Holdings Channel
EntityShares/Amount
Change
Position Value
Change
LIN +36,549+$15,011
CRM +52,871+$13,912
PWR +58,905+$12,712
WELL +106,477+$9,601
NKE +66,516+$7,222
OGS +35,173+$2,241
GUGGENHEIM TOTAL RETURN BOND +13,140+$313
LMT +515+$233
INBK +8,955+$217
EEFT +2,000+$203
EntityShares/Amount
Change
Position Value
Change
LINDE PLC -37,343-$13,905
ADI -54,444-$9,533
GOLDMAN SACHS GQG PARTNERS INTERNATIONAL -198,020-$3,570
GQG PARTNERS EMERGING MARKETS EQUITY -239,034-$3,464
UBER -30,075-$1,383
U -31,000-$973
UNH -614-$310
BOOM -8,300-$203
EGRX -12,566-$198
EntityShares/Amount
Change
Position Value
Change
CLNE +115,886+$450
GDOT +88,326+$313
SHYF +82,521+$590
ZETA +65,854+$673
TGT +57,728+$8,470
CMBM +45,360-$59
AMRC +44,359+$992
KO +42,642+$2,920
SONO +41,739+$1,025
FTCI +40,000-$2
EntityShares/Amount
Change
Position Value
Change
CSCO -218,276-$11,749
O -159,542-$7,937
SWK -120,410-$10,033
NEE -112,090-$6,389
JNJ -76,582-$11,921
PG -68,869-$10,016
AKTS -44,701-$27
CVX -25,506-$5,459
DASH -24,538+$711
Size ($ in 1000's)
At 12/31/2023: $890,413
At 09/30/2023: $812,171

Connors Investor Services Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Connors Investor Services Inc. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Connors Investor Services Inc.
As of  12/31/2023, we find all stocks held by Connors Investor Services Inc. to be as follows, presented in the table below with each row detailing each Connors Investor Services Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Connors Investor Services Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Connors Investor Services Inc. as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
SPDR S & P 500 INDEX (SPY) 104,766 -922 $49,796
     SPY104,766-922$49,796
MICROSOFT 100,929 -1,886 $37,953
     MSFT100,929-1,886$37,953
APPLE 178,824 -5,222 $34,429
     AAPL178,824-5,222$34,429
ALPHABET CLASS A 175,388 +2,608 $24,500
     GOOGL175,388+2,608$24,500
MORGAN STANLEY 235,222 +26,995 $21,934
     MS235,222+26,995$21,934
AMAZONCOM 143,213 +26,293 $21,760
     AMZN143,213+26,293$21,760
ISHARES RUSSELL 2000 INDEX (IWM) 95,882 -4,890 $19,244
     IWM95,882-4,890$19,244
ABBOTT LABORATORIES 171,776 -121 $18,907
     ABT171,776-121$18,907
PALANTIR TECHNOLOGIES 1,029,028 -800 $17,668
     PLTR1,029,028-800$17,668
COSTCO WHOLESALE 25,918 +190 $17,108
     COST25,918+190$17,108
ADOBE 27,911 +702 $16,652
     ADBE27,911+702$16,652
STRYKER 55,260 -689 $16,548
     SYK55,260-689$16,548
AMERICAN EXPRESS 84,665 -574 $15,861
     AXP84,665-574$15,861
CHUBB 68,785 +1,724 $15,545
     CB68,785+1,724$15,545
ABBVIE 98,776 -515 $15,307
     ABBV98,776-515$15,307
LINDE PLC 36,549 +36,549 $15,011
     COM36,549+36,549$15,011
PALO ALTO NETWORKS 50,810 -8,195 $14,983
     PANW50,810-8,195$14,983
ADVANCED MICRO DEVICES 100,093 +12,576 $14,755
     AMD100,093+12,576$14,755
LOWES 66,154 +4,014 $14,723
     LOW66,154+4,014$14,723
EATON 61,112 +8,766 $14,717
     ETN61,112+8,766$14,717
RAYTHEON TECHNOLOGIES 173,282 -6,372 $14,580
     RTX173,282-6,372$14,580
VISA 55,893 -3,096 $14,552
     V55,893-3,096$14,552
PEPSICO 84,016 -823 $14,269
     PEP84,016-823$14,269
MCDONALDS 48,061 +3,628 $14,251
     MCD48,061+3,628$14,251
MERCK 129,901 +6,374 $14,162
     MRK129,901+6,374$14,162
LILLY ELI 24,266 -4,574 $14,145
     LLY24,266-4,574$14,145
EMERSON ELECTRIC 144,266 +18,076 $14,041
     EMR144,266+18,076$14,041
SALESFORCE COM 52,871 +52,871 $13,912
     CRM52,871+52,871$13,912
TJX COMPANIES 146,900 +9,316 $13,781
     TJX146,900+9,316$13,781
DOORDASH 137,000 -24,538 $13,548
     DASH137,000-24,538$13,548
HONEYWELL INTERNATIONAL 64,407 +320 $13,507
     HON64,407+320$13,507
JPMORGAN CHASE 77,513 +168 $13,185
     JPM77,513+168$13,185
META PLATFORMS 36,703 +1,187 $12,991
     META36,703+1,187$12,991
ORACLE 122,345 +9,251 $12,899
     ORCL122,345+9,251$12,899
ZOETIS 65,288 +5,562 $12,886
     ZTS65,288+5,562$12,886
NVIDIA 25,962 +13,406 $12,857
     NVDA25,962+13,406$12,857
QUANTA SERVICES 58,905 +58,905 $12,712
     PWR58,905+58,905$12,712
WELLS FARGO 240,064 -5,996 $11,816
     WFC240,064-5,996$11,816
DUPONT DE NEMOURS 142,278 +21,571 $10,945
     DD142,278+21,571$10,945
SCHLUMBERGER 210,258 -5,265 $10,942
     SLB210,258-5,265$10,942
COCACOLA 180,693 +42,642 $10,648
     KO180,693+42,642$10,648
WELLTOWER 106,477 +106,477 $9,601
     WELL106,477+106,477$9,601
TARGET 65,373 +57,728 $9,310
     TGT65,373+57,728$9,310
CHEVRON 60,902 -25,506 $9,084
     CVX60,902-25,506$9,084
CONOCOPHILLIPS 64,177 +21,130 $7,449
     COP64,177+21,130$7,449
VANGUARD FTSE EMERGING MARKETS ETF (VWO) 180,255 -1,111 $7,408
     VWO180,255-1,111$7,408
NIKE 66,516 +66,516 $7,222
     NKE66,516+66,516$7,222
ISHARES MSCI EAFE INDEX (EFA) 66,912 -990 $5,042
     EFA66,912-990$5,042
ROBLOX 100,000 -5,000 $4,572
     RBLX100,000-5,000$4,572
CALAVO GROWERS INC 154,284 -4,317 $4,537
     CVGW154,284-4,317$4,537
PROCTER & GAMBLE 28,672 -68,869 $4,202
     PG28,672-68,869$4,202
INNOSPEC INC 32,849 +1,357 $4,048
     IOSP32,849+1,357$4,048
VANGUARD FTSE ALLWORLD EXUS SMALLCAP ETF (VSS) 34,084 -58 $3,921
     VSS34,084-58$3,921
HEALTHSTREAM INC 134,026 +2,208 $3,623
     HSTM134,026+2,208$3,623
NV5 GLOBAL INC 32,427 +608 $3,603
     NVEE32,427+608$3,603
GLOBAL MEDICAL REIT INC 321,648 +10,223 $3,570
     GMRE321,648+10,223$3,570
CONFLUENT 146,000 UNCH $3,416
     CFLT146,000UNCH$3,416
AMERESCO INC 105,547 +44,359 $3,343
     AMRC105,547+44,359$3,343
SM ENERGY CO 85,704 +1,211 $3,318
     SM85,704+1,211$3,318
SIMMONS FIRST NATIONAL CORP 153,821 +7,359 $3,052
     SFNC153,821+7,359$3,052
SHUTTERSTOCK INC 61,858 +11 $2,987
     SSTK61,858+11$2,987
CLEAN ENERGY FUELS CORP 774,718 +115,886 $2,967
     CLNE774,718+115,886$2,967
INTERNATIONAL MONEY EXPRESS INC 132,795 +2,286 $2,933
     IMXI132,795+2,286$2,933
SHYFT GROUP INC 234,568 +82,521 $2,866
     SHYF234,568+82,521$2,866
ARTIVION INC 159,987 +1,471 $2,861
     AORT159,987+1,471$2,861
EASTERLY GOVERNMENT PROPERTIES INC 212,635 +3,070 $2,858
     DEA212,635+3,070$2,858
TRUPANION INC 92,459 +23,714 $2,821
     TRUP92,459+23,714$2,821
CYBERARK SOFTWARE LTD 12,527 +130 $2,744
     CYBR12,527+130$2,744
HEALTHCARE SERVICES GROUP INC 263,434 +21,915 $2,732
     HCSG263,434+21,915$2,732
CRYOPORT INC 175,014 +2,147 $2,711
     CYRX175,014+2,147$2,711
SEMTECH CORP 120,593 +33,457 $2,642
     SMTC120,593+33,457$2,642
IMAX CORP 172,933 +3,041 $2,597
     IMAX172,933+3,041$2,597
AXOS FINANCIAL INC 46,445 +597 $2,536
     AX46,445+597$2,536
PRESTIGE CONSUMER HEALTHCARE INC 38,413 +10,983 $2,352
     PBH38,413+10,983$2,352
ZETA GLOBAL HOLDINGS CORP 262,488 +65,854 $2,315
     ZETA262,488+65,854$2,315
DISCOVER FINANCIAL SERVICES 20,319 UNCH $2,284
     DFS20,319UNCH$2,284
GENTHERM INC 43,405 -5,591 $2,273
     THRM43,405-5,591$2,273
GREEN DOT CORP 229,022 +88,326 $2,267
     GDOT229,022+88,326$2,267
ONE GAS INC 35,173 +35,173 $2,241
     OGS35,173+35,173$2,241
APOGEE ENTERPRISES INC 41,753 -11,444 $2,230
     APOG41,753-11,444$2,230
AEROVIRONMENT INC 17,613 -12,557 $2,220
     AVAV17,613-12,557$2,220
OMNICELL INC 58,045 +28,057 $2,184
     OMCL58,045+28,057$2,184
SPROUTS FARMERS MARKET INC 43,989 -14,136 $2,116
     SFM43,989-14,136$2,116
VERIZON COMMUNICATIONS 55,950 +9,190 $2,109
     VZ55,950+9,190$2,109
THE HACKETT GROUP INC 87,810 -16,421 $1,999
     HCKT87,810-16,421$1,999
LOVESAC CO 77,633 +28,878 $1,984
     LOVE77,633+28,878$1,984
SONOS INC 113,505 +41,739 $1,945
     SONO113,505+41,739$1,945
AMN HEALTHCARE SERVICES INC 25,519 -10,530 $1,911
     AMN25,519-10,530$1,911
COMPUTER PROGRAMS & SYSTEMS INC 162,887 +19,346 $1,824
     CPSI162,887+19,346$1,824
CAMBIUM NETWORKS CORP 297,828 +45,360 $1,787
     CMBM297,828+45,360$1,787
BOEING 6,000 -1,775 $1,564
     BA6,000-1,775$1,564
PNC FINANCIAL SERVICES GROUP 9,417 -10 $1,458
     PNC9,417-10$1,458
PETMED EXPRESS INC 174,316 +10,142 $1,318
     PETS174,316+10,142$1,318
QUALCOMM 7,035 -100 $1,017
     QCOM7,035-100$1,017
JOHNSON & JOHNSON 6,392 -76,582 $1,002
     JNJ6,392-76,582$1,002
EXPEDIA GROUP 5,600 UNCH $850
     EXPE5,600UNCH$850
GOLDMAN SACHS GROUP 1,705 -20 $658
     GS1,705-20$658
ISHARES CORE S&P MID CAP ETF (IJH) 2,305 -12 $639
     IJH2,305-12$639
NEXTERA ENERGY RESOURCES 9,465 -112,090 $575
     NEE9,465-112,090$575
AUTOMATIC DATA PROCESSING 2,144 UNCH $499
     ADP2,144UNCH$499
HOME DEPOT 1,415 -210 $490
     HD1,415-210$490
SPDR S&P MIDCAP 400 ETF (MDY) 915 UNCH $464
     MDY915UNCH$464
GENERAL MOTORS 12,275 UNCH $441
     GM12,275UNCH$441
KIMBERLYCLARK 3,440 -100 $418
     KMB3,440-100$418
UNION PACIFIC 1,565 UNCH $384
     UNP1,565UNCH$384
CSX 10,685 UNCH $370
     CSX10,685UNCH$370
COLGATEPALMOLIVE 4,610 -550 $367
     CL4,610-550$367
CISCO SYSTEMS 7,203 -218,276 $364
     CSCO7,203-218,276$364
EXXONMOBIL 3,570 UNCH $357
     XOM3,570UNCH$357
DUKE ENERGY 3,617 UNCH $351
     COM3,617UNCH$351
OPTIMIZERX CORP 24,500 +2,000 $351
     OPRX24,500+2,000$351
PUBLIC STORAGE 1,150 UNCH $351
     PSA1,150UNCH$351
LITHIA MOTORS INC CL A 1,055 UNCH $347
     LAD1,055UNCH$347
DOW 6,040 UNCH $331
     DOW6,040UNCH$331
M&T BANK CORP 2,304 UNCH $316
     MTB2,304UNCH$316
BERKSHIRE HATHAWAY CL B      $314
     BRK.B880UNCH$314
GUGGENHEIM TOTAL RETURN BOND 13,140 +13,140 $313
     COM13,140+13,140$313
SIMULATIONS PLUS INC 6,645 +800 $297
     SLP6,645+800$297
GENERAL MILLS 4,430 UNCH $289
     GIS4,430UNCH$289
WILLDAN GROUP INC 12,672 UNCH $272
     WLDN12,672UNCH$272
ZYNEX INC 24,250 UNCH $264
     ZYXI24,250UNCH$264
HERSHEY 1,370 UNCH $255
     HSY1,370UNCH$255
ITERIS INC 48,500 -3,000 $252
     ITI48,500-3,000$252
ISHARES CORE S&P SMALLCAP ETF (IJR) 2,319 -35 $251
     IJR2,319-35$251
COMMUNITY HEALTHCARE TRUST INC 9,400 +1,300 $250
     CHCT9,400+1,300$250
VANGUARD S&P 500 ETF (VOO) 572 -175 $250
     VOO572-175$250
ANIKA THERAPEUTICS INC 10,699 UNCH $242
     ANIK10,699UNCH$242
REALTY INCOME 4,145 -159,542 $238
     O4,145-159,542$238
EVOLUTION PETROLEUM CORP 40,300 +4,500 $234
     EPM40,300+4,500$234
UMH PROPERTIES INC 15,300 UNCH $234
     UMH15,300UNCH$234
AON 800 UNCH $233
     AON800UNCH$233
LOCKHEED MARTIN 515 +515 $233
     LMT515+515$233
QUEST RESOURCE HOLDING CORP 31,840 UNCH $233
     QRHC31,840UNCH$233
AMERICAN SOFTWARE INC 20,000 +6,500 $226
     AMSWA20,000+6,500$226
NORTHWEST PIPE CO 7,400 UNCH $224
     NWPX7,400UNCH$224
WAL MART STORES 1,400 UNCH $221
     WMT1,400UNCH$221
FIRST INTERNET BANCORP 8,955 +8,955 $217
     INBK8,955+8,955$217
QUIPT HOME MEDICAL CORP 41,208 UNCH $210
     QIPT41,208UNCH$210
STANLEY BLACK & DECKER 2,145 -120,410 $210
     SWK2,145-120,410$210
PFIZER 7,238 -705 $208
     PFE7,238-705$208
FUTUREFUEL CORP 33,800 UNCH $206
     FF33,800UNCH$206
PAYSIGN INC 72,980 UNCH $204
     PAYS72,980UNCH$204
EURONET WORLDWIDE INC 2,000 +2,000 $203
     EEFT2,000+2,000$203
PHIBRO ANIMAL HEALTH CORP 16,646 +2,500 $193
     PAHC16,646+2,500$193
ENTRAVISION COMMUNICATIONS CORP 44,000 UNCH $183
     EVC44,000UNCH$183
ORGANOGENESIS HOLDINGS INC 43,000 +43,000 $176
     ORGO43,000+43,000$176
BIOLIFE SOLUTIONS INC 10,200 +10,200 $166
     BLFS10,200+10,200$166
TRANSACT TECHNOLOGIES INC 23,000 -1,582 $161
     TACT23,000-1,582$161
GLOBAL WATER RESOURCES CORP 10,404 UNCH $136
     GWRS10,404UNCH$136
ORION ENERGY SYSTEMS INC 150,000 +6,361 $130
     OESX150,000+6,361$130
NORTHERN TECHNOLOGIES INTERNATIONAL CORP 10,407 UNCH $123
     NTIC10,407UNCH$123
PARK CITY GROUP INC 11,463 UNCH $115
     PCYG11,463UNCH$115
MARINE PRODUCTS CORP 10,000 -1,118 $114
     MPX10,000-1,118$114
MAUCH CHUNK TRUST FINANCIAL CORP 10,395 UNCH $88
     COM10,395UNCH$88
FTC SOLAR INC 90,000 +40,000 $62
     FTCI90,000+40,000$62
AKOUSTIS TECHNOLOGIES INC 65,000 -44,701 $54
     AKTS65,000-44,701$54
ANALOG DEVICES $0 (exited)
     ADI0-54,444$0
DMC GLOBAL INC $0 (exited)
     BOOM0-8,300$0
EAGLE PHARMACEUTICALS INC $0 (exited)
     EGRX0-12,566$0
GOLDMAN SACHS GQG PARTNERS INTERNATIONAL $0 (exited)
     COM0-198,020$0
GQG PARTNERS EMERGING MARKETS EQUITY $0 (exited)
     COM0-239,034$0
LINDE PLC $0 (exited)
     COM0-37,343$0
UNITY SOFTWARE $0 (exited)
     U0-31,000$0
UBER TECHNOLOGIES $0 (exited)
     UBER0-30,075$0
UNITEDHEALTH 0 -614 $0 (exited)
     UNH0-614$0

See Summary: Connors Investor Services Inc. Top Holdings
See Details: Top 10 Stocks Held By Connors Investor Services Inc.

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