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Entity | Shares/Amount Change | Position Value Change |
SJT |
-15,625 | -$79 |
Entity | Shares/Amount Change | Position Value Change |
EAF |
+218,418 | -$982 | ABEV |
+49,003 | -$769 | PARA |
+36,382 | -$2,789 | NEM |
+27,392 | -$2,803 | CVE |
+17,984 | +$1,700 | PKE |
+16,512 | +$1,130 | WMT |
+13,084 | +$150 | AEM |
+11,304 | +$2,150 | BEN |
+9,040 | -$712 | TRC |
+6,620 | -$750 |
Entity | Shares/Amount Change | Position Value Change |
CCJ |
-236,285 | -$10,055 | MRK |
-67,805 | -$4,438 | LUMN |
-63,839 | -$842 | TECK |
-7,671 | +$3,321 | GLT |
-6,000 | +$14 | L |
-2,445 | +$841 | FCX |
-964 | +$1,012 | AGI |
-779 | +$41 | CSCO |
-130 | -$96 |
Size ($ in 1000's)
At 03/31/2024: $636,617 At 12/31/2023: $627,817
Foundation Resource Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Foundation Resource Management Inc. 13F filings.
Link to 13F filings: SEC filings
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As of 03/31/2024, we find all stocks held by Foundation Resource Management Inc. to be as follows, presented in the
table below with each row detailing each Foundation Resource Management Inc. position, ordered by largest to smallest position size.
The all-stocks-held-by-Foundation Resource Management Inc. table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Foundation Resource Management Inc. as of the latest filing.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
EXXON MOBIL |
442,127 |
+2,619 |
$51,393 | XOM | 442,127 | +2,619 | $51,393 | TECK RESOURCES LTD CL B |
1,038,370 |
-7,671 |
$47,537 | TECK | 1,038,370 | -7,671 | $47,537 | BERKSHIRE HATHAWAY CL B |
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$45,778 | BRK.B | 101,317 | +635 | $42,606 | BRK.A | 5 | UNCH | $3,172 | CONOCOPHILLIPS |
300,877 |
+212 |
$38,296 | COP | 300,877 | +212 | $38,296 | CHEVRON |
241,177 |
+2,556 |
$38,043 | CVX | 241,177 | +2,556 | $38,043 | VERIZON COMMUNICATIONS INC COM |
639,956 |
+3,247 |
$26,853 | VZ | 639,956 | +3,247 | $26,853 | CAMECO CORP |
587,868 |
-236,285 |
$25,466 | CCJ | 587,868 | -236,285 | $25,466 | NEWMONT GOLDCORP |
709,449 |
+27,392 |
$25,427 | NEM | 709,449 | +27,392 | $25,427 | INTEL CORP. |
550,803 |
+3,515 |
$24,329 | INTC | 550,803 | +3,515 | $24,329 | MOSAIC |
633,849 |
+3,633 |
$20,575 | MOS | 633,849 | +3,633 | $20,575 | AGNICO EAGLE MINES LTD |
318,828 |
+11,304 |
$19,018 | AEM | 318,828 | +11,304 | $19,018 | MERCK AND CO. INC. |
128,818 |
-67,805 |
$16,998 | MRK | 128,818 | -67,805 | $16,998 | FRANKLIN RESOURCES INC COM |
584,336 |
+9,040 |
$16,426 | BEN | 584,336 | +9,040 | $16,426 | PFIZER INC COM |
574,299 |
+5,272 |
$15,937 | PFE | 574,299 | +5,272 | $15,937 | FEDERATED HERMES INC |
418,573 |
+3,994 |
$15,119 | FHI | 418,573 | +3,994 | $15,119 | GILEAD SCIENCES INC |
205,686 |
+5,261 |
$15,067 | GILD | 205,686 | +5,261 | $15,067 | SANOFI |
275,419 |
+5,423 |
$13,385 | SNY | 275,419 | +5,423 | $13,385 | PARAMOUNT GLOBAL |
1,101,664 |
+36,382 |
$12,967 | PARA | 1,101,664 | +36,382 | $12,967 | KRAFT HEINZ COMPANY |
323,482 |
+579 |
$11,936 | KHC | 323,482 | +579 | $11,936 | BARRICK GOLD CORP |
700,320 |
+1,903 |
$11,653 | GOLD | 700,320 | +1,903 | $11,653 | HP INC |
377,478 |
+852 |
$11,407 | HPQ | 377,478 | +852 | $11,407 | FREEPORT MCMORAN INC. |
236,715 |
-964 |
$11,130 | FCX | 236,715 | -964 | $11,130 | PHILLIPS 66 |
66,212 |
UNCH |
$10,815 | PSX | 66,212 | UNCH | $10,815 | TSAKOS ENERGY NAVIGATION LTD |
369,134 |
+2,032 |
$9,372 | TNP | 369,134 | +2,032 | $9,372 | LOEWS |
116,304 |
-2,445 |
$9,105 | L | 116,304 | -2,445 | $9,105 | CENOVUS ENERGY INC. |
419,379 |
+17,984 |
$8,383 | CVE | 419,379 | +17,984 | $8,383 | PERMIAN BASIN ROYALTY TRUST |
682,634 |
+5,671 |
$8,260 | PBT | 682,634 | +5,671 | $8,260 | CNH INDUSTRIAL NV |
632,301 |
+6,337 |
$8,195 | CNHI | 632,301 | +6,337 | $8,195 | PARK AEROSPACE CORP |
459,846 |
+16,512 |
$7,647 | PKE | 459,846 | +16,512 | $7,647 | TEJON RANCH CO |
482,773 |
+6,620 |
$7,440 | TRC | 482,773 | +6,620 | $7,440 | CISCO SYSTEMS |
147,401 |
-130 |
$7,357 | CSCO | 147,401 | -130 | $7,357 | ABBVIE INC |
39,637 |
-46 |
$7,218 | ABBV | 39,637 | -46 | $7,218 | AMBEV SA SPON ADR |
2,829,628 |
+49,003 |
$7,017 | ABEV | 2,829,628 | +49,003 | $7,017 | APACHE CORP |
147,758 |
+5,353 |
$5,080 | APA | 147,758 | +5,353 | $5,080 | OVINTIV INC |
88,215 |
+3,655 |
$4,578 | OVV | 88,215 | +3,655 | $4,578 | LUMEN TECHNOLOGIES |
2,685,554 |
-63,839 |
$4,189 | LUMN | 2,685,554 | -63,839 | $4,189 | DEVON ENERGY |
81,679 |
+5,109 |
$4,099 | DVN | 81,679 | +5,109 | $4,099 | CORNING |
98,772 |
UNCH |
$3,256 | GLW | 98,772 | UNCH | $3,256 | GRAFTECH INTERNATIONAL LTD |
1,803,484 |
+218,418 |
$2,489 | EAF | 1,803,484 | +218,418 | $2,489 | TRANSOCEAN LTD |
195,706 |
+727 |
$1,229 | RIG | 195,706 | +727 | $1,229 | WAL MART STORES |
19,626 |
+13,084 |
$1,181 | WMT | 19,626 | +13,084 | $1,181 | MARATHON PETROLEUM CORP |
4,929 |
UNCH |
$993 | MPC | 4,929 | UNCH | $993 | GLATFELTER CORP |
432,037 |
-6,000 |
$864 | GLT | 432,037 | -6,000 | $864 | THE TRAVELERS COS. INC. |
2,665 |
UNCH |
$613 | TRV | 2,665 | UNCH | $613 | ALAMOS GOLD INC FCLASS A |
40,160 |
-779 |
$592 | AGI | 40,160 | -779 | $592 | CHUBB LTD INC |
2,129 |
UNCH |
$552 | CB | 2,129 | UNCH | $552 | IMPERIAL OIL LTD |
7,025 |
UNCH |
$486 | IMO | 7,025 | UNCH | $486 | MURPHY OIL CORP |
6,050 |
UNCH |
$276 | MUR | 6,050 | UNCH | $276 | INTERNATIONAL BUSINESS MACHINE |
1,399 |
UNCH |
$267 | IBM | 1,399 | UNCH | $267 | EASTMAN CHEMICAL |
2,400 |
UNCH |
$241 | EMN | 2,400 | UNCH | $241 | SAN JUAN BASIN ROYALTY TRUST |
15,625 |
+0 |
$83 | SJT | 15,625 | UNCH | $83 |
See Summary: Foundation Resource Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Foundation Resource Management Inc.
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