
No change
39
$21,567,000 0.01%
Transocean Ltd
No change
4,000
$21,400,000 0.01%
Lam Research Corp.
No change
20
$21,297,000 0.01%
Intuit Inc
No change
32
$21,031,000 0.01%
Asml Holding Nv-ny Reg Shs
No change
20
$20,455,000 0.01%
Kratos Defense Sec Solutions
No change
1,000
$20,010,000 0.01%
Bank Of America Corp Pfd
No change
900
$19,678,000 0.01%
Kraft Heinz Co
No change
594
$19,139,000 0.01%
British American Tob-sp Adr
Closed
619
$18,880,000
Gilead Sciences, Inc.
No change
275
$18,868,000 0.01%
National Health Invs Inc
Closed
300
$18,849,000
Autozon Inc
No change
6
$17,785,000 0.01%
Macerich Co.
Closed
1,000
$17,230,000
Morgan Stanley
No change
174
$16,911,000 0.01%
Coinbase Global Inc Cl A
No change
75
$16,667,000 0.01%
Invesco Ltd
Closed
1,000
$16,590,000
Embecta Corporation Com
No change
1,297
$16,213,000 0.01%
BCE Inc
No change
500
$16,185,000 0.01%
Stanley Black Decker Inc
No change
200
$15,978,000 0.01%
Sabine Rty Tr Unit Ben Int
Closed
250
$15,898,000
Paychex Inc.
No change
134
$15,887,000 0.01%
Corning, Inc.
19.88%
403
$15,657,000 0.01%
Apollo Global Management Inc
No change
132
$15,585,000 0.01%
Fortune Brands Innovations Inc
No change
239
$15,521,000 0.01%
Boston Properties Inc
No change
250
$15,390,000 0.01%
Hyatt Hotels Corporation
No change
100
$15,192,000 0.01%
MetLife, Inc.
No change
215
$15,091,000 0.01%
Barrick Gold Corp.
No change
900
$15,012,000 0.01%
Tanger Inc.
Closed
500
$14,765,000
Middleby Corp.
No change
120
$14,713,000 0.01%
Tyson Foods, Inc.
Closed
250
$14,683,000
Hexcel Corp.
Closed
200
$14,570,000
Rocket Cos Inc Cl A
Closed
1,000
$14,550,000
Norwegian Cruise
Opened
750
$14,093,000 0.01%
Discover Financial Services
No change
107
$13,997,000 0.01%
Cognizant Tech Solutions-a
No change
200
$13,600,000 0.01%
VF Corp.
No change
1,000
$13,500,000 0.01%
Factset Research Systems Inc.
No change
33
$13,473,000 0.01%
American International Group Inc
No change
179
$13,289,000 0.01%
Realty Income Corp.
No change
250
$13,205,000 0.01%
Sarepta Therapeutics Inc
Closed
100
$12,946,000
Kroger Co.
No change
254
$12,682,000 0.00%
General Mills, Inc.
No change
200
$12,652,000 0.00%
Kite Rlty Group Tr New
Closed
561
$12,162,000
Emerson Electric Co.
No change
110
$12,118,000 0.00%
Compass Diversified Sh Ben Int
Closed
500
$12,035,000
Applied Materials Inc.
No change
50
$11,800,000 0.00%
Synchrony Financial
No change
250
$11,798,000 0.00%
Prudential Financial Inc.
No change
100
$11,719,000 0.00%
TC Energy Corporation
68.09%
300
$11,370,000 0.00%
Broadcom Inc
No change
7
$11,239,000 0.00%
Hdfc Bk Ltd Adr Repstg
Closed
200
$11,194,000
TJX Companies, Inc.
No change
100
$11,010,000 0.00%
Harley-Davidson, Inc.
Closed
250
$10,935,000
Southern Copper Corporation
1.00%
101
$10,882,000 0.00%
Zions Bancorp Na
Closed
250
$10,850,000
Sl Green Rlty Corp
Closed
196
$10,805,000
Intercontinental Hotels Grp Pl
Closed
101
$10,672,000
Epr Pptys Sh Ben Int
Closed
250
$10,613,000
Helmerich Payne Inc
Closed
250
$10,515,000
Strategic Ed Inc
Closed
100
$10,412,000
Hess Corporation
No change
70
$10,326,000 0.00%
DuPont de Nemours Inc
No change
128
$10,303,000 0.00%
Medtronic Plc
No change
129
$10,154,000 0.00%
Halliburton Co.
No change
300
$10,134,000 0.00%
Firstenergy Corp.
No change
263
$10,065,000 0.00%
Unilever Plc Sponsored Adr
88.62%
183
$10,063,000 0.00%
Suncor Energy, Inc.
Closed
269
$9,929,000
Hsbc Holdings Plc-spons Adr
Closed
250
$9,840,000
Singapore Airlines Ltd Adr
Closed
1,000
$9,484,000
American Airls Group Inc
Closed
600
$9,210,000
Primis Financial Corp
24.98%
874
$9,160,000 0.00%
T Rowe Price Va Tax-free Bond
No change
803
$9,012,000 0.00%
Tootsie Roll Inds
Closed
279
$8,936,000
Bj's Wholesale Club Holdings
No change
100
$8,784,000 0.00%
Kellanova Co
No change
150
$8,652,000 0.00%
Charles Schwab Corp.
No change
116
$8,548,000 0.00%
Lamb Weston Holdings Inc
No change
100
$8,408,000 0.00%
Kinross Gold Corp.
No change
1,000
$8,320,000 0.00%
Bhp Billiton Ltd Spon Adr
No change
143
$8,164,000 0.00%
Immunovant Inc
Closed
250
$8,078,000
Carriage Services, Inc.
No change
300
$8,052,000 0.00%
Ingevity Corp
No change
180
$7,868,000 0.00%
Wyndham Hotels Resorts Inc
Closed
102
$7,829,000
Totalenergies Se Spons Adr
Closed
112
$7,709,000
Sp Global Inc
Closed
18
$7,658,000
Krispy Kreme, Inc.
Closed
500
$7,618,000
Wesbanco, Inc.
Closed
250
$7,453,000
Metavesco Inc
1.41%
140,310
$7,450,000 0.00%
Newmont Mining
No change
176
$7,369,000 0.00%
Site Ctrs Corp New
Closed
500
$7,325,000
Uber Technologies Inc
50.00%
100
$7,268,000 0.00%
CIENA Corp.
No change
150
$7,227,000 0.00%
Southwest Airlines Co
No change
250
$7,153,000 0.00%
PayPal Holdings Inc
No change
123
$7,138,000 0.00%
Atlantic Union Bankshares Corp
No change
217
$7,128,000 0.00%
Conagra Brands Inc
No change
250
$7,105,000 0.00%
Geo Group, Inc.
Closed
500
$7,060,000
Teva Pharmaceutical Spons Adr
Closed
500
$7,055,000
Haleon Plc - Adr
No change
836
$6,905,000 0.00%
Pilgrims Pride Corp New
Closed
200
$6,864,000
Rithm Capital Corp
Closed
605
$6,752,000
Icici Bank Ltd - Spon Adr
Closed
250
$6,603,000
Stellus Cap Invt Corp
Closed
500
$6,540,000
Citigroup Inc
No change
100
$6,346,000 0.00%
Occidental Petroleum Corp.
No change
100
$6,303,000 0.00%
L3Harris Technologies Inc
No change
28
$6,288,000 0.00%
Mirum Pharmaceuticals Inc
Closed
250
$6,280,000
Dave Busters Entmt Inc
Closed
100
$6,260,000
Brookfield Corp Vtg Shs Cl A
No change
150
$6,231,000 0.00%
Matthews Intl Corp-class A
No change
240
$6,012,000 0.00%
Coty Inc
Closed
500
$5,980,000
Zoom Video Communications Inc
No change
100
$5,919,000 0.00%
Nordic American Tanker Shippin
Closed
1,500
$5,880,000
Brixmor Ppty Group Inc
Closed
250
$5,863,000
Performance Food Group Company
No change
88
$5,818,000 0.00%
Sempra Energy
No change
76
$5,781,000 0.00%
Boston Capital Tax Cred-ser 3
No change
1,250
$5,742,000 0.00%
Franklin Res Inc
Closed
200
$5,622,000
United Parks Resorts Inc
Closed
100
$5,621,000
Nestle S A Sponsored Adr Repst
No change
53
$5,410,000 0.00%
Gladstone Cap Corp
Closed
500
$5,365,000
Lumen Technologies, Inc.
39.93%
4,814
$5,295,000 0.00%
Universal Ins Hldgs Inc
Closed
250
$5,080,000
Robinhood Mkts Inc Cl A
Closed
250
$5,033,000
Johnson Ctls Intl Plc Com
Closed
77
$5,030,000
Blackstone Mortgage Trust Inc
Closed
250
$4,978,000
Kimco Rlty Corp
Closed
250
$4,903,000
Sanofi-adr
No change
100
$4,852,000 0.00%
Monster Beverage Corp.
No change
96
$4,795,000 0.00%
Crown Castle Inc
Closed
45
$4,762,000
Schlumberger Ltd.
58.16%
100
$4,718,000 0.00%
Healthpeak Pptys Inc
Closed
250
$4,688,000
Saratoga Invt Corp New
Closed
200
$4,640,000
Brinks Co
Closed
50
$4,619,000
Hercules Cap Inc
Closed
250
$4,613,000
Campbell Soup Co.
No change
100
$4,519,000 0.00%
Array Technologies, Inc.
Closed
300
$4,473,000
Sachem Cap Corp
Closed
1,000
$4,460,000
Anheuser Busch Inbev Sa/nv Spo
Closed
73
$4,437,000
Park Hotels Resorts Inc
Closed
250
$4,373,000
Urban Edge Pptys
Closed
250
$4,318,000
Bloomin Brands Inc
Closed
150
$4,302,000
Textron Inc.
No change
50
$4,293,000 0.00%
Pioneer Natural Resources Co.
Closed
16
$4,200,000
Euronav NV
Closed
250
$4,158,000
Gap, Inc.
Closed
150
$4,133,000
Apartment Invt Mgmt Co Cl A
Closed
500
$4,095,000
Carnival Corp.
Closed
250
$4,085,000
Snowflake Inc.
Closed
25
$4,040,000
Volkswagen A G-unspon Adr
Closed
263
$4,022,000
Pembina Pipeline Corporation
Closed
113
$3,993,000
ARMOUR Residential REIT Inc
Closed
200
$3,954,000
Pebblebrook Hotel Tr
Closed
250
$3,853,000
Iovance Biotherapeutics Inc
Closed
250
$3,705,000
Pldt Inc Spon Adr
Closed
150
$3,699,000
PaySign, Inc.
Closed
1,000
$3,660,000
Cracker Barrel Old Ctry Store
Closed
50
$3,637,000
Bp Plc Sponsored Adr
96.56%
100
$3,610,000 0.00%
Stag Indl Inc
No change
100
$3,606,000 0.00%
Alibaba Group Holding-sp Adr
66.67%
50
$3,600,000 0.00%
Antero Midstream Corp
Closed
250
$3,515,000
Western Union Company
Closed
250
$3,495,000
Gladstone Coml Corp
Closed
250
$3,460,000
Service Pptys Tr
Closed
500
$3,390,000
Ford Motor Co.
Closed
254
$3,373,000
Gladstone Ld Corp
Closed
250
$3,335,000
MFA Financial Inc
Closed
290
$3,309,000
SoFi Technologies, Inc.
No change
500
$3,305,000 0.00%
Adma Biologics Inc
Closed
500
$3,300,000
Proassurance Corporation
Closed
250
$3,215,000
Lincoln National Corp.
Closed
100
$3,193,000
UiPath, Inc.
No change
250
$3,170,000 0.00%
Arlo Technologies Inc
Closed
250
$3,163,000
Pan Amern Silver Corp
No change
159
$3,161,000 0.00%
Proto Labs Inc
No change
100
$3,089,000 0.00%
Roku Inc
No change
50
$2,997,000 0.00%
Isoray Inc
Closed
2,500
$2,975,000
Verrica Pharmaceuticals Inc
Closed
500
$2,960,000
Xtant Med Hldgs Inc New
Closed
2,500
$2,925,000
Honest Co Inc
No change
1,000
$2,920,000 0.00%
Kohls Corp
Closed
100
$2,915,000
Goosehead Ins Inc Cl A
No change
50
$2,872,000 0.00%
Foot Locker Inc
Closed
100
$2,850,000
EchoStar Corp
Closed
200
$2,850,000
News Corp - Class B (new)
No change
100
$2,839,000 0.00%
QuantumScape Corporation
Closed
450
$2,831,000
Hawaiian Electric Industries I
Closed
250
$2,818,000
PPL Corp
Closed
100
$2,753,000
Cheesecake Factory Inc.
Closed
75
$2,711,000
Hecla Mining Co.
No change
557
$2,701,000 0.00%
DocuSign Inc
No change
50
$2,675,000 0.00%
PowerFleet Inc
Closed
500
$2,670,000
Armada Hoffler Pptys Inc
Closed
250
$2,600,000
Invesco Mtg Cap Inc New
No change
274
$2,567,000 0.00%
Renault Sa-unsp Adr
Closed
250
$2,527,000
Dun Bradstreet Hldgs Inc
Closed
250
$2,510,000
AGNC Investment Corp.
Closed
250
$2,475,000
Annaly Cap Mgmt Inc New
Closed
125
$2,461,000
Caixabank Adr
Closed
1,500
$2,426,000
Spirit Airls Inc
Closed
500
$2,420,000
Paramount Global - Class B
Closed
202
$2,378,000
ADT Inc
Closed
350
$2,352,000
Chimera Investment Corp
Closed
500
$2,305,000
Lemonade, Inc.
No change
139
$2,294,000 0.00%
Viatris Inc.
No change
213
$2,264,000 0.00%
Allogene Therapeutics Inc
Closed
500
$2,235,000
Ideal Pwr Inc New
Closed
250
$2,225,000
Under Armour Inc
Closed
300
$2,214,000
Fastly Inc
No change
300
$2,211,000 0.00%
Agnico Eagle Mines Ltd
Closed
37
$2,207,000
Five9 Inc
No change
50
$2,205,000 0.00%
Peloton Interactive Inc
Closed
500
$2,143,000
Clear Secure, Inc.
Closed
100
$2,127,000
Chimera Investment Corp
Opened
166
$2,125,000 0.00%
Magna International Inc.
No change
50
$2,095,000 0.00%
SNDL Inc
Closed
1,000
$2,005,000
Greenwich LifeSciences, Inc.
Closed
100
$1,994,000
Acco Brands Corporation
No change
410
$1,927,000 0.00%
Didi Global In Spon Ads
Closed
500
$1,915,000
Yum China Holdings Inc
Closed
48
$1,910,000
Fifth Third Bancorp
No change
50
$1,825,000 0.00%
Penn Entmt Inc
Closed
100
$1,821,000
Nio Inc Ads
Closed
400
$1,800,000
Beyond Inc
Closed
50
$1,796,000
Charter Communications Inc.
No change
6
$1,794,000 0.00%
Under Armour Inc
Closed
250
$1,785,000
Talkspace Inc
Closed
500
$1,785,000
Nokia Corp Sponsored Adr
Closed
500
$1,770,000
Plug Pwr Inc New
Closed
500
$1,720,000
Two Hbrs Invt Corp
Closed
125
$1,655,000
Root, Inc.
Closed
27
$1,649,000
Kyndryl Holdings Inc
57.14%
60
$1,579,000 0.00%
Enel Chile Sa Spon Adr
Closed
500
$1,525,000
Teladoc Health Inc
Closed
100
$1,510,000
GlycoMimetics Inc
Closed
500
$1,500,000
GoodRx Holdings, Inc.
Closed
200
$1,420,000
Brookfield Asset Mgmt Ltd Cl A
No change
37
$1,408,000 0.00%
Nikola Corporation
Closed
1,329
$1,382,000
BlackBerry Ltd
Closed
500
$1,380,000
Prospect Cap Corp
Closed
250
$1,380,000
Lightpath Techs Inc Cl A New
Closed
1,000
$1,380,000
Ericsson - Sp Adr
Closed
250
$1,378,000
Sunrun Inc
Closed
100
$1,318,000
B2gold Corp
Closed
500
$1,305,000
Sirius XM Holdings Inc
52.08%
460
$1,302,000 0.00%
Creative Realities Inc
Closed
333
$1,255,000
Lument Fin Tr Inc
Closed
500
$1,245,000
Corsair Gaming, Inc.
Closed
100
$1,234,000
Yalla Group Ltd
Closed
250
$1,203,000
Snap Inc-a
Closed
100
$1,148,000
Amc Entertainment Hlds-cl A
Closed
303
$1,127,000
Luminar Technologies Inc
No change
750
$1,118,000 0.00%
Franklin Bsp Rlty Tr Inc
Closed
82
$1,096,000
Axa Adr
No change
32
$1,048,000 0.00%
Ocuphire Pharma, Inc.
Closed
500
$1,005,000
Just Eat Takeaway Com N V Spon
Closed
335
$994,000
Federal Home Ln Mtg Corp Perp
No change
250
$938,000 0.00%
Synchronoss Tech Inc New
Closed
112
$935,000
Orchid Is Cap Inc New
Closed
100
$893,000
Stratasys Ltd
No change
100
$839,000 0.00%
Sunnova Energy International Inc
No change
150
$837,000 0.00%
Outbrain Inc
Closed
200
$790,000
Asana, Inc.
Closed
50
$775,000
Xpeng Inc - Adr
Closed
100
$768,000
Ginkgo Bioworks Hldgs Inc Cl A
Closed
642
$745,000
Organogenesis Holdings Inc.
Closed
250
$710,000
Wk Kellogg Co
Closed
37
$696,000
Fundamental Global Inc
Closed
500
$690,000
Cellectis S A Ads
Closed
250
$663,000
Tilray Brands Inc
Closed
250
$618,000
Gyre Therapeutics Inc
Closed
33
$577,000
Synopsys, Inc.
Closed
1
$572,000
CytomX Therapeutics Inc
Closed
250
$545,000
Ncr Atleos Corp
No change
19
$513,000 0.00%
Citizens Finl Group Inc
Closed
14
$508,000
SelectQuote, Inc.
Closed
250
$500,000
Ashford Hospitality Tr Inc
No change
500
$486,000 0.00%
Laird Superfood, Inc.
Closed
200
$480,000
Ncr Voyix Corp
No change
38
$469,000 0.00%
Atossa Therapeutics Inc
Closed
250
$450,000
Hyliion Hldgs Corp Cl A
Closed
250
$440,000
Organon Co
32.26%
21
$435,000 0.00%
Organigram Hldgs Inc New
No change
250
$385,000 0.00%
No transactions found in first 500 rows out of 585
Showing first 500 out of 585 holdings