First National Bank Of South Miami 13F annual report

First National Bank Of South Miami is an investment fund managing more than $124 billion ran by Barry Givner. There are currently 246 companies in Mr. Givner’s portfolio. The largest investments include Ishares Msci Eafe (mkt) and Microsoft, together worth $15.7 billion.

Limited to 30 biggest holdings

$124 billion Assets Under Management (AUM)

As of 5th July 2023, First National Bank Of South Miami’s top holding is 140,511 shares of Ishares Msci Eafe (mkt) currently worth over $10.2 billion and making up 8.2% of the portfolio value. In addition, the fund holds 16,044 shares of Microsoft worth $5.46 billion, whose value grew 39.4% in the past six months. The third-largest holding is Ishares Core Sp 500 (mkt) worth $4.63 billion and the next is Ishares Iboxx $ Invst Grade Crp worth $4.37 billion, with 40,385 shares owned.

Currently, First National Bank Of South Miami's portfolio is worth at least $124 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 First National Bank Of South Miami

The First National Bank Of South Miami office and employees reside in South Miami, Florida. According to the last 13-F report filed with the SEC, Barry Givner serves as the Executive Vice President Chief trust Officer at First National Bank Of South Miami.

Recent trades

In the most recent 13F filing, First National Bank Of South Miami revealed that it had opened a new position in Janus Henderson Mortgage and bought 3,739 shares worth $171 million.

The investment fund also strengthened its position in Vanguard Real Estate Etf by buying 3,597 additional shares. This makes their stake in Vanguard Real Estate Etf total 29,800 shares worth $2.49 billion.

On the other hand, there are companies that First National Bank Of South Miami is getting rid of from its portfolio. First National Bank Of South Miami closed its position in Medtronic Plc on 12th July 2023. It sold the previously owned 5,285 shares for $426 million. Barry Givner also disclosed a decreased stake in Ishares Msci Eafe (mkt) by approximately 0.1%. This leaves the value of the investment at $10.2 billion and 140,511 shares.

One of the smallest hedge funds

The two most similar investment funds to First National Bank Of South Miami are Hilltop Wealth Advisors and Aj Advisors. They manage $124 billion and $124 billion respectively.


Barry Givner investment strategy

First National Bank Of South Miami’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 10.0% of the total portfolio value. The fund focuses on investments in the United States as 54.5% 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 52% of the total holdings value. On the other hand, small-cap stocks make up only 2.0% of the portfolio. The average market cap of the portfolio companies is close to $133 billion.

The complete list of First National Bank Of South Miami trades based on 13F SEC filings

These positions were updated on July 12th 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
Ishares Msci Eafe (mkt)
4.06%
140,511
$10,187,078,000 8.19%
Microsoft Corporation
2.98%
16,044
$5,463,624,000 4.40%
Ishares Core Sp 500 (mkt)
0.84%
10,382
$4,627,361,000 3.72%
Ishares Iboxx $ Invst Grade Crp
1.65%
40,385
$4,367,233,000 3.51%
Vanguard Extended Market Index
1.05%
28,767
$4,281,391,000 3.44%
Ishares Core Sp Mid-cap (mkt)
2.62%
15,858
$4,146,546,000 3.34%
Ishares Short-term
1.51%
67,577
$3,390,336,000 2.73%
Vanguard Emerging Markets Stock
9.36%
76,058
$3,094,038,000 2.49%
Ishares Core Sp Small-cap (mkt)
2.09%
27,678
$2,758,112,000 2.22%
Ishares National Muni Bond Etf
No change
24,330
$2,596,738,000 2.09%
Vanguard Real Estate Etf
13.73%
29,800
$2,490,090,000 2.00%
Apple Inc
5.92%
11,771
$2,283,223,000 1.84%
Home Depot, Inc.
4.12%
6,393
$1,985,922,000 1.60%
Ishares Commodities Select
24.02%
68,073
$1,768,540,000 1.42%
Exxon Mobil Corp.
3.18%
16,218
$1,739,389,000 1.40%
Ishares Pfd Inc Securities Etf
0.81%
52,114
$1,611,883,000 1.30%
Jpmorgan Chase Co
4.95%
10,417
$1,515,046,000 1.22%
Ishares North American
1.72%
4,336
$1,499,866,000 1.21%
Technology Select Sector Spdrr
No change
8,383
$1,457,468,000 1.17%
Costco Wholesale Corp
2.21%
2,650
$1,426,706,000 1.15%
Alphabet Inc
3.41%
12,405
$1,499,340,000 1.21%
Johnson Johnson
0.42%
7,780
$1,287,747,000 1.04%
Pfizer Inc.
1.63%
33,612
$1,232,888,000 0.99%
Ishares Core Us Aggbd Bd Etf
3.44%
12,481
$1,222,512,000 0.98%
Vanguard Total Stock Market Etf
0.88%
5,519
$1,215,727,000 0.98%
Invesco Currencyshares
No change
11,125
$1,106,439,000 0.89%
Berkshire Hathaway Inc.
1.86%
3,174
$1,082,334,000 0.87%
NextEra Energy Inc
3.12%
14,554
$1,079,905,000 0.87%
Automatic Data Processing Inc.
1.34%
4,867
$1,069,721,000 0.86%
Amazon.com Inc.
2.95%
7,796
$1,016,289,000 0.82%
Ishares Sp Mid-cap 400 Value
6.56%
9,317
$998,129,000 0.80%
CSX Corp.
2.03%
29,028
$989,855,000 0.80%
iShares Short Treasury Bond ETF
No change
8,851
$977,595,000 0.79%
Att Inc
1.05%
60,803
$969,804,000 0.78%
United Parcel Service, Inc.
1.47%
5,401
$968,134,000 0.78%
Chevron Corp.
6.20%
5,978
$940,639,000 0.76%
Comcast Corp
7.14%
21,528
$894,491,000 0.72%
Eli Lilly Co
11.24%
1,895
$888,717,000 0.71%
Blackrock Inc.
8.70%
1,239
$856,326,000 0.69%
Darden Restaurants, Inc.
5.83%
5,105
$852,943,000 0.69%
Walmart Inc
4.34%
5,376
$845,001,000 0.68%
Oracle Corp.
14.49%
6,971
$830,175,000 0.67%
American Express Co.
14.05%
4,600
$801,319,000 0.64%
Emerson Electric Co.
6.38%
8,757
$791,544,000 0.64%
Philip Morris International Inc
6.96%
7,971
$778,130,000 0.63%
Procter Gamble Co
1.83%
4,895
$742,767,000 0.60%
Coca-Cola Co
4.98%
12,182
$733,602,000 0.59%
Duke Energy Corp.
3.47%
8,068
$724,024,000 0.58%
Bristol-Myers Squibb Co.
7.94%
11,148
$712,918,000 0.57%
Spdr Sp 500 (mkt)
11.75%
1,607
$712,349,000 0.57%
Unitedhealth Group Inc
5.45%
1,470
$706,541,000 0.57%
NVIDIA Corp
31.34%
1,650
$697,984,000 0.56%
Ishares Select Dividend (mkt)
0.52%
6,151
$696,911,000 0.56%
Cisco Systems, Inc.
8.33%
13,249
$685,505,000 0.55%
Verizon Communications Inc
2.81%
18,336
$681,916,000 0.55%
Ishares Sp Midcap 400 Growth
21.63%
8,802
$660,150,000 0.53%
Danaher Corp.
0.16%
2,533
$607,920,000 0.49%
Kimberly-Clark Corp.
4.67%
4,367
$602,906,000 0.49%
Meta Platforms Inc
6.13%
2,083
$597,780,000 0.48%
Abbvie Inc
7.17%
4,154
$559,671,000 0.45%
Southern Company
9.24%
7,947
$558,281,000 0.45%
Accenture plc
21.36%
1,484
$457,933,000 0.37%
Ishares Ibonds Dec 2023 Term
9.58%
17,634
$445,964,000 0.36%
Ishares Mbs (mkt)
33.86%
4,671
$435,643,000 0.35%
Merck Co Inc
4.54%
3,764
$434,328,000 0.35%
Elevance Health
0.21%
977
$434,073,000 0.35%
Pepsico Inc
0.17%
2,333
$432,118,000 0.35%
Medtronic Plc
Closed
5,285
$426,077,000
General Mills, Inc.
21.43%
5,500
$421,850,000 0.34%
Invesco Exchange Traded Fd Tr
Closed
2,725
$394,090,000
Ishares North American Tech
No change
970
$381,084,000 0.31%
International Business Machines Corp.
9.69%
2,816
$376,810,000 0.30%
General Dynamics Corp.
0.18%
1,680
$361,454,000 0.29%
Travelers Companies Inc.
3.35%
2,077
$360,693,000 0.29%
Fortinet Inc
7.68%
4,727
$357,313,000 0.29%
Pulte Group Inc
24.64%
4,588
$356,396,000 0.29%
Caci International Inc.
7.43%
1,034
$352,427,000 0.28%
Sp Global Inc
18.74%
863
$345,969,000 0.28%
Ishares Ibonds Dec 2024
No change
13,504
$332,468,000 0.27%
Ishares Russell 2000 (mkt)
0.17%
1,765
$330,533,000 0.27%
Vanguard Interm-tm Govt Bd Idx
16.08%
5,549
$325,503,000 0.26%
Valero Energy Corp.
3.67%
2,757
$323,399,000 0.26%
Cbre Group, Inc.
14.84%
3,969
$320,338,000 0.26%
Applied Materials Inc.
11.17%
2,211
$319,577,000 0.26%
Ishares Sp 500 Growth (mkt)
6.11%
4,532
$319,415,000 0.26%
Ishares Sp 500 Value (mkt)
4.39%
1,940
$312,709,000 0.25%
CVS Health Corp
6.97%
4,487
$310,185,000 0.25%
Progressive Corp.
16.67%
2,285
$302,467,000 0.24%
Mondelez International Inc.
No change
4,051
$295,480,000 0.24%
Ishares Sp Small-cap 600 Growth
40.96%
2,423
$278,476,000 0.22%
Phillips 66
4.67%
2,817
$268,687,000 0.22%
Lockheed Martin Corp.
11.66%
576
$265,179,000 0.21%
Eaton Corp Plc
13.47%
1,285
$258,415,000 0.21%
Genuine Parts Co.
8.48%
1,501
$254,017,000 0.20%
VanEck Vectors Biotech ETF
34.18%
1,598
$249,369,000 0.20%
Darling Ingredients Inc
27.73%
3,842
$245,083,000 0.20%
Gilead Sciences, Inc.
0.95%
3,134
$241,539,000 0.19%
Disney Walt Co
24.82%
2,677
$239,002,000 0.19%
Fastenal Co.
14.73%
4,001
$236,018,000 0.19%
Colgate-Palmolive Co.
No change
3,040
$234,203,000 0.19%
Steel Dynamics Inc.
20.99%
2,134
$232,457,000 0.19%
MetLife, Inc.
10.13%
4,082
$230,756,000 0.19%
Paccar Inc.
0.26%
2,737
$228,784,000 0.18%
Kinder Morgan Inc
No change
13,265
$228,424,000 0.18%
Conocophillips
30.02%
2,161
$223,900,000 0.18%
Consumer Discret Select Sector
No change
1,304
$221,433,000 0.18%
Vanguard Information Technology
No change
498
$220,196,000 0.18%
Starbucks Corp.
0.18%
2,210
$218,924,000 0.18%
Ishares Ibonds Dec 2025 Term
7.78%
8,953
$218,274,000 0.18%
Health Care Select Sector Spdrr
No change
1,591
$211,173,000 0.17%
Tesla Inc
221.60%
804
$210,463,000 0.17%
Citigroup Inc
14.22%
4,567
$210,265,000 0.17%
Spdr Bloomberg Barclays
No change
2,289
$210,176,000 0.17%
BP plc
12.52%
5,905
$208,387,000 0.17%
Bank Of America Corp.
11.38%
7,258
$208,232,000 0.17%
Caterpillar Inc.
22.03%
842
$207,173,000 0.17%
ON Semiconductor Corp.
173.31%
2,181
$206,280,000 0.17%
Industrial Select Sector Spdrr
No change
1,911
$205,090,000 0.16%
Allstate Corp (The)
14.92%
1,876
$204,559,000 0.16%
Walgreens Boots Alliance Inc
12.20%
7,139
$203,391,000 0.16%
Marriott International, Inc.
37.55%
1,099
$201,876,000 0.16%
Adobe Systems Incorporated
12.60%
411
$200,979,000 0.16%
Pnc Finl Svcs Group Inc
10.25%
1,594
$200,765,000 0.16%
Spdr Gold Shares (mkt)
No change
1,100
$196,097,000 0.16%
PPL Corp
10.23%
7,386
$195,434,000 0.16%
Target Corp
14.04%
1,457
$192,177,000 0.15%
NRG Energy Inc.
3.98%
5,048
$188,747,000 0.15%
Celanese Corp Del Com
30.44%
1,629
$188,642,000 0.15%
Paychex Inc.
13.36%
1,679
$187,831,000 0.15%
Vanguard Ftse Developed Markets
23.26%
4,064
$187,676,000 0.15%
Morgan Stanley
6.55%
2,196
$187,539,000 0.15%
Nutrien Ltd
0.82%
3,159
$186,540,000 0.15%
Toronto Dominion Bank Ontario
11.39%
2,940
$182,307,000 0.15%
Financial Select Sector Spdr
No change
5,239
$176,607,000 0.14%
Boeing Co.
24.70%
823
$173,786,000 0.14%
Janus Henderson Mortgage
Opened
3,739
$171,097,000 0.14%
Vanguard Lg-term Treasury
28.91%
2,671
$169,690,000 0.14%
Fedex Corp
12.92%
673
$166,840,000 0.13%
Oneok Inc.
30.82%
2,669
$164,730,000 0.13%
Franklin Resources, Inc.
12.89%
6,141
$164,026,000 0.13%
Delta Air Lines, Inc.
72.62%
3,442
$163,632,000 0.13%
Invesco Limited
Closed
9,397
$154,110,000
EOG Resources, Inc.
34.62%
1,326
$151,747,000 0.12%
International Paper Co.
11.28%
4,737
$150,685,000 0.12%
Intel Corp.
18.08%
4,504
$150,615,000 0.12%
Mcdonalds Corp Com
No change
486
$145,028,000 0.12%
Consolidated Edison, Inc.
No change
1,600
$144,640,000 0.12%
Vanguard Consumer Staples Etf
No change
710
$138,060,000 0.11%
Novartis AG
No change
1,366
$137,843,000 0.11%
Qualcomm, Inc.
2.82%
1,131
$134,638,000 0.11%
Ishares 0-3 Treasry Bd
Opened
1,334
$134,240,000 0.11%
Raytheon Technologies Corporation
2.56%
1,370
$134,205,000 0.11%
Communication Services Select
No change
2,001
$130,225,000 0.10%
Rio Tinto plc
26.73%
1,987
$126,849,000 0.10%
Honeywell International Inc
No change
600
$124,500,000 0.10%
Vanguard Short-term Corp Bd Idx
7.94%
1,612
$121,963,000 0.10%
Vanguard Short-term Government
7.31%
2,105
$121,522,000 0.10%
Travel Plus Leisure Co
39.41%
2,917
$117,673,000 0.09%
Altria Group Inc.
5.52%
2,550
$115,515,000 0.09%
Fortune Brands Innovations Inc
No change
1,600
$115,120,000 0.09%
Carmax Inc
31.83%
1,328
$111,155,000 0.09%
Microchip Technology, Inc.
13.62%
1,230
$110,195,000 0.09%
Us Bancorp
8.48%
3,205
$105,892,000 0.09%
Textron Inc.
70.91%
1,557
$105,302,000 0.08%
Sysco Corp.
5.75%
1,410
$104,622,000 0.08%
Consumer Staples Select Sector
No change
1,388
$102,948,000 0.08%
Cognizant Technology Solutions Corp.
5.06%
1,576
$102,882,000 0.08%
BorgWarner Inc
Opened
1,953
$95,522,000 0.08%
Advanced Micro Devices Inc.
1,083.08%
769
$87,595,000 0.07%
Vanguard Long-term Corp Bond Idx
36.65%
1,075
$84,376,000 0.07%
Aflac Inc.
No change
1,200
$83,760,000 0.07%
Miners Etf
No change
2,700
$81,297,000 0.07%
Omega Healthcare Investors, Inc.
14.19%
2,516
$77,218,000 0.06%
Invesco Exchng Traded Tr Ii
Closed
3,474
$72,259,000
Four Corners Ppty Tr Inc
No change
2,648
$67,259,000 0.05%
Wisdomtree Smallcap Dividend
22.49%
2,281
$65,670,000 0.05%
Ishares Russell 1000 Growth
No change
221
$60,815,000 0.05%
AMGEN Inc.
42.42%
266
$59,057,000 0.05%
Wisdomtree Us Midcap
18.18%
1,400
$58,870,000 0.05%
Discover Financial Services
No change
500
$58,425,000 0.05%
Newell Brands Inc.
8.51%
6,573
$57,186,000 0.05%
Edwards Lifesciences Corp
No change
600
$56,598,000 0.05%
NVR Inc.
Closed
10
$55,722,000
Spdr Barclays International
0.93%
2,393
$53,962,000 0.04%
Vanguard Interm-tm Corp Bd Idx
9.69%
671
$53,029,000 0.04%
Baxter International Inc.
No change
1,100
$50,116,000 0.04%
Ishares International Select Div
66.51%
1,884
$49,606,000 0.04%
Snap-on, Inc.
Closed
200
$49,378,000
Energy Select Sector Spdrr (mkt)
No change
580
$47,079,000 0.04%
Ulta Beauty Inc
No change
100
$47,060,000 0.04%
Materials Select Sector Spdrr
No change
561
$46,491,000 0.04%
Vanguard Total Bond Market Etf
No change
639
$46,450,000 0.04%
Netflix Inc.
No change
100
$44,049,000 0.04%
Wisdomtree Emerging Markets
27.04%
1,147
$43,896,000 0.04%
American Electric Power Company Inc.
No change
500
$42,100,000 0.03%
Mckesson Corporation
Closed
108
$38,454,000
Weyerhaeuser Co.
No change
1,100
$36,861,000 0.03%
Spdr Sp Midcap 400 Etf Trust
No change
75
$35,918,000 0.03%
High Yield Etf
No change
1,364
$34,783,000 0.03%
Southwest Airlines Co
Closed
977
$31,792,000
Union Pacific Corp.
No change
149
$30,488,000 0.02%
Carrier Global Corporation
No change
600
$29,826,000 0.02%
Ishares Ibonds Dec 2027 Term
Closed
1,300
$29,458,000
Spdr Sp Biotech Etf (mkt)
25.00%
345
$28,704,000 0.02%
Dollar Tree Inc
No change
190
$27,265,000 0.02%
Vanguard Utilities Etf (mkt)
No change
190
$27,012,000 0.02%
Otis Worldwide Corporation
No change
300
$26,703,000 0.02%
Medical Properties Trust Inc
9.46%
2,814
$26,058,000 0.02%
GSK Plc
23.92%
725
$25,840,000 0.02%
Ishares Ibonds Dec 2029 Term
Closed
1,125
$24,941,000
Paramount Global
No change
1,606
$25,700,000 0.02%
Martin Marietta Materials, Inc.
No change
50
$23,085,000 0.02%
Viatris Inc.
No change
2,287
$22,823,000 0.02%
Invesco Financial Preferred Etf
54.67%
1,491
$21,396,000 0.02%
Utilities Select Sector Spdrr
No change
321
$21,006,000 0.02%
PayPal Holdings Inc
83.54%
304
$20,286,000 0.02%
Ishares Ibonds Dec 2026
Closed
850
$20,171,000
Vertex Pharmaceuticals, Inc.
Closed
62
$19,534,000
Zoetis Inc
No change
100
$17,221,000 0.01%
General Electric Co.
No change
149
$16,367,000 0.01%
Ishares Ibonds Dec 2028 Term
Closed
650
$16,211,000
FMC Corp.
No change
150
$15,651,000 0.01%
Ishares Msci Emerging Markets
6.39%
381
$15,073,000 0.01%
Oge Energy Corp.
No change
400
$14,364,000 0.01%
Masterbrand Inc
Closed
1,600
$12,864,000
Halliburton Co.
No change
380
$12,536,000 0.01%
Ishares Ibonds Dec 2032
Closed
517
$12,351,000
Royal Dutch Shell PLC
No change
200
$12,075,000 0.01%
Dominion Energy Inc
72.69%
207
$10,721,000 0.01%
NXP Semiconductors NV
No change
50
$10,234,000 0.01%
Intercontinentalexchange Group
No change
90
$10,177,000 0.01%
Ishares Ibonds Dec 2031
Closed
475
$9,804,000
Exact Sciences Corp.
No change
100
$9,390,000 0.01%
Nike, Inc.
No change
85
$9,381,000 0.01%
Saleforce
No change
44
$9,295,000 0.01%
Kraft Heinz Co
No change
248
$8,805,000 0.01%
Estee Lauder Cos., Inc.
No change
44
$8,641,000 0.01%
Hologic, Inc.
No change
100
$8,097,000 0.01%
Abbott Laboratories
No change
70
$7,631,000 0.01%
Archer Daniels
No change
100
$7,556,000 0.01%
Wells Fargo Company
Closed
200
$7,476,000
Ford Motor Co.
Closed
500
$6,300,000
American Tower Corp.
No change
30
$5,818,000 0.00%
Cigna Group (The)
No change
18
$5,051,000 0.00%
Alcon Inc Ord
No change
60
$4,927,000 0.00%
Livent Corp
No change
140
$3,840,000 0.00%
Visa Inc
96.98%
14
$3,325,000 0.00%
HP Inc
88.89%
100
$3,070,000 0.00%
Warner Bros.Discovery Inc
No change
240
$3,009,000 0.00%
Ge Healthcare Technologies Inc
24.49%
37
$3,006,000 0.00%
Mastercard Incorporated
97.53%
7
$2,753,000 0.00%
Carnival Corp.
50.17%
146
$2,749,000 0.00%
Lowes Companies Inc Com
98.29%
10
$2,257,000 0.00%
Ishares Ibonds 2024 Term Hy And
Closed
90
$2,082,000
Ishares Ibonds 2023 Term Hy
Closed
85
$2,007,000
Northrop Grumman Corp.
86.67%
4
$1,823,000 0.00%
Hewlett Packard Enterprise Co
88.89%
100
$1,679,000 0.00%
RenaissanceRe Holdings Ltd
No change
6
$1,119,000 0.00%
Teradyne, Inc.
96.72%
9
$1,002,000 0.00%
Exelon Corp.
96.86%
23
$937,000 0.00%
L3Harris Technologies Inc
98.07%
4
$783,000 0.00%
Cummins Inc.
87.50%
2
$490,000 0.00%
PROG Holdings, Inc.
96.72%
15
$482,000 0.00%
Lumen Technologies, Inc.
No change
126
$285,000 0.00%
Wabtec Corp
No change
2
$220,000 0.00%
Organon Co
No change
10
$208,000 0.00%
No transactions found
Showing first 500 out of 266 holdings