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Entity | Shares/Amount Change | Position Value Change |
CDNS |
+166,000 | +$45,213 | AVGO |
+31,000 | +$34,604 | TYL |
+50,000 | +$20,906 |
Entity | Shares/Amount Change | Position Value Change |
F |
-3,243,000 | -$40,278 | HES |
-247,300 | -$37,837 |
Entity | Shares/Amount Change | Position Value Change |
AMZN |
+30,000 | +$20,003 | SPGI |
+20,000 | +$17,613 | MSFT |
UNCH | +$20,779 | MA |
UNCH | +$3,295 | CMG |
UNCH | +$5,143 | ROKU |
UNCH | +$5,517 | SE |
UNCH | -$1,511 | FICO |
-8,000 | +$16,867 | NVDA |
-15,000 | +$6,424 | BA |
-60,000 | +$12,642 |
Entity | Shares/Amount Change | Position Value Change |
QCOM |
-105,000 | -$7,499 | AAPL |
-63,000 | -$5,492 |
Size ($ in 1000's)
At 12/31/2023: $860,642 At 09/30/2023: $744,253
Cypress Funds LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Cypress Funds LLC 13F filings.
Link to 13F filings: SEC filings
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As of 12/31/2023, we find all stocks held by Cypress Funds LLC to be as follows, presented in the
table below with each row detailing each Cypress Funds LLC position, ordered by largest to smallest position size.
The all-stocks-held-by-Cypress Funds LLC table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Cypress Funds LLC as of the latest filing.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
MICROSOFT CORP |
344,655 |
UNCH |
$129,604 | MSFT | 344,655 | UNCH | $129,604 | NVIDIA CORPORATION |
215,000 |
-15,000 |
$106,472 | NVDA | 215,000 | -15,000 | $106,472 | AMAZON COM INC |
652,300 |
+30,000 |
$99,110 | AMZN | 652,300 | +30,000 | $99,110 | FAIR ISAAC CORP |
80,600 |
-8,000 |
$93,819 | FICO | 80,600 | -8,000 | $93,819 | BOEING CO |
350,000 |
-60,000 |
$91,231 | BA | 350,000 | -60,000 | $91,231 | S&P GLOBAL INC |
137,192 |
+20,000 |
$60,436 | SPGI | 137,192 | +20,000 | $60,436 | APPLE INC |
248,332 |
-63,000 |
$47,811 | AAPL | 248,332 | -63,000 | $47,811 | MASTERCARD INCORPORATED |
107,673 |
UNCH |
$45,924 | MA | 107,673 | UNCH | $45,924 | CADENCE DESIGN SYSTEMS INC |
166,000 |
+166,000 |
$45,213 | CDNS | 166,000 | +166,000 | $45,213 | BROADCOM INC |
31,000 |
+31,000 |
$34,604 | AVGO | 31,000 | +31,000 | $34,604 | CHIPOTLE MEXICAN GRILL INC |
11,300 |
UNCH |
$25,843 | CMG | 11,300 | UNCH | $25,843 | ROKU INC |
261,851 |
UNCH |
$24,001 | ROKU | 261,851 | UNCH | $24,001 | TYLER TECHNOLOGIES INC |
50,000 |
+50,000 |
$20,906 | TYL | 50,000 | +50,000 | $20,906 | QUALCOMM INC |
124,000 |
-105,000 |
$17,934 | QCOM | 124,000 | -105,000 | $17,934 | SEA LTD ADR |
437,884 |
+0 |
$17,734 | SE | 437,884 | UNCH | $17,734 | FORD MTR CO |
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$0 (exited) | F | 0 | -3,243,000 | $0 | HESS CORP |
0 |
-247,300 |
$0 (exited) | HES | 0 | -247,300 | $0 |
See Summary: Cypress Funds LLC Top Holdings
See Details: Top 10 Stocks Held By Cypress Funds LLC
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