Holdings Channel
EntityShares/Amount
Change
Position Value
Change
EG +46,994+$16,616
INTC +242,820+$12,202
SPGI +26,871+$11,837
OLLI +140,804+$10,686
AZO +4,052+$10,477
DT +187,205+$10,238
NFLX +18,921+$9,212
UBS +284,159+$8,781
T +511,472+$8,582
GSK +216,942+$8,040
EntityShares/Amount
Change
Position Value
Change
SPDW -815,820-$25,299
VXUS -420,533-$22,507
SPEM -669,762-$22,484
DOV -112,888-$15,749
POOL -35,413-$12,611
GPN -108,815-$12,556
WAB -113,388-$12,050
VIGI -152,667-$10,890
GM -278,576-$9,185
FTNT -146,602-$8,603
EntityShares/Amount
Change
Position Value
Change
NTR +112,694+$6,251
MLI +104,008+$2,388
PBR +88,142+$1,734
EQX +78,884+$546
MDC +65,077+$3,812
IBN +62,184+$1,535
RIO +60,184+$6,109
SNA +57,421+$17,644
GOOG +56,599+$8,376
ABC +55,706+$10,026
EntityShares/Amount
Change
Position Value
Change
CSCO -335,651-$19,278
BP -329,060-$13,468
REG -290,668-$17,083
USMV -241,193-$17,207
SO -158,509-$9,876
SRE -153,559-$9,941
STM -135,708-$5,408
EW -126,452-$8,441
HSY -104,909-$22,175
Size ($ in 1000's)
At 12/31/2023: $2,808,985
At 09/30/2023: $2,583,041

Moran Wealth Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Moran Wealth Management LLC 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Moran Wealth Management LLC
As of  12/31/2023, we find all stocks held by Moran Wealth Management LLC to be as follows, presented in the table below with each row detailing each Moran Wealth Management LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Moran Wealth Management 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 Moran Wealth Management LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
CADENCE DESIGN SYSTEM INC 178,693 -7,128 $48,671
     CDNS178,693-7,128$48,671
PARKER HANNIFIN CORP 101,292 -3,284 $46,665
     PH101,292-3,284$46,665
NOVO NORDISK A S 448,072 -2,524 $46,353
     NVO448,072-2,524$46,353
TRANE TECHNOLOGIES PLC 189,464 -6,577 $46,210
     TT189,464-6,577$46,210
MERCK & CO INC 407,924 +12,509 $44,472
     MRK407,924+12,509$44,472
MICROSOFT CORP 112,160 -1,904 $42,177
     MSFT112,160-1,904$42,177
WILLIAMS SONOMA INC 179,213 -12,675 $36,161
     WSM179,213-12,675$36,161
EOG RES INC 291,645 +14,739 $35,274
     EOG291,645+14,739$35,274
CELANESE CORP DEL 217,892 -6,580 $33,854
     CE217,892-6,580$33,854
SPDR S&P 500 ETF TR (SPY) 70,762 +28,934 $33,634
     SPY70,762+28,934$33,634
LOCKHEED MARTIN CORP 73,608 -1,665 $33,362
     LMT73,608-1,665$33,362
LINDE PLC 80,702 +2,609 $33,145
     LIN80,702+2,609$33,145
JPMORGAN CHASE & CO 193,072 +47,604 $32,842
     JPM193,072+47,604$32,842
BHP GROUP LTD 449,667 +42,021 $30,717
     BHP449,667+42,021$30,717
EXXON MOBIL CORP 298,515 -28,810 $29,845
     XOM298,515-28,810$29,845
BROADCOM INC 25,946 +6,368 $28,962
     AVGO25,946+6,368$28,962
BLACKSTONE INC 211,234 -9,108 $27,655
     BX211,234-9,108$27,655
TOTALENERGIES SE 399,414 -103,522 $26,912
     TTE399,414-103,522$26,912
SNAP ON INC 88,741 +57,421 $25,632
     SNA88,741+57,421$25,632
GARTNER INC 55,750 +27,688 $25,149
     IT55,750+27,688$25,149
INTUIT 39,255 -131 $24,536
     INTU39,255-131$24,536
PROLOGIS INC. 175,329 +12,486 $23,371
     PLD175,329+12,486$23,371
MOLINA HEALTHCARE INC 64,156 -507 $23,180
     MOH64,156-507$23,180
MSCI INC 40,353 -740 $22,826
     MSCI40,353-740$22,826
CHEMED CORP NEW 38,975 +4,735 $22,791
     CHE38,975+4,735$22,791
TEXAS INSTRS INC 132,400 -6,510 $22,569
     TXN132,400-6,510$22,569
AMERIPRISE FINL INC 57,194 -1,995 $21,724
     AMP57,194-1,995$21,724
TAIWAN SEMICONDUCTOR MFG LTD 208,160 +25,040 $21,649
     TSM208,160+25,040$21,649
MOTOROLA SOLUTIONS INC 69,131 -2,533 $21,644
     MSI69,131-2,533$21,644
NORTHROP GRUMMAN CORP 46,033 -2,359 $21,550
     NOC46,033-2,359$21,550
DEERE & CO 53,487 -1,670 $21,388
     DE53,487-1,670$21,388
AVALONBAY CMNTYS INC 113,934 -6,372 $21,331
     AVB113,934-6,372$21,331
EXPEDITORS INTL WASH INC 164,940 -2,912 $20,980
     EXPD164,940-2,912$20,980
PACCAR INC 208,342 -7,157 $20,345
     PCAR208,342-7,157$20,345
NETAPP INC 230,210 -11,851 $20,295
     NTAP230,210-11,851$20,295
BAKER HUGHES COMPANY 590,870 -33,771 $20,196
     BKR590,870-33,771$20,196
BRUNSWICK CORP 207,202 -9,153 $20,047
     BC207,202-9,153$20,047
ATMOS ENERGY CORP 171,169 -28,585 $19,838
     ATO171,169-28,585$19,838
HUMANA INC 42,530 -1,348 $19,471
     HUM42,530-1,348$19,471
CISCO SYS INC 380,627 -335,651 $19,229
     CSCO380,627-335,651$19,229
GARMIN LTD 149,016 -5,841 $19,155
     GRMN149,016-5,841$19,155
CHUBB LIMITED 81,793 -2,905 $18,485
     CB81,793-2,905$18,485
EATON CORP PLC 75,931 -2,911 $18,286
     ETN75,931-2,911$18,286
REGENERON PHARMACEUTICALS 20,521 -7 $18,023
     REGN20,521-7$18,023
SALESFORCE INC 66,726 -3,731 $17,558
     CRM66,726-3,731$17,558
CDW CORP 76,589 +11,755 $17,410
     CDW76,589+11,755$17,410
AFLAC INC 207,956 -10,568 $17,156
     AFL207,956-10,568$17,156
YUM BRANDS INC 129,468 -33,784 $16,916
     YUM129,468-33,784$16,916
QUANTA SVCS INC 78,338 -4,185 $16,905
     PWR78,338-4,185$16,905
EVEREST GROUP LTD 46,994 +46,994 $16,616
     EG46,994+46,994$16,616
MONDELEZ INTL INC 225,206 -15,692 $16,312
     MDLZ225,206-15,692$16,312
INGERSOLL RAND INC 209,832 -11,436 $16,228
     IR209,832-11,436$16,228
HERSHEY CO 86,848 -104,909 $16,192
     HSY86,848-104,909$16,192
CATERPILLAR INC 54,649 -1,421 $16,158
     CAT54,649-1,421$16,158
IQVIA HLDGS INC 68,661 -2,033 $15,887
     IQV68,661-2,033$15,887
RIO TINTO PLC 210,579 +60,184 $15,680
     RIO210,579+60,184$15,680
PUBLIC STORAGE 50,977 -30,792 $15,548
     PSA50,977-30,792$15,548
MASTERCARD INCORPORATED 35,164 +240 $14,998
     MA35,164+240$14,998
FEDEX CORP 57,230 -2,001 $14,477
     FDX57,230-2,001$14,477
ALPHABET INC 100,669 +56,599 $14,187
     GOOG100,669+56,599$14,187
UNITEDHEALTH GROUP INC 26,731 -976 $14,073
     UNH26,731-976$14,073
PULTE GROUP INC 134,878 -6,618 $13,922
     PHM134,878-6,618$13,922
PACKAGING CORP AMER 84,835 -3,747 $13,820
     PKG84,835-3,747$13,820
HOWMET AEROSPACE INC 253,348 +805 $13,711
     HWM253,348+805$13,711
ADOBE INC 22,963 -479 $13,700
     ADBE22,963-479$13,700
SONY GROUP CORP 143,800 +1,058 $13,616
     SONY143,800+1,058$13,616
JOHNSON & JOHNSON 86,557 -5,505 $13,567
     JNJ86,557-5,505$13,567
CENCORA INC 75,193 +55,706 $13,533
     ABC75,193+55,706$13,533
OREILLY AUTOMOTIVE INC 14,199 -390 $13,490
     ORLY14,199-390$13,490
DOLLAR GEN CORP NEW 98,197 -19,183 $13,350
     DG98,197-19,183$13,350
CARLISLE COS INC 41,946 -1,471 $13,105
     CSL41,946-1,471$13,105
WESTERN DIGITAL CORP. 249,327 -13,469 $13,057
     WDC249,327-13,469$13,057
GENERAL DYNAMICS CORP 50,181 -1,425 $13,030
     GD50,181-1,425$13,030
ZOETIS INC 65,573 +1,921 $12,942
     ZTS65,573+1,921$12,942
PTC INC 73,826 -3,386 $12,917
     PTC73,826-3,386$12,917
STELLANTIS N.V 541,598 -26,152 $12,652
     STLA541,598-26,152$12,652
SCHLUMBERGER LTD 239,778 -11,811 $12,478
     SLB239,778-11,811$12,478
INTEL CORP 242,820 +242,820 $12,202
     INTC242,820+242,820$12,202
ALPHABET INC 85,652 -676 $11,965
     GOOGL85,652-676$11,965
S&P GLOBAL INC 26,871 +26,871 $11,837
     SPGI26,871+26,871$11,837
NVIDIA CORPORATION 23,455 +21,194 $11,615
     NVDA23,455+21,194$11,615
ACCENTURE PLC IRELAND 32,538 -1,383 $11,418
     ACN32,538-1,383$11,418
AMETEK INC 68,519 -1,628 $11,298
     AME68,519-1,628$11,298
LENNAR CORP 75,640 -13,793 $11,273
     LEN75,640-13,793$11,273
FACTSET RESH SYS INC 23,449 +226 $11,186
     FDS23,449+226$11,186
MONSTER BEVERAGE CORP NEW 194,009 +1,925 $11,177
     MNST194,009+1,925$11,177
VEEVA SYS INC 57,917 +1,548 $11,150
     VEEV57,917+1,548$11,150
OWENS CORNING NEW 74,763 -3,249 $11,082
     OC74,763-3,249$11,082
VERTEX PHARMACEUTICALS INC 26,907 +1,962 $10,948
     VRTX26,907+1,962$10,948
WESTLAKE CORPORATION 77,217 -3,325 $10,807
     WLK77,217-3,325$10,807
OLLIES BARGAIN OUTLET HLDGS 140,804 +140,804 $10,686
     OLLI140,804+140,804$10,686
COTERRA ENERGY INC 416,440 +5,099 $10,628
     CTRA416,440+5,099$10,628
AUTOZONE INC 4,052 +4,052 $10,477
     AZO4,052+4,052$10,477
META PLATFORMS INC 29,241 +1,249 $10,350
     META29,241+1,249$10,350
ITT INC 86,538 -2,833 $10,326
     ITT86,538-2,833$10,326
DYNATRACE INC 187,205 +187,205 $10,238
     DT187,205+187,205$10,238
PINNACLE WEST CAP CORP 141,541 -11,032 $10,168
     PNW141,541-11,032$10,168
SPROUTS FMRS MKT INC 210,112 -5,680 $10,108
     SFM210,112-5,680$10,108
MONOLITHIC PWR SYS INC 15,343 +331 $9,678
     MPWR15,343+331$9,678
COMFORT SYS USA INC 47,010 -1,370 $9,669
     FIX47,010-1,370$9,669
DARDEN RESTAURANTS INC 57,411 -2,395 $9,433
     DRI57,411-2,395$9,433
QUALCOMM INC 64,987 -71,815 $9,399
     QCOM64,987-71,815$9,399
DOLLAR TREE INC 65,822 -1,328 $9,350
     DLTR65,822-1,328$9,350
NETFLIX INC 18,921 +18,921 $9,212
     NFLX18,921+18,921$9,212
MUELLER INDS INC 193,813 +104,008 $9,138
     MLI193,813+104,008$9,138
WALMART INC 56,226 -1,442 $8,864
     WMT56,226-1,442$8,864
UBS GROUP AG 284,159 +284,159 $8,781
     UBS284,159+284,159$8,781
EAGLE MATLS INC 43,260 -1,719 $8,775
     EXP43,260-1,719$8,775
ONEOK INC NEW 124,062 -7,330 $8,712
     OKE124,062-7,330$8,712
UFP INDUSTRIES INC 68,504 -1,876 $8,601
     UFPI68,504-1,876$8,601
MERITAGE HOMES CORP 49,324 -411 $8,592
     MTH49,324-411$8,592
AT&T INC 511,472 +511,472 $8,582
     T511,472+511,472$8,582
BLACKROCK INC 10,274 -12,183 $8,340
     BLK10,274-12,183$8,340
CINTAS CORP 13,701 -558 $8,257
     CTAS13,701-558$8,257
GAMING & LEISURE PPTYS INC 166,737 +22,246 $8,228
     GLPI166,737+22,246$8,228
DILLARDS INC 20,101 -842 $8,114
     DDS20,101-842$8,114
ELEVANCE HEALTH INC 17,150 -16,885 $8,087
     ELV17,150-16,885$8,087
GSK PLC 216,942 +216,942 $8,040
     GSK216,942+216,942$8,040
ISHARES TR (EIDO) 358,867 +358,867 $8,010
     EIDO358,867+358,867$8,010
ISHARES INC (EWI) 234,471 +234,471 $7,956
     EWI234,471+234,471$7,956
PRICE T ROWE GROUP INC 73,006 -6,781 $7,862
     TROW73,006-6,781$7,862
MURPHY USA INC 21,805 +7,219 $7,775
     MUSA21,805+7,219$7,775
BP PLC 218,963 -329,060 $7,751
     BP218,963-329,060$7,751
NUTRIEN LTD 136,688 +112,694 $7,740
     NTR136,688+112,694$7,740
HUNTINGTON INGALLS INDS INC 29,795 -1,016 $7,736
     HII29,795-1,016$7,736
COSTCO WHSL CORP NEW 11,685 -715 $7,713
     COST11,685-715$7,713
TETRA TECH INC NEW 45,350 -150 $7,570
     TTEK45,350-150$7,570
LITHIA MTRS INC 22,624 -333 $7,450
     LAD22,624-333$7,450
RLI CORP 55,562 -353 $7,396
     RLI55,562-353$7,396
AUTONATION INC 48,616 -2,240 $7,301
     AN48,616-2,240$7,301
DICKS SPORTING GOODS INC 49,523 -1,209 $7,277
     DKS49,523-1,209$7,277
TOPBUILD CORP 19,331 -283 $7,235
     BLD19,331-283$7,235
ROPER TECHNOLOGIES INC 12,941 +5,521 $7,055
     ROP12,941+5,521$7,055
MASTEC INC 92,093 -1,370 $6,973
     MTZ92,093-1,370$6,973
VANGUARD SCOTTSDALE FDS (VCLT) 83,978 -11,253 $6,731
     VCLT83,978-11,253$6,731
VANGUARD WHITEHALL FDS (VYMI) 100,986 -12,281 $6,715
     VYMI100,986-12,281$6,715
PETROLEO BRASILEIRO SA PETRO 420,324 +88,142 $6,713
     PBR420,324+88,142$6,713
ISHARES TR (PFF) 209,949 -24,960 $6,548
     PFF209,949-24,960$6,548
TEXAS ROADHOUSE INC 53,384 -576 $6,525
     TXRH53,384-576$6,525
LKQ CORP 134,000 -12,511 $6,404
     LKQ134,000-12,511$6,404
UNITED MICROELECTRONICS CORP 752,189 -53,224 $6,364
     UMC752,189-53,224$6,364
NETEASE INC 66,904 +66,904 $6,233
     NTES66,904+66,904$6,233
CHORD ENERGY CORPORATION 37,327 -31 $6,205
     CHRD37,327-31$6,205
REPUBLIC SVCS INC 36,886 +892 $6,083
     RSG36,886+892$6,083
ACUITY BRANDS INC 29,103 -995 $5,961
     AYI29,103-995$5,961
INNOSPEC INC 46,869 +484 $5,776
     IOSP46,869+484$5,776
SEMPRA 75,544 -153,559 $5,645
     SRE75,544-153,559$5,645
CBOE GLOBAL MKTS INC 31,569 +3,516 $5,637
     CBOE31,569+3,516$5,637
ISHARES TR (IWV) 20,586 +12,046 $5,635
     IWV20,586+12,046$5,635
APPLE INC 29,062 +1,629 $5,595
     AAPL29,062+1,629$5,595
DISCOVER FINL SVCS 49,658 -4,521 $5,582
     DFS49,658-4,521$5,582
ITAU UNIBANCO HLDG S A 776,583 +776,583 $5,389
     ITUB776,583+776,583$5,389
ASE TECHNOLOGY HLDG CO LTD 568,017 +568,017 $5,345
     ASX568,017+568,017$5,345
PLEXUS CORP 48,809 +230 $5,278
     PLXS48,809+230$5,278
ENCORE WIRE CORP 24,571 +172 $5,248
     WIRE24,571+172$5,248
KELLANOVA 92,715 -99,841 $5,184
     K92,715-99,841$5,184
SMITH & NEPHEW PLC 189,642 +189,642 $5,173
     SNN189,642+189,642$5,173
DIAGEO PLC 35,465 +35,465 $5,166
     DEO35,465+35,465$5,166
APOGEE ENTERPRISES INC 96,231 +1,308 $5,140
     APOG96,231+1,308$5,140
SUMITOMO MITSUI FINL GROUP I 526,526 +526,526 $5,097
     SMFG526,526+526,526$5,097
MITSUBISHI UFJ FINL GROUP IN 588,818 +588,818 $5,070
     MUFG588,818+588,818$5,070
UNILEVER PLC 104,264 +104,264 $5,055
     UL104,264+104,264$5,055
BRITISH AMERN TOB PLC 170,458 +170,458 $4,993
     BTI170,458+170,458$4,993
STEEL DYNAMICS INC 42,185 +35,452 $4,982
     STLD42,185+35,452$4,982
SOUTHERN CO 71,027 -158,509 $4,980
     SO71,027-158,509$4,980
ISHARES INC (EWW) 73,386 +73,386 $4,979
     EWW73,386+73,386$4,979
ELI LILLY & CO 8,461 -187 $4,932
     LLY8,461-187$4,932
WILLIS TOWERS WATSON PLC LTD 20,419 -711 $4,925
     WTW20,419-711$4,925
AMBEV SA 1,758,118 +1,758,118 $4,923
     ABEV1,758,118+1,758,118$4,923
ISHARES INC (EWJ) 76,307 +76,307 $4,894
     EWJ76,307+76,307$4,894
EQUINOR ASA 153,997 +153,997 $4,872
     EQNR153,997+153,997$4,872
CIRRUS LOGIC INC 57,661 +1,102 $4,797
     CRUS57,661+1,102$4,797
BERKSHIRE HATHAWAY INC DEL      $4,794
     BRK.B13,442+1,161$4,794
GLOBAL X FDS 93,352 +93,352 $4,793
     ARGT93,352+93,352$4,793
BRADY CORP 80,833 +1,262 $4,744
     BRC80,833+1,262$4,744
CIVITAS RESOURCES INC 67,675 +666 $4,628
     CIVI67,675+666$4,628
ULTA BEAUTY INC 9,328 -614 $4,571
     ULTA9,328-614$4,571
INCYTE CORP 71,451 -57,414 $4,486
     INCY71,451-57,414$4,486
M D C HLDGS INC 80,542 +65,077 $4,450
     MDC80,542+65,077$4,450
SCHWAB STRATEGIC TR 58,133 -6,878 $4,426
     SCHD58,133-6,878$4,426
GLOBUS MED INC 82,903 +708 $4,418
     GMED82,903+708$4,418
VALMONT INDS INC 18,917 +331 $4,417
     VMI18,917+331$4,417
HIBBETT INC 61,262 +1,187 $4,412
     HIBB61,262+1,187$4,412
AMPLIFY ETF TR (DIVO) 120,056 -12,842 $4,388
     DIVO120,056-12,842$4,388
WASTE MGMT INC DEL 24,373 -1,769 $4,365
     WM24,373-1,769$4,365
PROGRESSIVE CORP 27,335 -3,120 $4,354
     PGR27,335-3,120$4,354
MASIMO CORP 35,748 +991 $4,190
     MASI35,748+991$4,190
MCKESSON CORP 8,592 -1,033 $3,978
     MCK8,592-1,033$3,978
UNIFIRST CORP MASS 21,374 +334 $3,910
     UNF21,374+334$3,910
AGCO CORP 31,463 +31,463 $3,820
     AGCO31,463+31,463$3,820
SUZANO S A 330,961 +330,961 $3,760
     SUZ330,961+330,961$3,760
ASML HOLDING N V 4,905 +4,500 $3,713
     ASML4,905+4,500$3,713
ABERCROMBIE & FITCH CO 41,994 +41,994 $3,705
     ANF41,994+41,994$3,705
PEPSICO INC 21,315 -2,215 $3,620
     PEP21,315-2,215$3,620
BOISE CASCADE CO DEL 27,691 +585 $3,582
     BCC27,691+585$3,582
TOYOTA MOTOR CORP 19,508 +19,508 $3,577
     TM19,508+19,508$3,577
EDWARDS LIFESCIENCES CORP 45,838 -126,452 $3,495
     EW45,838-126,452$3,495
THE CIGNA GROUP 11,618 +11,618 $3,479
     CI11,618+11,618$3,479
HALLIBURTON CO 96,047 -3,290 $3,472
     HAL96,047-3,290$3,472
ISHARES TR (USMV) 44,338 -241,193 $3,460
     USMV44,338-241,193$3,460
BUCKLE INC 71,768 +71,768 $3,410
     BKE71,768+71,768$3,410
FEDERAL SIGNAL CORP 44,275 +44,275 $3,398
     FSS44,275+44,275$3,398
KONINKLIJKE PHILIPS N V 144,050 +144,050 $3,361
     PHG144,050+144,050$3,361
ASTRAZENECA PLC 49,500 +18,045 $3,334
     AZN49,500+18,045$3,334
CABOT CORP 39,849 +599 $3,327
     CBT39,849+599$3,327
FOMENTO ECONOMICO MEXICANO S 25,510 +25,510 $3,325
     FMX25,510+25,510$3,325
MYR GROUP INC DEL 22,953 +236 $3,320
     MYRG22,953+236$3,320
AMERICAN WTR WKS CO INC NEW 25,135 -2,840 $3,318
     AWK25,135-2,840$3,318
MOELIS & CO 58,423 +1,447 $3,279
     MC58,423+1,447$3,279
CAMECO CORP 75,516 -1,770 $3,255
     CCJ75,516-1,770$3,255
FRESENIUS MEDICAL CARE AG 155,897 +155,897 $3,247
     FMS155,897+155,897$3,247
STMICROELECTRONICS N V 64,537 -135,708 $3,235
     STM64,537-135,708$3,235
CARDINAL HEALTH INC 32,077 -2,245 $3,233
     CAH32,077-2,245$3,233
ICICI BANK LIMITED 134,558 +62,184 $3,208
     IBN134,558+62,184$3,208
DIAMONDBACK ENERGY INC 20,667 +3,166 $3,205
     FANG20,667+3,166$3,205
SAP SE 20,735 +20,735 $3,205
     SAP20,735+20,735$3,205
INFOSYS LTD 168,401 +168,401 $3,095
     INFY168,401+168,401$3,095
COCA COLA EUROPACIFIC PARTNE 46,260 +46,260 $3,087
     CCEP46,260+46,260$3,087
COGENT COMMUNICATIONS HLDGS 39,709 +39,709 $3,020
     CCOI39,709+39,709$3,020
LABORATORY CORP AMER HLDGS 12,899 -125 $2,932
     LH12,899-125$2,932
EQUINIX INC 3,628 +3,628 $2,922
     EQIX3,628+3,628$2,922
EMCOR GROUP INC 13,519 +13,519 $2,912
     EME13,519+13,519$2,912
SIMPSON MFG INC 14,657 +193 $2,902
     SSD14,657+193$2,902
BUILDERS FIRSTSOURCE INC 16,836 +10,542 $2,811
     BLDR16,836+10,542$2,811
CUMMINS INC 11,690 -486 $2,801
     CMI11,690-486$2,801
INSIGHT ENTERPRISES INC 15,585 +15,585 $2,762
     NSIT15,585+15,585$2,762
STRYKER CORPORATION 9,000 -130 $2,695
     SYK9,000-130$2,695
ISHARES TR (ACWI) 26,251 +22,934 $2,672
     ACWI26,251+22,934$2,672
CASEYS GEN STORES INC 9,718 +9,718 $2,670
     CASY9,718+9,718$2,670
TRAVELERS COMPANIES INC 14,016 -1,598 $2,670
     TRV14,016-1,598$2,670
GENERAL MLS INC 40,106 -73,915 $2,613
     GIS40,106-73,915$2,613
CME GROUP INC 12,317 +4,611 $2,594
     CME12,317+4,611$2,594
ARCH CAP GROUP LTD 33,521 -3,741 $2,490
     ACGL33,521-3,741$2,490
BOOKING HOLDINGS INC 701 +701 $2,487
     BKNG701+701$2,487
TEREX CORP NEW 43,288 +2,345 $2,487
     TEX43,288+2,345$2,487
DIODES INC 30,822 +743 $2,482
     DIOD30,822+743$2,482
ARISTA NETWORKS INC 10,372 +10,372 $2,443
     ANET10,372+10,372$2,443
LINCOLN ELEC HLDGS INC 10,811 +925 $2,351
     LECO10,811+925$2,351
COCA COLA CO 39,640 -18,703 $2,336
     KO39,640-18,703$2,336
FLEETCOR TECHNOLOGIES INC 8,143 +4,290 $2,301
     FLT8,143+4,290$2,301
OXFORD INDS INC 22,953 -17,854 $2,295
     OXM22,953-17,854$2,295
IRONWOOD PHARMACEUTICALS INC 200,160 -2,230 $2,290
     IRWD200,160-2,230$2,290
BOYD GAMING CORP 36,539 -2,570 $2,288
     BYD36,539-2,570$2,288
ALPS ETF TR (AMLP) 52,427 -5,401 $2,229
     AMLP52,427-5,401$2,229
HELMERICH & PAYNE INC 60,199 +1,243 $2,180
     HP60,199+1,243$2,180
WERNER ENTERPRISES INC 51,167 +1,696 $2,168
     WERN51,167+1,696$2,168
FEDERATED HERMES INC 63,445 +2,788 $2,148
     FHI63,445+2,788$2,148
CAPRI HOLDINGS LIMITED 42,736 +23,436 $2,147
     CPRI42,736+23,436$2,147
SOLAREDGE TECHNOLOGIES INC 22,762 +1,683 $2,131
     SEDG22,762+1,683$2,131
COPART INC 43,091 +43,091 $2,111
     CPRT43,091+43,091$2,111
LIBERTY ENERGY INC 114,759 +114,759 $2,082
     LBRT114,759+114,759$2,082
WARRIOR MET COAL INC 30,499 -13,730 $1,860
     HCC30,499-13,730$1,860
VERIZON COMMUNICATIONS INC 47,952 +26,133 $1,808
     VZ47,952+26,133$1,808
EXPEDIA GROUP INC 11,873 +5,196 $1,802
     EXPE11,873+5,196$1,802
CVS HEALTH CORP 22,588 +11,813 $1,784
     CVS22,588+11,813$1,784
TOLL BROTHERS INC 17,180 +9,456 $1,766
     TOL17,180+9,456$1,766
GENERAC HLDGS INC 13,470 +8,280 $1,741
     GNRC13,470+8,280$1,741
WELLTOWER INC 19,177 +19,177 $1,729
     WELL19,177+19,177$1,729
REGENCY CTRS CORP 25,747 -290,668 $1,725
     REG25,747-290,668$1,725
FIDELITY NATL INFORMATION SV 28,294 +17,401 $1,700
     FIS28,294+17,401$1,700
ENERSYS 16,345 -26,922 $1,650
     ENS16,345-26,922$1,650
ON SEMICONDUCTOR CORP 19,710 +19,710 $1,646
     ON19,710+19,710$1,646
ESSENTIAL PPTYS RLTY TR INC 63,323 +63,323 $1,619
     EPRT63,323+63,323$1,619
GETTY RLTY CORP NEW 54,260 -54,483 $1,585
     GTY54,260-54,483$1,585
PROGRESS SOFTWARE CORP 29,032 -50,364 $1,576
     PRGS29,032-50,364$1,576
EQUINOX GOLD CORP 322,406 +78,884 $1,575
     EQX322,406+78,884$1,575
CUBESMART 33,954 -2,173 $1,574
     CUBE33,954-2,173$1,574
SIMON PPTY GROUP INC NEW 10,823 +10,823 $1,544
     SPG10,823+10,823$1,544
ARTISAN PARTNERS ASSET MGMT 34,936 +13,686 $1,543
     APAM34,936+13,686$1,543
STAG INDL INC 38,866 +38,866 $1,526
     STAG38,866+38,866$1,526
UBER TECHNOLOGIES INC 24,204 +5,671 $1,490
     UBER24,204+5,671$1,490
OCCIDENTAL PETE CORP 24,513 +4,097 $1,464
     OXY24,513+4,097$1,464
ALAMOS GOLD INC NEW 107,412 -23,662 $1,447
     AGI107,412-23,662$1,447
TKO GROUP HOLDINGS INC 17,558 +113 $1,432
     TKO17,558+113$1,432
INNOVATIVE INDL PPTYS INC 14,052 -302 $1,417
     IIPR14,052-302$1,417
AMAZON COM INC 9,230 +2,729 $1,402
     AMZN9,230+2,729$1,402
REXFORD INDL RLTY INC 24,888 -655 $1,396
     REXR24,888-655$1,396
EASTGROUP PPTYS INC 7,495 -279 $1,376
     EGP7,495-279$1,376
CELSIUS HLDGS INC 24,500 +17,579 $1,336
     CELH24,500+17,579$1,336
COUSINS PPTYS INC 53,798 -858 $1,310
     CUZ53,798-858$1,310
ESSEX PPTY TR INC 5,265 -122 $1,305
     ESS5,265-122$1,305
NEWMONT CORP 31,286 -8,954 $1,295
     NEM31,286-8,954$1,295
ALTRIA GROUP INC 32,025 +17,410 $1,292
     MO32,025+17,410$1,292
AGREE RLTY CORP 20,267 -586 $1,276
     ADC20,267-586$1,276
FREEPORT MCMORAN INC 29,903 -16,507 $1,273
     FCX29,903-16,507$1,273
EQUITY LIFESTYLE PPTYS INC 18,031 -367 $1,272
     ELS18,031-367$1,272
ADVANCED MICRO DEVICES INC 8,625 +1,388 $1,271
     AMD8,625+1,388$1,271
ARCH RESOURCES INC 7,472 -3,408 $1,240
     ARCH7,472-3,408$1,240
TERRENO RLTY CORP 19,479 -734 $1,221
     TRNO19,479-734$1,221
WHEATON PRECIOUS METALS CORP 24,632 +5,272 $1,215
     WPM24,632+5,272$1,215
AGNICO EAGLE MINES LTD 21,713 +14,282 $1,191
     AEM21,713+14,282$1,191
CROWDSTRIKE HLDGS INC 4,662 +4,662 $1,190
     CRWD4,662+4,662$1,190
AMERICAN HOMES 4 RENT 33,021 -1,368 $1,187
     AMH33,021-1,368$1,187
LIVENT CORP 65,646 -29,023 $1,180
     LTHM65,646-29,023$1,180
ROYAL GOLD INC 9,347 +4,153 $1,131
     RGLD9,347+4,153$1,131
EQUITY RESIDENTIAL 18,267 -1,166 $1,117
     EQR18,267-1,166$1,117
ALBEMARLE CORP 7,720 -1,679 $1,115
     ALB7,720-1,679$1,115
WOODSIDE ENERGY GROUP LTD 52,668 -5,898 $1,111
     WDS52,668-5,898$1,111
MID AMER APT CMNTYS INC 8,253 -734 $1,110
     MAA8,253-734$1,110
CAMDEN PPTY TR 11,119 -808 $1,104
     CPT11,119-808$1,104
PEABODY ENERGY CORP 42,853 -18,527 $1,042
     BTU42,853-18,527$1,042
DRAFTKINGS INC NEW 29,208 +5,871 $1,030
     DKNG29,208+5,871$1,030
FRANCO NEV CORP 9,240 -2,616 $1,024
     FNV9,240-2,616$1,024
BOEING CO 3,782 +323 $986
     BA3,782+323$986
HESS CORP 6,713 -2,363 $968
     HES6,713-2,363$968
GOLDMAN SACHS GROUP INC 2,450 +595 $945
     GS2,450+595$945
INVESCO EXCHANGE TRADED FD T (RSP) 5,973 +5,973 $943
     RSP5,973+5,973$943
BLOCK INC 11,931 +11,931 $923
     SQ11,931+11,931$923
NIKE INC 8,231 +1,877 $894
     NKE8,231+1,877$894
MADDEN STEVEN LTD 20,276 -1,891 $852
     SHOO20,276-1,891$852
WEYERHAEUSER CO MTN BE 24,453 -18,729 $850
     WY24,453-18,729$850
NEWS CORP NEW 34,120 -2,700 $838
     NWSA34,120-2,700$838
ACUSHNET HLDGS CORP 12,611 -854 $797
     GOLF12,611-854$797
CONOCOPHILLIPS 6,468 -658 $751
     COP6,468-658$751
NUCOR CORP 4,285 -275 $746
     NUE4,285-275$746
ANALOG DEVICES INC 3,684 -375 $731
     ADI3,684-375$731
RELIANCE STEEL & ALUMINUM CO 2,606 -164 $729
     RS2,606-164$729
ISHARES TR (IWD) 4,375 +4,375 $723
     IWD4,375+4,375$723
LOUISIANA PAC CORP 10,168 -1,770 $720
     LPX10,168-1,770$720
SCHWAB STRATEGIC TR 20,390 +145 $711
     FNDC20,390+145$711
PBF ENERGY INC 16,045 -1,656 $705
     PBF16,045-1,656$705
DOLBY LABORATORIES INC 8,030 -542 $692
     DLB8,030-542$692
MANPOWERGROUP INC WIS 8,394 -575 $667
     MAN8,394-575$667
JUNIPER NETWORKS INC 21,815 -1,603 $643
     JNPR21,815-1,603$643
COMMERCIAL METALS CO 12,542 -898 $628
     CMC12,542-898$628
COMSTOCK RES INC 70,395 +30,351 $623
     CRK70,395+30,351$623
BORGWARNER INC 17,290 -1,248 $620
     BWA17,290-1,248$620
ARCHER DANIELS MIDLAND CO 8,430 -12,281 $609
     ADM8,430-12,281$609
ISHARES TR (IWN) 3,882 +3,882 $603
     IWN3,882+3,882$603
SCHNEIDER NATIONAL INC 23,456 -2,037 $597
     SNDR23,456-2,037$597
AMDOCS LTD 6,731 -570 $592
     DOX6,731-570$592
VALERO ENERGY CORP 4,360 +4,360 $567
     VLO4,360+4,360$567
BIOGEN INC 2,102 +2,102 $544
     BIIB2,102+2,102$544
WK KELLOGG CO 40,302 +40,302 $530
     KLG40,302+40,302$530
CYMABAY THERAPEUTICS INC 22,246 +22,246 $525
     CBAY22,246+22,246$525
SERVICENOW INC 726 +726 $513
     NOW726+726$513
VANGUARD INTL EQUITY INDEX F (VSS) 4,423 +293 $509
     VSS4,423+293$509
SCHWAB STRATEGIC TR 14,548 +982 $508
     SCHC14,548+982$508
RTX CORPORATION 5,832 -1,475 $491
     RTX5,832-1,475$491
UNUM GROUP 10,858 +10,858 $491
     UNM10,858+10,858$491
SYNOPSYS INC 886 +354 $456
     SNPS886+354$456
VALE S A 27,055 -80,983 $429
     VALE27,055-80,983$429
ISHARES TR (DVY) 3,518 +3,518 $412
     DVY3,518+3,518$412
TECNOGLASS INC 8,914 +472 $407
     TGLS8,914+472$407
E L F BEAUTY INC 2,810 -49 $406
     ELF2,810-49$406
SOUTHERN COPPER CORP 4,487 -2,452 $386
     SCCO4,487-2,452$386
UFP TECHNOLOGIES INC 2,165 +80 $372
     UFPT2,165+80$372
XYLEM INC 3,246 +105 $371
     XYL3,246+105$371
STRIDE INC 6,218 +95 $369
     LRN6,218+95$369
TEEKAY TANKERS LTD 7,163 +113 $358
     TNK7,163+113$358
WEATHERFORD INTL PLC 3,659 -64 $358
     WFRD3,659-64$358
TECK RESOURCES LTD 8,417 -2,209 $356
     TECK8,417-2,209$356
DREAM FINDERS HOMES INC 9,993 +164 $355
     DFH9,993+164$355
SPS COMM INC 1,781 -106 $345
     SPSC1,781-106$345
PALO ALTO NETWORKS INC 1,138 +1,138 $336
     PANW1,138+1,138$336
AEROVIRONMENT INC 2,654 -13 $335
     AVAV2,654-13$335
CF INDS HLDGS INC 4,218 -1,799 $335
     CF4,218-1,799$335
WISDOMTREE TR 6,629 +403 $331
     DGS6,629+403$331
CIMPRESS PLC 4,084 -40 $327
     CMPR4,084-40$327
FORTREA HLDGS INC 9,303 +9,303 $325
     FTRE9,303+9,303$325
CBIZ INC 5,093 +189 $319
     CBZ5,093+189$319
VERRA MOBILITY CORP 13,754 -98 $317
     VRRM13,754-98$317
ONESPAWORLD HOLDINGS LIMITED 22,240 +1,114 $314
     OSW22,240+1,114$314
INTERCONTINENTAL EXCHANGE IN (ICE) 2,437 +2,437 $313
     ICE2,437+2,437$313
CAVCO INDS INC DEL 893 +46 $310
     CVCO893+46$310
NOVANTA INC 1,807 -75 $304
     NOVT1,807-75$304
CASELLA WASTE SYS INC 3,417 -34 $292
     CWST3,417-34$292
INTER PARFUMS INC 1,878 -33 $270
     IPAR1,878-33$270
ANSYS INC 717 +717 $260
     ANSS717+717$260
ISHARES TR (ACWX) 5,034 +5,034 $257
     ACWX5,034+5,034$257
LULULEMON ATHLETICA INC 497 +497 $254
     LULU497+497$254
ATLANTA BRAVES HLDGS INC 6,394 +287 $253
     BATRK6,394+287$253
DANAHER CORPORATION 1,079 +1,079 $250
     DHR1,079+1,079$250
CLOUDFLARE INC 2,998 +2,998 $250
     NET2,998+2,998$250
INTERDIGITAL INC 2,274 +2,274 $247
     IDCC2,274+2,274$247
LAM RESEARCH CORP 314 +314 $246
     LRCX314+314$246
INTUITIVE SURGICAL INC 726 +726 $245
     ISRG726+726$245
ENTEGRIS INC 2,034 +2,034 $244
     ENTG2,034+2,034$244
VITA COCO CO INC 9,473 +619 $243
     COCO9,473+619$243
DIAMOND OFFSHORE DRILLING IN 18,639 +547 $242
     DO18,639+547$242
SNOWFLAKE INC 1,211 +1,211 $241
     SNOW1,211+1,211$241
TJX COS INC NEW 2,566 +2,566 $241
     TJX2,566+2,566$241
AUTODESK INC 974 +974 $237
     ADSK974+974$237
MARRIOTT INTL INC NEW 1,047 +1,047 $236
     MAR1,047+1,047$236
RADNET INC 6,791 +6,791 $236
     RDNT6,791+6,791$236
FORMFACTOR INC 5,544 +5,544 $231
     FORM5,544+5,544$231
CAMTEK LTD 3,322 -96 $230
     CAMT3,322-96$230
VANGUARD INDEX FDS (VNQ) 2,606 -16,150 $230
     VNQ2,606-16,150$230
EXTREME NETWORKS 12,955 -3,962 $229
     EXTR12,955-3,962$229
BIOMARIN PHARMACEUTICAL INC 2,350 +2,350 $227
     BMRN2,350+2,350$227
ROCKWELL AUTOMATION INC 731 +731 $227
     ROK731+731$227
THERMO FISHER SCIENTIFIC INC 425 +425 $226
     TMO425+425$226
TYLER TECHNOLOGIES INC 540 +540 $226
     TYL540+540$226
COSTAR GROUP INC 2,565 +2,565 $224
     CSGP2,565+2,565$224
HENRY JACK & ASSOC INC 1,370 +1,370 $224
     JKHY1,370+1,370$224
HEICO CORP NEW 1,235 +1,235 $221
     HEI1,235+1,235$221
MANHATTAN ASSOCIATES INC 1,025 +1,025 $221
     MANH1,025+1,025$221
OLD DOMINION FREIGHT LINE IN 545 +545 $221
     ODFL545+545$221
EURONAV NV 12,486 +492 $220
     EURN12,486+492$220
DOMINOS PIZZA INC 524 +524 $216
     DPZ524+524$216
AIRBNB INC 1,578 +1,578 $215
     ABNB1,578+1,578$215
AVEPOINT INC 25,922 +25,922 $213
     AVPT25,922+25,922$213
AUTOMATIC DATA PROCESSING IN 908 +908 $212
     ADP908+908$212
COURSERA INC 10,724 +10,724 $208
     COUR10,724+10,724$208
CHIPOTLE MEXICAN GRILL INC 89 +89 $204
     CMG89+89$204
SFL CORPORATION LTD 15,925 +575 $180
     SFL15,925+575$180
MONTAUK RENEWABLES INC 19,092 +19,092 $170
     MNTK19,092+19,092$170
RITHM CAPITAL CORP 15,676 +2,213 $167
     RITM15,676+2,213$167
SIRIUS XM HOLDINGS INC 29,935 +8,509 $164
     SIRI29,935+8,509$164
CITY OFFICE REIT INC 21,934 -283 $134
     CIO21,934-283$134
BIOVENTUS INC 24,277 -2,349 $128
     BVS24,277-2,349$128
GILAT SATELLITE NETWORKS LTD 19,601 +1,182 $120
     GILT19,601+1,182$120
CHINA YUCHAI INTL LTD 13,694 +1,062 $115
     CYD13,694+1,062$115
NU HLDGS LTD 11,578 -1,617 $96
     NU11,578-1,617$96
MAGNACHIP SEMICONDUCTOR CORP 11,845 +1,458 $89
     MX11,845+1,458$89
AXCELIS TECHNOLOGIES INC $0 (exited)
     ACLS0-1,285$0
AEHR TEST SYS $0 (exited)
     AEHR0-5,066$0
ARGENX SE $0 (exited)
     ARGX0-6,312$0
AURINIA PHARMACEUTICALS INC $0 (exited)
     AUPH0-26,268$0
BORR DRILLING LTD $0 (exited)
     BORR0-29,904$0
COMMUNITY HEALTHCARE TR INC $0 (exited)
     CHCT0-37,983$0
CHESAPEAKE ENERGY CORP $0 (exited)
     CHK0-10,329$0
CAPITAL ONE FINL CORP $0 (exited)
     COF0-17,999$0
CARETRUST REIT INC $0 (exited)
     CTRE0-61,062$0
CHEVRON CORP NEW $0 (exited)
     CVX0-32,206$0
DELTA AIR LINES INC DEL $0 (exited)
     DAL0-15,349$0
DBX ETF TR $0 (exited)
     DBEF0-241,513$0
DOVER CORP $0 (exited)
     DOV0-112,888$0
DAQO NEW ENERGY CORP $0 (exited)
     DQ0-18,198$0
ENBRIDGE INC $0 (exited)
     ENB0-255,213$0
89BIO INC $0 (exited)
     ETNB0-13,805$0
FOUR CORNERS PPTY TR INC $0 (exited)
     FCPT0-50,188$0
FIRST INDL RLTY TR INC $0 (exited)
     FR0-25,985$0
FORTINET INC $0 (exited)
     FTNT0-146,602$0
FORTREA HLDGS INC $0 (exited)
     FTREV0-11,876$0
GENERAL MTRS CO $0 (exited)
     GM0-278,576$0
GOGO INC $0 (exited)
     GOGO0-10,259$0
GLOBAL PMTS INC $0 (exited)
     GPN0-108,815$0
HILLENBRAND INC $0 (exited)
     HI0-43,280$0
INNODATA INC $0 (exited)
     INOD0-21,568$0
INSPIRE MED SYS INC $0 (exited)
     INSP0-1,164$0
INVENTRUST PPTYS CORP $0 (exited)
     IVT0-50,770$0
JOHNSON CTLS INTL PLC $0 (exited)
     JCI0-11,539$0
KT CORP $0 (exited)
     KT0-216,329$0
MERCADOLIBRE INC $0 (exited)
     MELI0-162$0
NNN REIT INC $0 (exited)
     NNN0-34,794$0
NUVECTIS PHARMA INC $0 (exited)
     NVCT0-16,697$0
PENNYMAC FINL SVCS INC NEW $0 (exited)
     PFSI0-30,325$0
POOL CORP $0 (exited)
     POOL0-35,413$0
AMMO INC $0 (exited)
     POWW0-23,649$0
PIONEER NAT RES CO $0 (exited)
     PXD0-8,771$0
QUIDELORTHO CORP $0 (exited)
     QDEL0-83,811$0
EVEREST GROUP LTD $0 (exited)
     RE0-7,948$0
SHELL PLC $0 (exited)
     SHEL0-37,996$0
SMUCKER J M CO $0 (exited)
     SJM0-4,632$0
SUPER MICRO COMPUTER INC $0 (exited)
     SMCI0-1,240$0
SPDR INDEX SHS FDS $0 (exited)
     SPDW0-815,820$0
SPDR INDEX SHS FDS $0 (exited)
     SPEM0-669,762$0
SKYWORKS SOLUTIONS INC $0 (exited)
     SWKS0-6,887$0
UDR INC $0 (exited)
     UDR0-31,886$0
VANGUARD INTL EQUITY INDEX F $0 (exited)
     VEU0-34,548$0
VANGUARD WHITEHALL FDS $0 (exited)
     VIGI0-152,667$0
VANGUARD STAR FDS $0 (exited)
     VXUS0-420,533$0
WABTEC $0 (exited)
     WAB0-113,388$0
XENON PHARMACEUTICALS INC 0 -69,510 $0 (exited)
     XENE0-69,510$0

See Summary: Moran Wealth Management LLC Top Holdings
See Details: Top 10 Stocks Held By Moran Wealth Management LLC

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