|
Entity | Shares/Amount Change | Position Value Change |
VOO |
+188,685 | +$82,418 | XLP |
+406,372 | +$29,271 | IWM |
+70,203 | +$14,090 | XLU |
+183,633 | +$11,629 | VCIT |
+88,768 | +$7,215 | SGOV |
+5,463 | +$548 | XLI |
+3,783 | +$431 | BX |
+1,772 | +$232 | ADI |
+1,125 | +$223 | WEST |
+20,000 | +$204 |
Entity | Shares/Amount Change | Position Value Change |
XT |
-172,543 | -$9,008 |
Entity | Shares/Amount Change | Position Value Change |
SCHX |
+998,794 | +$56,964 | XLV |
+115,270 | +$16,427 | TSN |
+83,578 | +$4,618 | VXUS |
+65,887 | +$5,017 | IJH |
+48,494 | +$13,500 | TSLA |
+30,277 | +$7,522 | META |
+24,059 | +$8,556 | JBHT |
+23,699 | +$6,218 | IEF |
+23,672 | +$3,173 | NVDA |
+21,914 | +$10,892 |
Entity | Shares/Amount Change | Position Value Change |
BOC |
-568,050 | -$9,310 | GLW |
-373,937 | -$11,394 | GM |
-359,357 | -$11,847 | NEP |
-198,907 | -$5,909 | OTIS |
-141,493 | -$11,341 | IGIB |
-132,748 | -$3,137 | PYPL |
-113,442 | -$6,632 | TER |
-109,834 | -$11,033 | NKE |
-102,796 | -$9,827 |
Size ($ in 1000's)
At 12/31/2023: $937,592 At 09/30/2023: $845,001
Greenwood Gearhart Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Greenwood Gearhart Inc. 13F filings.
Link to 13F filings: SEC filings
|
|
|
As of 12/31/2023, we find all stocks held by Greenwood Gearhart Inc. to be as follows, presented in the
table below with each row detailing each Greenwood Gearhart Inc. position, ordered by largest to smallest position size.
The all-stocks-held-by-Greenwood Gearhart Inc. table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Greenwood Gearhart Inc. as of the latest filing.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
S&P 500 Index ETF (VOO) |
188,685 |
+188,685 |
$82,418 | VOO | 188,685 | +188,685 | $82,418 | U.S. Large Cap ETF (SCHX) |
1,107,955 |
+998,794 |
$62,488 | SCHX | 1,107,955 | +998,794 | $62,488 | iShares Intermediate Credit Bond ETF (IGIB) |
991,562 |
-132,748 |
$51,561 | IGIB | 991,562 | -132,748 | $51,561 | Apple Inc |
205,158 |
-67,473 |
$39,499 | AAPL | 205,158 | -67,473 | $39,499 | Microsoft Corp |
93,739 |
-40,500 |
$35,248 | MSFT | 93,739 | -40,500 | $35,248 | iShares 1 3 Year Credit Bond ETF (IGSB) |
621,877 |
-10,058 |
$31,887 | IGSB | 621,877 | -10,058 | $31,887 | JB Hunt Transport Services Inc |
156,000 |
+23,699 |
$31,159 | JBHT | 156,000 | +23,699 | $31,159 | Consumer Staples Sector ETF (XLP) |
406,372 |
+406,372 |
$29,271 | XLP | 406,372 | +406,372 | $29,271 | JP Morgan Ultra short Income ETF (JPST) |
577,279 |
-9,046 |
$28,997 | JPST | 577,279 | -9,046 | $28,997 | Health Care Select ETF (XLV) |
207,751 |
+115,270 |
$28,333 | XLV | 207,751 | +115,270 | $28,333 | Alphabet Inc |
169,895 |
-96,722 |
$23,942 | GOOG | 169,895 | -96,722 | $23,942 | Wal Mart Stores Inc |
131,083 |
-35,439 |
$20,665 | WMT | 131,083 | -35,439 | $20,665 | Berkshire Hathaway Inc Class B |
|
|
$20,369 | BRK.B | 57,111 | +1,367 | $20,369 | iShares 7 10 Year Treasury Bond ETF (IEF) |
209,208 |
+23,672 |
$20,166 | IEF | 209,208 | +23,672 | $20,166 | Vanguard International ETF (VXUS) |
336,014 |
+65,887 |
$19,475 | VXUS | 336,014 | +65,887 | $19,475 | Semiconductor Index ETF (SOXX) |
29,104 |
+442 |
$16,766 | SOXX | 29,104 | +442 | $16,766 | Amazon.com Inc |
105,907 |
+2,625 |
$16,091 | AMZN | 105,907 | +2,625 | $16,091 | JPMorgan Chase & Co |
93,409 |
-1,142 |
$15,889 | JPM | 93,409 | -1,142 | $15,889 | Nasdaq 100 ETF (QQQ) |
35,412 |
-34 |
$14,502 | QQQ | 35,412 | -34 | $14,502 | Caterpillar Inc |
48,319 |
-6,186 |
$14,286 | CAT | 48,319 | -6,186 | $14,286 | Vanguard US REIT ETF (VNQ) |
161,325 |
-3,395 |
$14,255 | VNQ | 161,325 | -3,395 | $14,255 | Accenture PLC |
40,272 |
-27,300 |
$14,131 | ACN | 40,272 | -27,300 | $14,131 | iShares Russell 2000 ETF (IWM) |
70,203 |
+70,203 |
$14,090 | IWM | 70,203 | +70,203 | $14,090 | Core S&P Mid Cap ETF (IJH) |
50,628 |
+48,494 |
$14,032 | IJH | 50,628 | +48,494 | $14,032 | Merck & Co Inc |
127,060 |
-26,001 |
$13,852 | MRK | 127,060 | -26,001 | $13,852 | Royal Dutch Shell PLC |
208,144 |
-4,689 |
$13,696 | SHEL | 208,144 | -4,689 | $13,696 | Home Depot Inc |
39,389 |
-12,102 |
$13,650 | HD | 39,389 | -12,102 | $13,650 | Charles Schwab Corp |
194,631 |
-99,275 |
$13,390 | SCHW | 194,631 | -99,275 | $13,390 | Thermo Fisher Scientific Inc |
24,308 |
-516 |
$12,902 | TMO | 24,308 | -516 | $12,902 | Visa Inc |
47,784 |
-9,858 |
$12,440 | V | 47,784 | -9,858 | $12,440 | ASML Holding |
16,430 |
-241 |
$12,436 | ASML | 16,430 | -241 | $12,436 | Adobe Systems Inc |
20,145 |
-11,423 |
$12,018 | ADBE | 20,145 | -11,423 | $12,018 | Utilities Select ETF (XLU) |
183,633 |
+183,633 |
$11,629 | XLU | 183,633 | +183,633 | $11,629 | Walt Disney Co |
126,026 |
-6,478 |
$11,379 | DIS | 126,026 | -6,478 | $11,379 | iShares Emerging Markets ETF (EMXC) |
203,080 |
-17,208 |
$11,253 | EMXC | 203,080 | -17,208 | $11,253 | Nvidia Corp |
22,580 |
+21,914 |
$11,182 | NVDA | 22,580 | +21,914 | $11,182 | Jacobs Solutions Inc |
86,029 |
-7,552 |
$11,166 | J | 86,029 | -7,552 | $11,166 | Liberty Formula One |
171,517 |
-2,594 |
$10,829 | FWONK | 171,517 | -2,594 | $10,829 | Johnson & Johnson |
68,316 |
+1,656 |
$10,708 | JNJ | 68,316 | +1,656 | $10,708 | Deere & Co |
26,640 |
-7,006 |
$10,653 | DE | 26,640 | -7,006 | $10,653 | Facebook Inc |
24,809 |
+24,059 |
$8,781 | META | 24,809 | +24,059 | $8,781 | Tesla Inc |
31,222 |
+30,277 |
$7,758 | TSLA | 31,222 | +30,277 | $7,758 | Vanguard Intermediate Fund (VCIT) |
88,768 |
+88,768 |
$7,215 | VCIT | 88,768 | +88,768 | $7,215 | Solar ETF (TAN) |
131,749 |
-6,465 |
$7,029 | TAN | 131,749 | -6,465 | $7,029 | Homebanc Shares Inc (HOMB) |
266,967 |
-442 |
$6,762 | HOMB | 266,967 | -442 | $6,762 | Tyson Foods Inc |
122,182 |
+83,578 |
$6,567 | TSN | 122,182 | +83,578 | $6,567 | Stryker Corp |
7,189 |
-44,345 |
$2,153 | SYK | 7,189 | -44,345 | $2,153 | Exxon Mobil Corp |
21,128 |
-1,118 |
$2,112 | XOM | 21,128 | -1,118 | $2,112 | McDonald s Corp |
5,672 |
-254 |
$1,682 | MCD | 5,672 | -254 | $1,682 | Aon PLC |
5,379 |
-48,032 |
$1,566 | AON | 5,379 | -48,032 | $1,566 | Toast Inc |
78,300 |
UNCH |
$1,430 | TOST | 78,300 | UNCH | $1,430 | Bank of the Ozarks Inc |
26,336 |
-331 |
$1,312 | OZK | 26,336 | -331 | $1,312 | American Express Co |
6,993 |
-965 |
$1,310 | AXP | 6,993 | -965 | $1,310 | Lowe s Cos Inc |
5,621 |
-568 |
$1,251 | LOW | 5,621 | -568 | $1,251 | Boeing Co |
4,689 |
-67 |
$1,222 | BA | 4,689 | -67 | $1,222 | Entergy Corp New Com |
9,922 |
UNCH |
$1,004 | ETR | 9,922 | UNCH | $1,004 | Procter & Gamble Co |
6,046 |
-181 |
$886 | PG | 6,046 | -181 | $886 | Union Pacific Corp |
2,991 |
-41,886 |
$734 | UNP | 2,991 | -41,886 | $734 | Chevron Corp |
4,729 |
+25 |
$705 | CVX | 4,729 | +25 | $705 | Oracle Corp |
6,353 |
-2,562 |
$670 | ORCL | 6,353 | -2,562 | $670 | Rayonier Inc COM |
19,607 |
-3,418 |
$655 | RYN | 19,607 | -3,418 | $655 | Broadcom Inc |
549 |
UNCH |
$613 | AVGO | 549 | UNCH | $613 | Cisco Systems Inc |
11,829 |
-4,271 |
$598 | CSCO | 11,829 | -4,271 | $598 | iShares 0 3 Month Treasury ETF (SGOV) |
5,463 |
+5,463 |
$548 | SGOV | 5,463 | +5,463 | $548 | UnitedHealth Group Inc |
960 |
UNCH |
$505 | UNH | 960 | UNCH | $505 | U.S. Large Cap Value ETF (SCHV) |
7,190 |
-343 |
$504 | SCHV | 7,190 | -343 | $504 | Novartis AG |
4,942 |
-250 |
$499 | NVS | 4,942 | -250 | $499 | International Business Machines |
2,888 |
-398 |
$472 | IBM | 2,888 | -398 | $472 | Diageo PLC |
3,199 |
-90,746 |
$467 | DEO | 3,199 | -90,746 | $467 | Eli Lilly & Co |
794 |
-108 |
$463 | LLY | 794 | -108 | $463 | U.S. Large Cap Growth ETF (SCHG) |
5,512 |
-232 |
$457 | SCHG | 5,512 | -232 | $457 | iShares Russell 1000 ETF (IWB) |
1,733 |
UNCH |
$454 | IWB | 1,733 | UNCH | $454 | iShares Core S&P U.S. Growth ETF (IUSG) |
4,355 |
-453 |
$453 | IUSG | 4,355 | -453 | $453 | Vanguard Total Stock Market ETF (VTI) |
1,899 |
-349 |
$450 | VTI | 1,899 | -349 | $450 | Industrial Select Sector Spdr Fund (XLI) |
3,783 |
+3,783 |
$431 | XLI | 3,783 | +3,783 | $431 | ISHARES MSCI USA QUALITY FACTOR ETF (QUAL) |
2,821 |
UNCH |
$415 | QUAL | 2,821 | UNCH | $415 | Schwab Intl Equity ETF (SCHF) |
10,557 |
-9,354 |
$390 | SCHF | 10,557 | -9,354 | $390 | Corning Inc |
11,962 |
-373,937 |
$365 | GLW | 11,962 | -373,937 | $365 | Schwab U.S. Mid Cap ETF (SCHM) |
4,822 |
-129 |
$363 | SCHM | 4,822 | -129 | $363 | ConocoPhillips |
3,006 |
-200 |
$349 | COP | 3,006 | -200 | $349 | Palo Alto Networks Inc |
1,177 |
-23 |
$347 | PANW | 1,177 | -23 | $347 | S&P 500 Index (SPY) |
627 |
UNCH |
$298 | SPY | 627 | UNCH | $298 | Raytheon Technologies Corp |
3,099 |
-2,262 |
$261 | RTX | 3,099 | -2,262 | $261 | Linde PLC |
630 |
-58 |
$259 | LIN | 630 | -58 | $259 | Dillard s Inc |
625 |
UNCH |
$252 | DDS | 625 | UNCH | $252 | PetIQ Inc Com Cl A |
12,117 |
UNCH |
$239 | PETQ | 12,117 | UNCH | $239 | Blackstone Group LP |
1,772 |
+1,772 |
$232 | BX | 1,772 | +1,772 | $232 | Zoetis Inc |
1,155 |
UNCH |
$228 | ZTS | 1,155 | UNCH | $228 | Analog Devices Inc |
1,125 |
+1,125 |
$223 | ADI | 1,125 | +1,125 | $223 | Phillips 66 |
1,665 |
UNCH |
$222 | PSX | 1,665 | UNCH | $222 | Amgen Inc |
746 |
UNCH |
$215 | AMGN | 746 | UNCH | $215 | Otis Worldwide Corp |
2,375 |
-141,493 |
$213 | OTIS | 2,375 | -141,493 | $213 | Westrock Coffee Co Com |
20,000 |
+20,000 |
$204 | WEST | 20,000 | +20,000 | $204 | Eaton Corp |
840 |
+840 |
$202 | ETN | 840 | +840 | $202 | AbbVie Inc |
1,256 |
+1,256 |
$195 | ABBV | 1,256 | +1,256 | $195 | Vanguard Information Technology Index Fund (VGT) |
390 |
+390 |
$189 | VGT | 390 | +390 | $189 | Rockwell Automation Inc |
600 |
+600 |
$186 | ROK | 600 | +600 | $186 | Comcast Corp New Class A |
4,165 |
-1,255 |
$183 | CMCSA | 4,165 | -1,255 | $183 | iShares Russell 1000 Value ETF (IWD) |
1,100 |
-525 |
$182 | IWD | 1,100 | -525 | $182 | Waste Mgmt Inc |
1,012 |
+1,012 |
$181 | WM | 1,012 | +1,012 | $181 | Alphabet Inc |
1,240 |
+1,240 |
$173 | GOOGL | 1,240 | +1,240 | $173 | Pure Storage Inc Cl A |
4,861 |
+4,861 |
$173 | PSTG | 4,861 | +4,861 | $173 | Williams Cos |
4,915 |
+4,915 |
$171 | WMB | 4,915 | +4,915 | $171 | Apollo Global Mgmt Inc Com Cl A |
1,800 |
+1,800 |
$168 | APO | 1,800 | +1,800 | $168 | Bank of America Corp |
4,890 |
-4,000 |
$165 | BAC | 4,890 | -4,000 | $165 | iShares Russell 1000 Growth ETF (IWF) |
545 |
+545 |
$165 | IWF | 545 | +545 | $165 | Advanced Micro Devices |
1,100 |
+1,100 |
$162 | AMD | 1,100 | +1,100 | $162 | Mondelez Intl Inc Cl A |
2,193 |
+2,193 |
$159 | MDLZ | 2,193 | +2,193 | $159 | iShares Russell 2000 Value ETF (IWN) |
1,000 |
+1,000 |
$155 | IWN | 1,000 | +1,000 | $155 | United Parcel Service Inc |
965 |
+965 |
$152 | UPS | 965 | +965 | $152 | DIAMONDBACK ENERGY INC COM |
975 |
+975 |
$151 | FANG | 975 | +975 | $151 | TRACTOR SUPPLY CO COM |
700 |
+700 |
$151 | TSCO | 700 | +700 | $151 | Danaher |
650 |
+650 |
$150 | DHR | 650 | +650 | $150 | iShares Core S&P U.S. Value Etf (IUSV) |
1,750 |
+1,750 |
$148 | IUSV | 1,750 | +1,750 | $148 | Altria Group Inc |
3,575 |
+3,575 |
$144 | MO | 3,575 | +3,575 | $144 | Simmons First National Corp |
7,193 |
+7,193 |
$143 | SFNC | 7,193 | +7,193 | $143 | Travelers Companies Inc |
701 |
+701 |
$134 | TRV | 701 | +701 | $134 | iShares Russell 2000 Growth ETF (IWO) |
520 |
+520 |
$131 | IWO | 520 | +520 | $131 | Carrier Global Corp |
2,225 |
+2,225 |
$128 | CARR | 2,225 | +2,225 | $128 | Mastercard Incorporated Cl A |
300 |
+300 |
$128 | MA | 300 | +300 | $128 | Pinterest Inc Cl A |
3,345 |
+3,345 |
$124 | PINS | 3,345 | +3,345 | $124 | Pioneer Natural Resources |
550 |
+550 |
$124 | PXD | 550 | +550 | $124 | Vertex Pharmaceuticals |
300 |
+300 |
$122 | VRTX | 300 | +300 | $122 | iShares Russell Mid Cap Growth ETF (IWP) |
1,130 |
+1,130 |
$118 | IWP | 1,130 | +1,130 | $118 | Lockheed Martin Corp |
255 |
+255 |
$116 | LMT | 255 | +255 | $116 | Philip Morris International Inc |
1,232 |
+1,232 |
$116 | PM | 1,232 | +1,232 | $116 | iShares Russell Mid Cap Value ETF (IWS) |
962 |
+962 |
$112 | IWS | 962 | +962 | $112 | Netflix Inc Com |
222 |
+222 |
$108 | NFLX | 222 | +222 | $108 | Expanded Software ETF (IGV) |
263 |
-38,549 |
$106 | IGV | 263 | -38,549 | $106 | Texas Instruments Inc |
620 |
+620 |
$106 | TXN | 620 | +620 | $106 | Northrop Grumman Corp |
225 |
+225 |
$105 | NOC | 225 | +225 | $105 | Seagate Tech PLC |
1,235 |
+1,235 |
$105 | STX | 1,235 | +1,235 | $105 | Bain Cap Specialty Fin Inc Com Stk |
6,910 |
+6,910 |
$104 | BCSF | 6,910 | +6,910 | $104 | TE Connectivity Ltd |
730 |
+730 |
$103 | TEL | 730 | +730 | $103 | Autodesk Inc |
420 |
+420 |
$102 | ADSK | 420 | +420 | $102 | General Dynamics Corp |
375 |
+375 |
$97 | GD | 375 | +375 | $97 | Brookfield Asset Mgmt Inc Cl A Ltd Vt Sh |
2,250 |
+2,250 |
$90 | BN | 2,250 | +2,250 | $90 | FedEx Corp |
355 |
+355 |
$90 | FDX | 355 | +355 | $90 | PPG Industries Inc |
600 |
+600 |
$90 | PPG | 600 | +600 | $90 | Duke Energy Corp New Com New |
917 |
+917 |
$89 | DUK | 917 | +917 | $89 | L3 Harris Technologies |
422 |
+422 |
$89 | LHX | 422 | +422 | $89 | Regions Financial Corp |
4,520 |
+4,520 |
$88 | RF | 4,520 | +4,520 | $88 | Astrazeneca |
1,285 |
+1,285 |
$87 | AZN | 1,285 | +1,285 | $87 | American Tower Corp |
400 |
+400 |
$86 | AMT | 400 | +400 | $86 | General Electric Co |
652 |
+652 |
$83 | GE | 652 | +652 | $83 | Valhi Inc New Com |
5,483 |
+5,483 |
$83 | VHI | 5,483 | +5,483 | $83 | Southwest Gas Corp |
1,250 |
+1,250 |
$79 | SWX | 1,250 | +1,250 | $79 | Target Corp |
548 |
+548 |
$78 | TGT | 548 | +548 | $78 | SPDR Gold Shares (GLD) |
400 |
+400 |
$76 | GLD | 400 | +400 | $76 | Costco Wholesale Corp |
114 |
+114 |
$75 | COST | 114 | +114 | $75 | WW Grainger Inc |
90 |
+90 |
$75 | GWW | 90 | +90 | $75 | Technology Select SPDR (XLK) |
388 |
+388 |
$75 | XLK | 388 | +388 | $75 | Ford Motor Co |
6,075 |
+6,075 |
$74 | F | 6,075 | +6,075 | $74 | Nextera Energy Inc |
1,200 |
+1,200 |
$73 | NEE | 1,200 | +1,200 | $73 | American International Group Inc |
1,065 |
+1,065 |
$72 | AIG | 1,065 | +1,065 | $72 | Murphy Oil Corp |
1,500 |
+1,500 |
$64 | MUR | 1,500 | +1,500 | $64 | Wells Fargo & Co |
1,290 |
+1,290 |
$63 | WFC | 1,290 | +1,290 | $63 | Consumer Discretionary Select Sector SPDR Fund (XLY) |
350 |
+350 |
$63 | XLY | 350 | +350 | $63 | First Trust Technology Alphadex Fund (FXL) |
475 |
+475 |
$61 | FXL | 475 | +475 | $61 | PepsiCo Inc |
359 |
+359 |
$61 | PEP | 359 | +359 | $61 | Xcel Energy Inc |
990 |
+990 |
$61 | XEL | 990 | +990 | $61 | Public Storage |
193 |
+193 |
$59 | PSA | 193 | +193 | $59 | iShares Silver Trust (SLV) |
2,700 |
+2,700 |
$59 | SLV | 2,700 | +2,700 | $59 | Whirlpool Corp |
486 |
+486 |
$59 | WHR | 486 | +486 | $59 | Vanguard Energy Index Fund (VDE) |
423 |
+423 |
$50 | VDE | 423 | +423 | $50 | Zimmer Biomet Holdings Inc |
400 |
+400 |
$49 | ZBH | 400 | +400 | $49 | FS KKR Capital Corp Com |
2,374 |
+2,374 |
$47 | FSK | 2,374 | +2,374 | $47 | MetLife Inc |
705 |
+705 |
$47 | MET | 705 | +705 | $47 | Shopify Inc |
600 |
+600 |
$47 | SHOP | 600 | +600 | $47 | Ulta Beauty Inc |
95 |
+95 |
$47 | ULTA | 95 | +95 | $47 | Intel Corp |
900 |
+900 |
$45 | INTC | 900 | +900 | $45 | S&P Global Inc Com |
96 |
+96 |
$42 | SPGI | 96 | +96 | $42 | TYLER TECHNOLOGIES INC COM |
100 |
+100 |
$42 | TYL | 100 | +100 | $42 | Benson Hill Inc |
233,051 |
UNCH |
$41 | BHIL | 233,051 | UNCH | $41 | Vanguard Mid Cap Index Fund (VO) |
177 |
+177 |
$41 | VO | 177 | +177 | $41 | Invesco Nasdaq Next Gen 100 Etf (QQQJ) |
1,492 |
+1,492 |
$40 | QQQJ | 1,492 | +1,492 | $40 | YUM Brands Inc |
303 |
+303 |
$40 | YUM | 303 | +303 | $40 | Dolby Laboratories |
425 |
+425 |
$37 | DLB | 425 | +425 | $37 | Coca Cola Co |
588 |
+588 |
$35 | KO | 588 | +588 | $35 | Abbott Laboratories |
305 |
+305 |
$34 | ABT | 305 | +305 | $34 | Pfizer Inc |
1,183 |
+1,183 |
$34 | PFE | 1,183 | +1,183 | $34 | Global X U.S. Infrastructure Development ETF (PAVE) |
952 |
+952 |
$33 | PAVE | 952 | +952 | $33 | Vanguard FTSE Dev Markets ETF (VEA) |
674 |
+674 |
$32 | VEA | 674 | +674 | $32 | MONSTER BEVERAGE CORP NEW COM |
528 |
+528 |
$30 | MNST | 528 | +528 | $30 | Knight Swift Transportation Inc |
500 |
+500 |
$29 | KNX | 500 | +500 | $29 | Unilever PLC ADR |
595 |
+595 |
$29 | UL | 595 | +595 | $29 | Energy Select Sector SPDR Fund (XLE) |
310 |
+310 |
$26 | XLE | 310 | +310 | $26 | Snap One Holdings Corp Com |
2,775 |
+2,775 |
$25 | SNPO | 2,775 | +2,775 | $25 | Apache Corp |
670 |
+670 |
$24 | APA | 670 | +670 | $24 | Arcbest Corp Com |
200 |
+200 |
$24 | ARCB | 200 | +200 | $24 | Church & Dwight Co Inc |
250 |
+250 |
$24 | CHD | 250 | +250 | $24 | Clorox Co |
167 |
+167 |
$24 | CLX | 167 | +167 | $24 | CVS Health Corp |
300 |
+300 |
$24 | CVS | 300 | +300 | $24 | Globant |
100 |
+100 |
$24 | GLOB | 100 | +100 | $24 | Ingredion Inc |
224 |
+224 |
$24 | INGR | 224 | +224 | $24 | Verizon Communications Inc |
633 |
-6,312 |
$24 | VZ | 633 | -6,312 | $24 | Dollar General Corp |
170 |
+170 |
$23 | DG | 170 | +170 | $23 | Packaging Corp Amer Com |
141 |
+141 |
$23 | PKG | 141 | +141 | $23 | Norfolk Southern Corp |
95 |
+95 |
$22 | NSC | 95 | +95 | $22 | iShares Core MSCI EM ETF (IEMG) |
424 |
+424 |
$21 | IEMG | 424 | +424 | $21 | Cloudflare Inc Cl A Com |
250 |
+250 |
$21 | NET | 250 | +250 | $21 | Nike Inc |
182 |
-102,796 |
$20 | NKE | 182 | -102,796 | $20 | Agilent Technologies Inc |
138 |
+138 |
$19 | A | 138 | +138 | $19 | Crowdstrike Hldgs Inc Cl A |
72 |
+72 |
$18 | CRWD | 72 | +72 | $18 | CSX Corp |
510 |
+510 |
$18 | CSX | 510 | +510 | $18 | Ameriprise Financial |
45 |
+45 |
$17 | AMP | 45 | +45 | $17 | Evergy Inc Com |
314 |
+314 |
$16 | EVRG | 314 | +314 | $16 | Vanguard Growth ETF (VUG) |
50 |
+50 |
$16 | VUG | 50 | +50 | $16 | Novo Nordisk A S |
142 |
+142 |
$15 | NVO | 142 | +142 | $15 | Qualcomm Inc |
106 |
+106 |
$15 | QCOM | 106 | +106 | $15 | TJX Cos Inc |
157 |
+157 |
$15 | TJX | 157 | +157 | $15 | Fs Global Credit Opportunities Fund (FSCO) |
2,442 |
+2,442 |
$14 | FSCO | 2,442 | +2,442 | $14 | Vaneck Vectors Gold Miners ETF (GDX) |
450 |
+450 |
$14 | GDX | 450 | +450 | $14 | ONEOK Inc |
193 |
+193 |
$14 | OKE | 193 | +193 | $14 | Vanguard Dividend Index Fund (VIG) |
85 |
+85 |
$14 | VIG | 85 | +85 | $14 | Barrick Gold Corp |
700 |
+700 |
$13 | GOLD | 700 | +700 | $13 | Take Two Interactive |
81 |
+81 |
$13 | TTWO | 81 | +81 | $13 | BP PLC |
328 |
+328 |
$12 | BP | 328 | +328 | $12 | Dominos Pizza |
30 |
+30 |
$12 | DPZ | 30 | +30 | $12 | Skyworks Solutions Inc |
105 |
+105 |
$12 | SWKS | 105 | +105 | $12 | Tegna Inc Com |
780 |
+780 |
$12 | TGNA | 780 | +780 | $12 | WEC Energy Group |
137 |
+137 |
$12 | WEC | 137 | +137 | $12 | Boston Omaha Corp |
648 |
-568,050 |
$11 | BOC | 648 | -568,050 | $11 | Standard Lithium LTD |
5,410 |
+5,410 |
$11 | SLI | 5,410 | +5,410 | $11 | YUM China Holdings Inc |
256 |
+256 |
$11 | YUMC | 256 | +256 | $11 | Cummins Inc Com |
43 |
+43 |
$10 | CMI | 43 | +43 | $10 | Chesapeake Utils Corp Com |
99 |
+99 |
$10 | CPK | 99 | +99 | $10 | General Motors Co |
260 |
-359,357 |
$10 | GM | 260 | -359,357 | $10 | Illinois Tool Works Inc |
40 |
+40 |
$10 | ITW | 40 | +40 | $10 | Lincoln Natl Corp |
380 |
+380 |
$10 | LNC | 380 | +380 | $10 | LAMB WESTON HLDGS INC COM |
89 |
+89 |
$10 | LW | 89 | +89 | $10 | New York Times Co |
200 |
+200 |
$10 | NYT | 200 | +200 | $10 | Hershey Co |
50 |
+50 |
$9 | HSY | 50 | +50 | $9 | Murphy USA Inc |
25 |
+25 |
$9 | MUSA | 25 | +25 | $9 | PAN AMERN SILVER CORP COM |
559 |
+559 |
$9 | PAAS | 559 | +559 | $9 | Honest Co |
2,543 |
+2,543 |
$8 | HNST | 2,543 | +2,543 | $8 | Southwestern Energy Co |
1,145 |
+1,145 |
$8 | SWN | 1,145 | +1,145 | $8 | AGNICO EAGLE MINES LTD COM |
131 |
+131 |
$7 | AEM | 131 | +131 | $7 | American Electric Power Inc |
84 |
+84 |
$7 | AEP | 84 | +84 | $7 | Brookfield Infrastructure Corp Com Sb Vtg Shs A |
189 |
+189 |
$7 | BIPC | 189 | +189 | $7 | GE Healthcare Technologies Inc Common Stock |
86 |
+86 |
$7 | GEHC | 86 | +86 | $7 | Kimberly Clark |
61 |
+61 |
$7 | KMB | 61 | +61 | $7 | 3M Co |
60 |
+60 |
$7 | MMM | 60 | +60 | $7 | ConAgra Foods Inc |
200 |
+200 |
$6 | CAG | 200 | +200 | $6 | Colgate Palmolive Co |
81 |
+81 |
$6 | CL | 81 | +81 | $6 | 89BIO INC COM |
577 |
+577 |
$6 | ETNB | 577 | +577 | $6 | General Mills Inc |
88 |
+88 |
$6 | GIS | 88 | +88 | $6 | Sempra Energy |
78 |
+78 |
$6 | SRE | 78 | +78 | $6 | Bristol Myers Squibb Co |
92 |
+92 |
$5 | BMY | 92 | +92 | $5 | McKesson Corp |
10 |
+10 |
$5 | MCK | 10 | +10 | $5 | Teradyne Inc |
42 |
-109,834 |
$5 | TER | 42 | -109,834 | $5 | Appian Corp Cl A |
100 |
+100 |
$4 | APPN | 100 | +100 | $4 | Marathon Petroleum |
29 |
+29 |
$4 | MPC | 29 | +29 | $4 | Propetro Holding Corp |
490 |
+490 |
$4 | PUMP | 490 | +490 | $4 | Rivian Automotive Inc Com Cl A |
175 |
+175 |
$4 | RIVN | 175 | +175 | $4 | StoneCo |
200 |
+200 |
$4 | STNE | 200 | +200 | $4 | BB&T Corp |
110 |
+110 |
$4 | TFC | 110 | +110 | $4 | North Shore Global Uranium Mining ETF (URNM) |
80 |
+80 |
$4 | URNM | 80 | +80 | $4 | AirBNB Inc |
23 |
+23 |
$3 | ABNB | 23 | +23 | $3 | ARK Innovation ETF (ARKK) |
58 |
+58 |
$3 | ARKK | 58 | +58 | $3 | Activision Blizzard Inc |
35 |
-74,175 |
$3 | ATVI | 35 | -74,175 | $3 | Cigna Corp |
10 |
+10 |
$3 | CI | 10 | +10 | $3 | Dominion Energy Inc |
62 |
+62 |
$3 | D | 62 | +62 | $3 | Enbridge Inc Com |
90 |
+90 |
$3 | ENB | 90 | +90 | $3 | Kellogg Co |
50 |
+50 |
$3 | K | 50 | +50 | $3 | Roku Inc CL A |
30 |
+30 |
$3 | ROKU | 30 | +30 | $3 | WENDYS CO COM |
145 |
+145 |
$3 | WEN | 145 | +145 | $3 | Wipro Ltd Spon Adr 1 Sh |
500 |
+500 |
$3 | WIT | 500 | +500 | $3 | Cemex SAB de CV ADR |
260 |
+260 |
$2 | CX | 260 | +260 | $2 | Community Health Systems Inc |
740 |
+740 |
$2 | CYH | 740 | +740 | $2 | Fisker Inc Cl A Com Stk |
1,000 |
+1,000 |
$2 | FSR | 1,000 | +1,000 | $2 | Gilat Satellite Networks Ltd Shs New |
250 |
+250 |
$2 | GILT | 250 | +250 | $2 | Southwest Airlines Co |
79 |
+79 |
$2 | LUV | 79 | +79 | $2 | NextEra Energy Partners |
79 |
-198,907 |
$2 | NEP | 79 | -198,907 | $2 | ONE Gas Inc Com |
36 |
+36 |
$2 | OGS | 36 | +36 | $2 | PayPal Holdings Inc |
26 |
-113,442 |
$2 | PYPL | 26 | -113,442 | $2 | Triumph Group Inc New Com |
100 |
+100 |
$2 | TGI | 100 | +100 | $2 | VirnetX Holding Corporation |
226 |
+226 |
$2 | VHC | 226 | +226 | $2 | Amc Entmt Hldgs Inc Cl A |
100 |
+100 |
$1 | AMC | 100 | +100 | $1 | Citigroup Inc |
20 |
+20 |
$1 | C | 20 | +20 | $1 | Coinbase Global Inc Com Cl A |
3 |
+3 |
$1 | COIN | 3 | +3 | $1 | Crescent Pt Energy Corp Com |
136 |
+136 |
$1 | CPG | 136 | +136 | $1 | GOLDEN MATRIX GROUP INC COM |
600 |
+600 |
$1 | GMGI | 600 | +600 | $1 | GRAN TIERRA ENERGY INC COM |
100 |
+100 |
$1 | GTE | 100 | +100 | $1 | Ishares U.s. Insurance Etf (IAK) |
12 |
+12 |
$1 | IAK | 12 | +12 | $1 | iRobot Corp |
25 |
+25 |
$1 | IRBT | 25 | +25 | $1 | CenturyLink Inc |
399 |
+399 |
$1 | LUMN | 399 | +399 | $1 | Virgin Galactic Holdings |
225 |
+225 |
$1 | SPCE | 225 | +225 | $1 | Veralto Corp Com Shs |
16 |
+16 |
$1 | VLTO | 16 | +16 | $1 | Aurora Cannabis Inc Com |
6 |
+6 |
<$1 | ACB | 6 | +6 | $0 | Atlanta Braves Hldgs Inc Com Ser C |
8 |
+8 |
<$1 | BATRK | 8 | +8 | $0 | RISKON INTERNATIONAL INC COM |
19 |
+19 |
<$1 | BNMV | 19 | +19 | $0 | BTCS INC COM NEW |
1 |
+1 |
<$1 | BTCS | 1 | +1 | $0 | Cara Therapeutics Inc Com |
10 |
+10 |
<$1 | CARA | 10 | +10 | $0 | Desktop Metal |
200 |
+200 |
<$1 | DM | 200 | +200 | $0 | Elan Animal Health Inc |
15 |
+15 |
<$1 | ELAN | 15 | +15 | $0 | HERTZ GLOBAL HLDGS INC WT EXP 063051 |
200 |
+200 |
<$1 | HTZWW | 200 | +200 | $0 | Liberty Live Group |
10 |
-6,364 |
<$1 | LLYVK | 10 | -6,364 | $0 | Occidental Petroleum Corp |
0 |
UNCH |
$0 | OXY | 0 | UNCH | $0 | Roblox Corp |
10 |
+10 |
<$1 | RBLX | 10 | +10 | $0 | Sturm Ruger & Co Inc |
3 |
+3 |
<$1 | RGR | 3 | +3 | $0 | Strata Skin Sciences Inc Com New |
5 |
+5 |
<$1 | SSKN | 5 | +5 | $0 | Tellurian Inc New Com |
33 |
+33 |
<$1 | TELL | 33 | +33 | $0 | Tilray Inc COM Cl 2 |
86 |
+86 |
$0 | TLRY | 86 | +86 | $0 | Exponential Tech ETF |
0 |
-172,543 |
$0 (exited) | XT | 0 | -172,543 | $0 |
See Summary: Greenwood Gearhart Inc. Top Holdings
See Details: Top 10 Stocks Held By Greenwood Gearhart Inc.
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