Holdings Channel



Size ($ in 1000's)
At 12/31/2023: $8,491,666
At 09/30/2023: $7,862,564

Yousif Capital Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Yousif Capital Management LLC 13F filings. Link to 13F filings: SEC filings

Yousif Capital Management LLC Top Holdings
As of  12/31/2023, below is a summary of the Yousif Capital Management LLC top holdings by largest position size, as per the latest 13f filing made by Yousif Capital Management LLC. In the Yousif Capital Management LLC-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 Yousif Capital Management LLC in that top holding, then the share count change between reporting periods, and finally the Yousif Capital Management LLC top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
Apple Inc 1,961,357 -86,029 $377,620
     AAPL1,961,357-86,029$377,620
Microsoft Corp 998,814 -34,989 $375,594
     MSFT998,814-34,989$375,594
Amazon.Com Inc 1,245,625 -35,821 $189,260
     AMZN1,245,625-35,821$189,260
NVidia Corp 326,278 -11,542 $161,579
     NVDA326,278-11,542$161,579
Meta Platforms Inc 319,781 -11,166 $113,190
     META319,781-11,166$113,190
Alphabet Inc Cap Stock Cl A 797,920 -24,983 $111,461
     GOOGL797,920-24,983$111,461
Berkshire Hathaway Inc Cl B      $97,175
     BRK.B266,374-10,697$95,005
     BRK.A4UNCH$2,170
Alphabet Inc Cap Stock Cl C 672,749 -30,162 $94,811
     GOOG672,749-30,162$94,811
Tesla Inc 371,857 -8,894 $92,399
     TSLA371,857-8,894$92,399
JPMorgan Chase & Co 435,106 -19,904 $74,012
     JPM435,106-19,904$74,012
Broadcom Inc 60,786 +2,027 $67,852
     AVGO60,786+2,027$67,852
Exxon Mobil Corp 665,540 -39,052 $66,541
     XOM665,540-39,052$66,541
Unitedhealth Group Inc 113,469 -5,736 $59,738
     UNH113,469-5,736$59,738
Visa Inc Cl A 218,729 -6,866 $56,946
     V218,729-6,866$56,946
Johnson & Johnson 356,713 -11,338 $55,911
     JNJ356,713-11,338$55,911
Lilly Eli & Co 95,665 -3,905 $55,765
     LLY95,665-3,905$55,765
Procter & Gamble Co 347,013 -28,483 $50,851
     PG347,013-28,483$50,851
Home Depot Inc 142,498 -5,175 $49,383
     HD142,498-5,175$49,383
Mastercard Inc Cl A 112,059 -3,864 $47,794
     MA112,059-3,864$47,794
Chevron Corp 310,817 -18,817 $46,361
     CVX310,817-18,817$46,361
Wal Mart Inc 272,863 -12,249 $43,017
     WMT272,863-12,249$43,017
Costco Wholesale Corp 64,699 -1,717 $42,707
     COST64,699-1,717$42,707
Abbvie Inc 271,606 -11,883 $42,091
     ABBV271,606-11,883$42,091
Linde PLC 91,370 -1,449 $37,527
     LIN91,370-1,449$37,527
Adobe Inc 62,251 -817 $37,139
     ADBE62,251-817$37,139
Bank America Corp 1,075,151 -38,523 $36,200
     BAC1,075,151-38,523$36,200
Spdr S&P 500 Etf Tr (SPY) 75,693 -30,235 $35,978
     SPY75,693-30,235$35,978
Salesforce Inc 136,400 -779 $35,892
     CRM136,400-779$35,892
Intel Corp      $35,727
     INTC695,842-45,048$34,966
     COM11,984UNCH$761
Pepsico Inc 207,190 -5,414 $35,189
     PEP207,190-5,414$35,189
Merck & Co Inc 317,466 -14,937 $34,610
     MRK317,466-14,937$34,610
Coca Cola Co 577,272 -18,179 $34,019
     KO577,272-18,179$34,019
Mcdonalds Corp 114,491 -4,055 $33,948
     MCD114,491-4,055$33,948
Schwab Capital Trust Total Sto      $33,154
     MUT409,455-36,474$33,154
Advanced Micro Devices Inc 222,509 +4,915 $32,800
     AMD222,509+4,915$32,800
Intl Business Machines 196,563 -7,327 $32,148
     IBM196,563-7,327$32,148
Cisco Systems Inc 635,322 -21,981 $32,096
     CSCO635,322-21,981$32,096
Abbott Laboratories 284,275 -7,391 $31,290
     ABT284,275-7,391$31,290
Caterpillar Inc 105,741 -3,985 $31,265
     CAT105,741-3,985$31,265
Accenture Plc Ireland Class A 87,703 -4,296 $30,776
     ACN87,703-4,296$30,776
Netflix Inc 60,179 -1,187 $29,300
     NFLX60,179-1,187$29,300
Wells Fargo Co 590,377 -28,401 $29,058
     WFC590,377-28,401$29,058
S&P Global Inc 62,433 -1,859 $27,503
     SPGI62,433-1,859$27,503
Comcast Corp Cl A 615,387 -41,407 $26,985
     CMCSA615,387-41,407$26,985
Lowes Cos Inc 120,642 -2,116 $26,849
     LOW120,642-2,116$26,849
Verizon Communications Inc 680,827 -34,725 $25,667
     VZ680,827-34,725$25,667
Oracle Corp 235,005 +107 $24,777
     ORCL235,005+107$24,777
Medtronic Plc 297,250 -15,838 $24,487
     MDT297,250-15,838$24,487
Thermo Fisher Scientific Inc 45,841 -1,013 $24,332
     TMO45,841-1,013$24,332
Intuit 38,714 +600 $24,197
     INTU38,714+600$24,197

See Full List: All Stocks Held By Yousif Capital Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Yousif Capital Management LLC

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