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Size ($ in 1000's)
At 03/31/2024: $1,577,344 At 12/31/2023: $1,107,070
JTC Employer Solutions Trustee Ltd holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from JTC Employer Solutions Trustee Ltd 13F filings.
Link to 13F filings: SEC filings
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As of 03/31/2024, below is a summary of the JTC Employer Solutions Trustee Ltd top holdings by largest position size, as per the latest 13f filing made by JTC Employer Solutions Trustee Ltd.
In the JTC Employer Solutions Trustee Ltd-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by JTC Employer Solutions Trustee Ltd in that top holding, then the share count change between reporting periods, and finally the JTC Employer Solutions Trustee Ltd top holding position size
for that row.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
GSK PLC |
21,141,012 |
+8,800,822 |
$909,063 | GSK | 21,141,012 | +8,800,822 | $909,063 | MICROSOFT CORP |
260,146 |
+145 |
$109,650 | MSFT | 260,146 | +145 | $109,650 | ALPHABET INC |
522,166 |
UNCH |
$78,801 | GOOGL | 522,166 | UNCH | $78,801 | JPMORGAN CHASE & CO |
323,631 |
-10,472 |
$64,568 | JPM | 323,631 | -10,472 | $64,568 | UNION PAC CORP |
207,900 |
UNCH |
$50,867 | UNP | 207,900 | UNCH | $50,867 | ISHARES TR (IVV) |
59,394 |
UNCH |
$31,224 | IVV | 59,394 | UNCH | $31,224 | COSTCO WHSL CORP NEW |
25,470 |
-7,000 |
$18,647 | COST | 25,470 | -7,000 | $18,647 | APPLE INC |
101,971 |
-20 |
$17,678 | AAPL | 101,971 | -20 | $17,678 | AMERICAN INTL GROUP INC |
221,000 |
-40,000 |
$17,316 | AIG | 221,000 | -40,000 | $17,316 | NVIDIA CORPORATION |
14,897 |
+150 |
$13,453 | NVDA | 14,897 | +150 | $13,453 | BANK AMERICA CORP |
352,800 |
-60,000 |
$13,345 | BAC | 352,800 | -60,000 | $13,345 | CITIGROUP INC |
196,605 |
-50,074 |
$12,337 | C | 196,605 | -50,074 | $12,337 | AMAZON COM INC |
65,827 |
-15,000 |
$11,843 | AMZN | 65,827 | -15,000 | $11,843 | ISHARES TR (USHY) |
310,219 |
UNCH |
$11,368 | USHY | 310,219 | UNCH | $11,368 | SPDR S&P 500 ETF TR (SPY) |
18,739 |
UNCH |
$9,803 | SPY | 18,739 | UNCH | $9,803 | TAIWAN SEMICONDUCTOR MFG LTD |
69,701 |
+39,352 |
$9,525 | TSM | 69,701 | +39,352 | $9,525 | MASTERCARD INCORPORATED |
17,757 |
UNCH |
$8,492 | MA | 17,757 | UNCH | $8,492 | INVESCO QQQ TR |
17,820 |
+4,265 |
$7,929 | QQQ | 17,820 | +4,265 | $7,929 | GLOBAL SHIP LEASE INC NEW |
363,258 |
UNCH |
$7,336 | GSL | 363,258 | UNCH | $7,336 | ALPHABET INC |
44,712 |
-23 |
$6,793 | GOOG | 44,712 | -23 | $6,793 | AMERICAN EXPRESS CO |
27,500 |
-10,000 |
$6,265 | AXP | 27,500 | -10,000 | $6,265 | CAPITAL ONE FINL CORP |
39,320 |
+4,320 |
$5,683 | COF | 39,320 | +4,320 | $5,683 | BERKSHIRE HATHAWAY INC DEL |
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$5,668 | BRK.A | 9 | UNCH | $5,668 | DOORDASH INC |
40,333 |
UNCH |
$5,602 | DASH | 40,333 | UNCH | $5,602 | PHOTRONICS INC |
191,856 |
UNCH |
$5,433 | PLAB | 191,856 | UNCH | $5,433 | SNOWFLAKE INC |
32,480 |
UNCH |
$5,198 | SNOW | 32,480 | UNCH | $5,198 | CBRE GROUP INC |
50,000 |
UNCH |
$4,839 | CBRE | 50,000 | UNCH | $4,839 | SYNCHRONY FINANCIAL |
110,000 |
-35,000 |
$4,652 | SYF | 110,000 | -35,000 | $4,652 | TORONTO DOMINION BK ONT |
71,315 |
UNCH |
$4,328 | TD | 71,315 | UNCH | $4,328 | VANGUARD INDEX FDS (VOO) |
8,837 |
-775 |
$4,249 | VOO | 8,837 | -775 | $4,249 | ROGERS COMMUNICATIONS INC |
98,478 |
+807 |
$4,065 | RCI | 98,478 | +807 | $4,065 | AMERICAN AIRLS GROUP INC |
244,687 |
UNCH |
$3,742 | AAL | 244,687 | UNCH | $3,742 | ISHARES INC (EWJ) |
52,158 |
UNCH |
$3,736 | EWJ | 52,158 | UNCH | $3,736 | PAGAYA TECHNOLOGIES LTD |
359,338 |
-2,402,502 |
$3,685 | PGY | 359,338 | -2,402,502 | $3,685 | SCHWAB STRATEGIC TR |
70,982 |
UNCH |
$3,676 | SCHP | 70,982 | UNCH | $3,676 | FREEPORT MCMORAN INC |
80,000 |
UNCH |
$3,672 | FCX | 80,000 | UNCH | $3,672 | CEMEX SAB DE CV |
401,972 |
-100,000 |
$3,559 | CX | 401,972 | -100,000 | $3,559 | HALEON PLC |
376,834 |
-2,168,878 |
$3,216 | HLN | 376,834 | -2,168,878 | $3,216 | DISNEY WALT CO |
25,250 |
+3 |
$3,054 | DIS | 25,250 | +3 | $3,054 | ISHARES TR (QUAL) |
18,190 |
UNCH |
$2,984 | QUAL | 18,190 | UNCH | $2,984 | SPDR DOW JONES INDL AVERAGE (DIA) |
6,981 |
UNCH |
$2,776 | DIA | 6,981 | UNCH | $2,776 | EXXON MOBIL CORP |
21,118 |
-312 |
$2,429 | XOM | 21,118 | -312 | $2,429 | CHEVRON CORP NEW |
15,178 |
UNCH |
$2,373 | CVX | 15,178 | UNCH | $2,373 | DELTA AIR LINES INC DEL |
50,000 |
-40,000 |
$2,365 | DAL | 50,000 | -40,000 | $2,365 | PAYPAL HLDGS INC |
32,580 |
-22,550 |
$2,169 | PYPL | 32,580 | -22,550 | $2,169 | META PLATFORMS INC |
4,076 |
UNCH |
$2,013 | META | 4,076 | UNCH | $2,013 | SL GREEN RLTY CORP |
35,397 |
-10,000 |
$1,902 | SLG | 35,397 | -10,000 | $1,902 | MBIA INC |
280,000 |
UNCH |
$1,893 | MBI | 280,000 | UNCH | $1,893 | COHERENT CORP |
29,308 |
+29,308 |
$1,785 | COHR | 29,308 | +29,308 | $1,785 | ALCOA CORP |
50,437 |
-45,000 |
$1,676 | AA | 50,437 | -45,000 | $1,676 |
See Full List: All Stocks Held By JTC Employer Solutions Trustee Ltd
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By JTC Employer Solutions Trustee Ltd
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