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Entity | Shares/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 |
Entity | Shares/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 |
Entity | Shares/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 |
Entity | Shares/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: $812,171
Connors Investor Services Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Connors Investor Services Inc. 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2023, we find all stocks held by Connors Investor Services Inc. to be as follows, presented in the
table below with each row detailing each Connors Investor Services Inc. position, ordered by largest to smallest position size.
The all-stocks-held-by-Connors Investor Services Inc. table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Connors Investor Services Inc. as of the latest filing.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
SPDR S & P 500 INDEX (SPY) |
104,766 |
-922 |
$49,796 | SPY | 104,766 | -922 | $49,796 | MICROSOFT |
100,929 |
-1,886 |
$37,953 | MSFT | 100,929 | -1,886 | $37,953 | APPLE |
178,824 |
-5,222 |
$34,429 | AAPL | 178,824 | -5,222 | $34,429 | ALPHABET CLASS A |
175,388 |
+2,608 |
$24,500 | GOOGL | 175,388 | +2,608 | $24,500 | MORGAN STANLEY |
235,222 |
+26,995 |
$21,934 | MS | 235,222 | +26,995 | $21,934 | AMAZONCOM |
143,213 |
+26,293 |
$21,760 | AMZN | 143,213 | +26,293 | $21,760 | ISHARES RUSSELL 2000 INDEX (IWM) |
95,882 |
-4,890 |
$19,244 | IWM | 95,882 | -4,890 | $19,244 | ABBOTT LABORATORIES |
171,776 |
-121 |
$18,907 | ABT | 171,776 | -121 | $18,907 | PALANTIR TECHNOLOGIES |
1,029,028 |
-800 |
$17,668 | PLTR | 1,029,028 | -800 | $17,668 | COSTCO WHOLESALE |
25,918 |
+190 |
$17,108 | COST | 25,918 | +190 | $17,108 | ADOBE |
27,911 |
+702 |
$16,652 | ADBE | 27,911 | +702 | $16,652 | STRYKER |
55,260 |
-689 |
$16,548 | SYK | 55,260 | -689 | $16,548 | AMERICAN EXPRESS |
84,665 |
-574 |
$15,861 | AXP | 84,665 | -574 | $15,861 | CHUBB |
68,785 |
+1,724 |
$15,545 | CB | 68,785 | +1,724 | $15,545 | ABBVIE |
98,776 |
-515 |
$15,307 | ABBV | 98,776 | -515 | $15,307 | LINDE PLC |
36,549 |
+36,549 |
$15,011 | COM | 36,549 | +36,549 | $15,011 | PALO ALTO NETWORKS |
50,810 |
-8,195 |
$14,983 | PANW | 50,810 | -8,195 | $14,983 | ADVANCED MICRO DEVICES |
100,093 |
+12,576 |
$14,755 | AMD | 100,093 | +12,576 | $14,755 | LOWES |
66,154 |
+4,014 |
$14,723 | LOW | 66,154 | +4,014 | $14,723 | EATON |
61,112 |
+8,766 |
$14,717 | ETN | 61,112 | +8,766 | $14,717 | RAYTHEON TECHNOLOGIES |
173,282 |
-6,372 |
$14,580 | RTX | 173,282 | -6,372 | $14,580 | VISA |
55,893 |
-3,096 |
$14,552 | V | 55,893 | -3,096 | $14,552 | PEPSICO |
84,016 |
-823 |
$14,269 | PEP | 84,016 | -823 | $14,269 | MCDONALDS |
48,061 |
+3,628 |
$14,251 | MCD | 48,061 | +3,628 | $14,251 | MERCK |
129,901 |
+6,374 |
$14,162 | MRK | 129,901 | +6,374 | $14,162 | LILLY ELI |
24,266 |
-4,574 |
$14,145 | LLY | 24,266 | -4,574 | $14,145 | EMERSON ELECTRIC |
144,266 |
+18,076 |
$14,041 | EMR | 144,266 | +18,076 | $14,041 | SALESFORCE COM |
52,871 |
+52,871 |
$13,912 | CRM | 52,871 | +52,871 | $13,912 | TJX COMPANIES |
146,900 |
+9,316 |
$13,781 | TJX | 146,900 | +9,316 | $13,781 | DOORDASH |
137,000 |
-24,538 |
$13,548 | DASH | 137,000 | -24,538 | $13,548 | HONEYWELL INTERNATIONAL |
64,407 |
+320 |
$13,507 | HON | 64,407 | +320 | $13,507 | JPMORGAN CHASE |
77,513 |
+168 |
$13,185 | JPM | 77,513 | +168 | $13,185 | META PLATFORMS |
36,703 |
+1,187 |
$12,991 | META | 36,703 | +1,187 | $12,991 | ORACLE |
122,345 |
+9,251 |
$12,899 | ORCL | 122,345 | +9,251 | $12,899 | ZOETIS |
65,288 |
+5,562 |
$12,886 | ZTS | 65,288 | +5,562 | $12,886 | NVIDIA |
25,962 |
+13,406 |
$12,857 | NVDA | 25,962 | +13,406 | $12,857 | QUANTA SERVICES |
58,905 |
+58,905 |
$12,712 | PWR | 58,905 | +58,905 | $12,712 | WELLS FARGO |
240,064 |
-5,996 |
$11,816 | WFC | 240,064 | -5,996 | $11,816 | DUPONT DE NEMOURS |
142,278 |
+21,571 |
$10,945 | DD | 142,278 | +21,571 | $10,945 | SCHLUMBERGER |
210,258 |
-5,265 |
$10,942 | SLB | 210,258 | -5,265 | $10,942 | COCACOLA |
180,693 |
+42,642 |
$10,648 | KO | 180,693 | +42,642 | $10,648 | WELLTOWER |
106,477 |
+106,477 |
$9,601 | WELL | 106,477 | +106,477 | $9,601 | TARGET |
65,373 |
+57,728 |
$9,310 | TGT | 65,373 | +57,728 | $9,310 | CHEVRON |
60,902 |
-25,506 |
$9,084 | CVX | 60,902 | -25,506 | $9,084 | CONOCOPHILLIPS |
64,177 |
+21,130 |
$7,449 | COP | 64,177 | +21,130 | $7,449 | VANGUARD FTSE EMERGING MARKETS ETF (VWO) |
180,255 |
-1,111 |
$7,408 | VWO | 180,255 | -1,111 | $7,408 | NIKE |
66,516 |
+66,516 |
$7,222 | NKE | 66,516 | +66,516 | $7,222 | ISHARES MSCI EAFE INDEX (EFA) |
66,912 |
-990 |
$5,042 | EFA | 66,912 | -990 | $5,042 | ROBLOX |
100,000 |
-5,000 |
$4,572 | RBLX | 100,000 | -5,000 | $4,572 | CALAVO GROWERS INC |
154,284 |
-4,317 |
$4,537 | CVGW | 154,284 | -4,317 | $4,537 | PROCTER & GAMBLE |
28,672 |
-68,869 |
$4,202 | PG | 28,672 | -68,869 | $4,202 | INNOSPEC INC |
32,849 |
+1,357 |
$4,048 | IOSP | 32,849 | +1,357 | $4,048 | VANGUARD FTSE ALLWORLD EXUS SMALLCAP ETF (VSS) |
34,084 |
-58 |
$3,921 | VSS | 34,084 | -58 | $3,921 | HEALTHSTREAM INC |
134,026 |
+2,208 |
$3,623 | HSTM | 134,026 | +2,208 | $3,623 | NV5 GLOBAL INC |
32,427 |
+608 |
$3,603 | NVEE | 32,427 | +608 | $3,603 | GLOBAL MEDICAL REIT INC |
321,648 |
+10,223 |
$3,570 | GMRE | 321,648 | +10,223 | $3,570 | CONFLUENT |
146,000 |
UNCH |
$3,416 | CFLT | 146,000 | UNCH | $3,416 | AMERESCO INC |
105,547 |
+44,359 |
$3,343 | AMRC | 105,547 | +44,359 | $3,343 | SM ENERGY CO |
85,704 |
+1,211 |
$3,318 | SM | 85,704 | +1,211 | $3,318 | SIMMONS FIRST NATIONAL CORP |
153,821 |
+7,359 |
$3,052 | SFNC | 153,821 | +7,359 | $3,052 | SHUTTERSTOCK INC |
61,858 |
+11 |
$2,987 | SSTK | 61,858 | +11 | $2,987 | CLEAN ENERGY FUELS CORP |
774,718 |
+115,886 |
$2,967 | CLNE | 774,718 | +115,886 | $2,967 | INTERNATIONAL MONEY EXPRESS INC |
132,795 |
+2,286 |
$2,933 | IMXI | 132,795 | +2,286 | $2,933 | SHYFT GROUP INC |
234,568 |
+82,521 |
$2,866 | SHYF | 234,568 | +82,521 | $2,866 | ARTIVION INC |
159,987 |
+1,471 |
$2,861 | AORT | 159,987 | +1,471 | $2,861 | EASTERLY GOVERNMENT PROPERTIES INC |
212,635 |
+3,070 |
$2,858 | DEA | 212,635 | +3,070 | $2,858 | TRUPANION INC |
92,459 |
+23,714 |
$2,821 | TRUP | 92,459 | +23,714 | $2,821 | CYBERARK SOFTWARE LTD |
12,527 |
+130 |
$2,744 | CYBR | 12,527 | +130 | $2,744 | HEALTHCARE SERVICES GROUP INC |
263,434 |
+21,915 |
$2,732 | HCSG | 263,434 | +21,915 | $2,732 | CRYOPORT INC |
175,014 |
+2,147 |
$2,711 | CYRX | 175,014 | +2,147 | $2,711 | SEMTECH CORP |
120,593 |
+33,457 |
$2,642 | SMTC | 120,593 | +33,457 | $2,642 | IMAX CORP |
172,933 |
+3,041 |
$2,597 | IMAX | 172,933 | +3,041 | $2,597 | AXOS FINANCIAL INC |
46,445 |
+597 |
$2,536 | AX | 46,445 | +597 | $2,536 | PRESTIGE CONSUMER HEALTHCARE INC |
38,413 |
+10,983 |
$2,352 | PBH | 38,413 | +10,983 | $2,352 | ZETA GLOBAL HOLDINGS CORP |
262,488 |
+65,854 |
$2,315 | ZETA | 262,488 | +65,854 | $2,315 | DISCOVER FINANCIAL SERVICES |
20,319 |
UNCH |
$2,284 | DFS | 20,319 | UNCH | $2,284 | GENTHERM INC |
43,405 |
-5,591 |
$2,273 | THRM | 43,405 | -5,591 | $2,273 | GREEN DOT CORP |
229,022 |
+88,326 |
$2,267 | GDOT | 229,022 | +88,326 | $2,267 | ONE GAS INC |
35,173 |
+35,173 |
$2,241 | OGS | 35,173 | +35,173 | $2,241 | APOGEE ENTERPRISES INC |
41,753 |
-11,444 |
$2,230 | APOG | 41,753 | -11,444 | $2,230 | AEROVIRONMENT INC |
17,613 |
-12,557 |
$2,220 | AVAV | 17,613 | -12,557 | $2,220 | OMNICELL INC |
58,045 |
+28,057 |
$2,184 | OMCL | 58,045 | +28,057 | $2,184 | SPROUTS FARMERS MARKET INC |
43,989 |
-14,136 |
$2,116 | SFM | 43,989 | -14,136 | $2,116 | VERIZON COMMUNICATIONS |
55,950 |
+9,190 |
$2,109 | VZ | 55,950 | +9,190 | $2,109 | THE HACKETT GROUP INC |
87,810 |
-16,421 |
$1,999 | HCKT | 87,810 | -16,421 | $1,999 | LOVESAC CO |
77,633 |
+28,878 |
$1,984 | LOVE | 77,633 | +28,878 | $1,984 | SONOS INC |
113,505 |
+41,739 |
$1,945 | SONO | 113,505 | +41,739 | $1,945 | AMN HEALTHCARE SERVICES INC |
25,519 |
-10,530 |
$1,911 | AMN | 25,519 | -10,530 | $1,911 | COMPUTER PROGRAMS & SYSTEMS INC |
162,887 |
+19,346 |
$1,824 | CPSI | 162,887 | +19,346 | $1,824 | CAMBIUM NETWORKS CORP |
297,828 |
+45,360 |
$1,787 | CMBM | 297,828 | +45,360 | $1,787 | BOEING |
6,000 |
-1,775 |
$1,564 | BA | 6,000 | -1,775 | $1,564 | PNC FINANCIAL SERVICES GROUP |
9,417 |
-10 |
$1,458 | PNC | 9,417 | -10 | $1,458 | PETMED EXPRESS INC |
174,316 |
+10,142 |
$1,318 | PETS | 174,316 | +10,142 | $1,318 | QUALCOMM |
7,035 |
-100 |
$1,017 | QCOM | 7,035 | -100 | $1,017 | JOHNSON & JOHNSON |
6,392 |
-76,582 |
$1,002 | JNJ | 6,392 | -76,582 | $1,002 | EXPEDIA GROUP |
5,600 |
UNCH |
$850 | EXPE | 5,600 | UNCH | $850 | GOLDMAN SACHS GROUP |
1,705 |
-20 |
$658 | GS | 1,705 | -20 | $658 | ISHARES CORE S&P MID CAP ETF (IJH) |
2,305 |
-12 |
$639 | IJH | 2,305 | -12 | $639 | NEXTERA ENERGY RESOURCES |
9,465 |
-112,090 |
$575 | NEE | 9,465 | -112,090 | $575 | AUTOMATIC DATA PROCESSING |
2,144 |
UNCH |
$499 | ADP | 2,144 | UNCH | $499 | HOME DEPOT |
1,415 |
-210 |
$490 | HD | 1,415 | -210 | $490 | SPDR S&P MIDCAP 400 ETF (MDY) |
915 |
UNCH |
$464 | MDY | 915 | UNCH | $464 | GENERAL MOTORS |
12,275 |
UNCH |
$441 | GM | 12,275 | UNCH | $441 | KIMBERLYCLARK |
3,440 |
-100 |
$418 | KMB | 3,440 | -100 | $418 | UNION PACIFIC |
1,565 |
UNCH |
$384 | UNP | 1,565 | UNCH | $384 | CSX |
10,685 |
UNCH |
$370 | CSX | 10,685 | UNCH | $370 | COLGATEPALMOLIVE |
4,610 |
-550 |
$367 | CL | 4,610 | -550 | $367 | CISCO SYSTEMS |
7,203 |
-218,276 |
$364 | CSCO | 7,203 | -218,276 | $364 | EXXONMOBIL |
3,570 |
UNCH |
$357 | XOM | 3,570 | UNCH | $357 | DUKE ENERGY |
3,617 |
UNCH |
$351 | COM | 3,617 | UNCH | $351 | OPTIMIZERX CORP |
24,500 |
+2,000 |
$351 | OPRX | 24,500 | +2,000 | $351 | PUBLIC STORAGE |
1,150 |
UNCH |
$351 | PSA | 1,150 | UNCH | $351 | LITHIA MOTORS INC CL A |
1,055 |
UNCH |
$347 | LAD | 1,055 | UNCH | $347 | DOW |
6,040 |
UNCH |
$331 | DOW | 6,040 | UNCH | $331 | M&T BANK CORP |
2,304 |
UNCH |
$316 | MTB | 2,304 | UNCH | $316 | BERKSHIRE HATHAWAY CL B |
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$314 | BRK.B | 880 | UNCH | $314 | GUGGENHEIM TOTAL RETURN BOND |
13,140 |
+13,140 |
$313 | COM | 13,140 | +13,140 | $313 | SIMULATIONS PLUS INC |
6,645 |
+800 |
$297 | SLP | 6,645 | +800 | $297 | GENERAL MILLS |
4,430 |
UNCH |
$289 | GIS | 4,430 | UNCH | $289 | WILLDAN GROUP INC |
12,672 |
UNCH |
$272 | WLDN | 12,672 | UNCH | $272 | ZYNEX INC |
24,250 |
UNCH |
$264 | ZYXI | 24,250 | UNCH | $264 | HERSHEY |
1,370 |
UNCH |
$255 | HSY | 1,370 | UNCH | $255 | ITERIS INC |
48,500 |
-3,000 |
$252 | ITI | 48,500 | -3,000 | $252 | ISHARES CORE S&P SMALLCAP ETF (IJR) |
2,319 |
-35 |
$251 | IJR | 2,319 | -35 | $251 | COMMUNITY HEALTHCARE TRUST INC |
9,400 |
+1,300 |
$250 | CHCT | 9,400 | +1,300 | $250 | VANGUARD S&P 500 ETF (VOO) |
572 |
-175 |
$250 | VOO | 572 | -175 | $250 | ANIKA THERAPEUTICS INC |
10,699 |
UNCH |
$242 | ANIK | 10,699 | UNCH | $242 | REALTY INCOME |
4,145 |
-159,542 |
$238 | O | 4,145 | -159,542 | $238 | EVOLUTION PETROLEUM CORP |
40,300 |
+4,500 |
$234 | EPM | 40,300 | +4,500 | $234 | UMH PROPERTIES INC |
15,300 |
UNCH |
$234 | UMH | 15,300 | UNCH | $234 | AON |
800 |
UNCH |
$233 | AON | 800 | UNCH | $233 | LOCKHEED MARTIN |
515 |
+515 |
$233 | LMT | 515 | +515 | $233 | QUEST RESOURCE HOLDING CORP |
31,840 |
UNCH |
$233 | QRHC | 31,840 | UNCH | $233 | AMERICAN SOFTWARE INC |
20,000 |
+6,500 |
$226 | AMSWA | 20,000 | +6,500 | $226 | NORTHWEST PIPE CO |
7,400 |
UNCH |
$224 | NWPX | 7,400 | UNCH | $224 | WAL MART STORES |
1,400 |
UNCH |
$221 | WMT | 1,400 | UNCH | $221 | FIRST INTERNET BANCORP |
8,955 |
+8,955 |
$217 | INBK | 8,955 | +8,955 | $217 | QUIPT HOME MEDICAL CORP |
41,208 |
UNCH |
$210 | QIPT | 41,208 | UNCH | $210 | STANLEY BLACK & DECKER |
2,145 |
-120,410 |
$210 | SWK | 2,145 | -120,410 | $210 | PFIZER |
7,238 |
-705 |
$208 | PFE | 7,238 | -705 | $208 | FUTUREFUEL CORP |
33,800 |
UNCH |
$206 | FF | 33,800 | UNCH | $206 | PAYSIGN INC |
72,980 |
UNCH |
$204 | PAYS | 72,980 | UNCH | $204 | EURONET WORLDWIDE INC |
2,000 |
+2,000 |
$203 | EEFT | 2,000 | +2,000 | $203 | PHIBRO ANIMAL HEALTH CORP |
16,646 |
+2,500 |
$193 | PAHC | 16,646 | +2,500 | $193 | ENTRAVISION COMMUNICATIONS CORP |
44,000 |
UNCH |
$183 | EVC | 44,000 | UNCH | $183 | ORGANOGENESIS HOLDINGS INC |
43,000 |
+43,000 |
$176 | ORGO | 43,000 | +43,000 | $176 | BIOLIFE SOLUTIONS INC |
10,200 |
+10,200 |
$166 | BLFS | 10,200 | +10,200 | $166 | TRANSACT TECHNOLOGIES INC |
23,000 |
-1,582 |
$161 | TACT | 23,000 | -1,582 | $161 | GLOBAL WATER RESOURCES CORP |
10,404 |
UNCH |
$136 | GWRS | 10,404 | UNCH | $136 | ORION ENERGY SYSTEMS INC |
150,000 |
+6,361 |
$130 | OESX | 150,000 | +6,361 | $130 | NORTHERN TECHNOLOGIES INTERNATIONAL CORP |
10,407 |
UNCH |
$123 | NTIC | 10,407 | UNCH | $123 | PARK CITY GROUP INC |
11,463 |
UNCH |
$115 | PCYG | 11,463 | UNCH | $115 | MARINE PRODUCTS CORP |
10,000 |
-1,118 |
$114 | MPX | 10,000 | -1,118 | $114 | MAUCH CHUNK TRUST FINANCIAL CORP |
10,395 |
UNCH |
$88 | COM | 10,395 | UNCH | $88 | FTC SOLAR INC |
90,000 |
+40,000 |
$62 | FTCI | 90,000 | +40,000 | $62 | AKOUSTIS TECHNOLOGIES INC |
65,000 |
-44,701 |
$54 | AKTS | 65,000 | -44,701 | $54 | ANALOG DEVICES |
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$0 (exited) | ADI | 0 | -54,444 | $0 | DMC GLOBAL INC |
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$0 (exited) | BOOM | 0 | -8,300 | $0 | EAGLE PHARMACEUTICALS INC |
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$0 (exited) | EGRX | 0 | -12,566 | $0 | GOLDMAN SACHS GQG PARTNERS INTERNATIONAL |
|
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$0 (exited) | COM | 0 | -198,020 | $0 | GQG PARTNERS EMERGING MARKETS EQUITY |
|
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$0 (exited) | COM | 0 | -239,034 | $0 | LINDE PLC |
|
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$0 (exited) | COM | 0 | -37,343 | $0 | UNITY SOFTWARE |
|
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$0 (exited) | U | 0 | -31,000 | $0 | UBER TECHNOLOGIES |
|
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$0 (exited) | UBER | 0 | -30,075 | $0 | UNITEDHEALTH |
0 |
-614 |
$0 (exited) | UNH | 0 | -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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