|
Entity | Shares/Amount Change | Position Value Change |
ABT |
-15,788 | -$1,738 | TSLA |
-6,551 | -$1,628 | CSCO |
-30,207 | -$1,526 | Fidelity 500 Index Fund Inst |
-7,322 | -$1,212 | JPM |
-6,457 | -$1,098 | BRK |
-2,730 | -$974 | ISD |
-57,359 | -$707 | RWAY |
-55,605 | -$702 | MCD |
-2,270 | -$673 | ASB |
-30,467 | -$652 |
Entity | Shares/Amount Change | Position Value Change |
PWSC |
+935,648 | +$16,349 | PRVA |
+804,304 | -$52 | DSGX |
+261,688 | +$29,292 | PAYC |
+148,962 | +$26,025 | ENTG |
+102,558 | +$21,448 | KNSL |
+63,141 | +$80,310 | TOST |
+61,446 | +$11,900 | FSCO |
+56,701 | +$370 | JHS |
+37,028 | +$421 | ZI |
+29,516 | -$2,998 |
Entity | Shares/Amount Change | Position Value Change |
FAST |
-645,087 | -$13,345 | CSGP |
-484,822 | -$24,114 | RBA |
-303,122 | +$10,072 | CCCS |
-174,178 | +$2,123 | LOPE |
-146,958 | -$12,320 | ECL |
-115,855 | -$22,436 | JQC |
-95,066 | -$463 | ROL |
-91,258 | +$3,842 | IWM |
-90,424 | -$18,118 |
Size ($ in 1000's)
At 03/31/2024: $8,195,999 At 12/31/2023: $8,005,173
Riverbridge Partners LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Riverbridge Partners LLC 13F filings.
Link to 13F filings: SEC filings
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|
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As of 03/31/2024, we find all stocks held by Riverbridge Partners LLC to be as follows, presented in the
table below with each row detailing each Riverbridge Partners LLC position, ordered by largest to smallest position size.
The all-stocks-held-by-Riverbridge Partners LLC table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Riverbridge Partners LLC as of the latest filing.
Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size
($ in 1000's) |
Globant S.A. |
1,348,777 |
-39,714 |
$272,318 | GLOB | 1,348,777 | -39,714 | $272,318 | Microsoft Corporation |
600,776 |
-24,977 |
$252,758 | MSFT | 600,776 | -24,977 | $252,758 | RB Global Inc. |
3,270,155 |
-303,122 |
$249,088 | RBA | 3,270,155 | -303,122 | $249,088 | Medpace Holdings Inc. |
606,250 |
-77,693 |
$245,016 | MEDP | 606,250 | -77,693 | $245,016 | NVIDIA Corporation |
262,197 |
-11,557 |
$236,911 | NVDA | 262,197 | -11,557 | $236,911 | Five Below Inc. |
1,305,888 |
-89,746 |
$236,862 | FIVE | 1,305,888 | -89,746 | $236,862 | Grand Canyon Education Inc. |
1,698,773 |
-146,958 |
$231,390 | LOPE | 1,698,773 | -146,958 | $231,390 | HEICO Corporation |
1,114,372 |
-31,202 |
$212,845 | HEI | 1,114,372 | -31,202 | $212,845 | Floor & Decor Holdings Inc. |
1,565,671 |
-42,985 |
$202,942 | FND | 1,565,671 | -42,985 | $202,942 | West Pharmaceutical Services |
501,891 |
-14,132 |
$198,603 | WST | 501,891 | -14,132 | $198,603 | CoStar Group Inc. |
1,982,075 |
-484,822 |
$191,468 | CSGP | 1,982,075 | -484,822 | $191,468 | Fastenal Company |
2,298,902 |
-645,087 |
$177,337 | FAST | 2,298,902 | -645,087 | $177,337 | Tyler Technologies Inc. |
405,693 |
-12,143 |
$172,424 | TYL | 405,693 | -12,143 | $172,424 | Ensign Group Inc. |
1,346,085 |
-39,263 |
$167,480 | ENSG | 1,346,085 | -39,263 | $167,480 | Workiva Inc. |
1,947,638 |
-57,638 |
$165,160 | WK | 1,947,638 | -57,638 | $165,160 | Kinsale Capital Group Inc. |
311,664 |
+63,141 |
$163,543 | KNSL | 311,664 | +63,141 | $163,543 | SPS Commerce Inc. |
829,705 |
-21,062 |
$153,413 | SPSC | 829,705 | -21,062 | $153,413 | Paylocity Holding Corporation |
869,625 |
-11,809 |
$149,454 | PCTY | 869,625 | -11,809 | $149,454 | Ansys Inc. |
405,555 |
-80,447 |
$140,793 | ANSS | 405,555 | -80,447 | $140,793 | Rollins Inc. |
3,010,727 |
-91,258 |
$139,306 | ROL | 3,010,727 | -91,258 | $139,306 | Amazon.com Inc. |
732,496 |
-30,815 |
$132,128 | AMZN | 732,496 | -30,815 | $132,128 | BlackLine Inc. |
1,961,286 |
-49,476 |
$126,660 | BL | 1,961,286 | -49,476 | $126,660 | Guidewire Software Inc. |
1,077,674 |
-30,335 |
$125,775 | GWRE | 1,077,674 | -30,335 | $125,775 | Freshpet Inc. |
1,065,535 |
-26,009 |
$123,453 | FRPT | 1,065,535 | -26,009 | $123,453 | Paycom Software Inc. |
618,570 |
+148,962 |
$123,102 | PAYC | 618,570 | +148,962 | $123,102 | Alarm.com Holdings Inc. |
1,626,402 |
-40,707 |
$117,865 | ALRM | 1,626,402 | -40,707 | $117,865 | Privia Health Group Inc. |
5,399,662 |
+804,304 |
$105,779 | PRVA | 5,399,662 | +804,304 | $105,779 | Salesforce Inc. |
323,937 |
-14,012 |
$97,563 | CRM | 323,937 | -14,012 | $97,563 | Align Technology Inc. |
291,709 |
+1,746 |
$95,657 | ALGN | 291,709 | +1,746 | $95,657 | Verisk Analytics Inc. |
396,969 |
-12,339 |
$93,578 | VRSK | 396,969 | -12,339 | $93,578 | Veeva Systems Inc. |
401,154 |
-15,560 |
$92,943 | VEEV | 401,154 | -15,560 | $92,943 | Descartes Systems Group Inc. |
976,613 |
+261,688 |
$89,389 | DSGX | 976,613 | +261,688 | $89,389 | Analog Devices Inc. |
450,071 |
-17,353 |
$89,020 | ADI | 450,071 | -17,353 | $89,020 | ServiceNow Inc. |
115,376 |
-4,856 |
$87,963 | NOW | 115,376 | -4,856 | $87,963 | DoubleVerify Holdings Inc. |
2,497,400 |
-63,988 |
$87,809 | DV | 2,497,400 | -63,988 | $87,809 | CCC Intelligent Solutions Hold |
7,204,264 |
-174,178 |
$86,163 | CCCS | 7,204,264 | -174,178 | $86,163 | Exponent Inc. |
1,005,347 |
-22,299 |
$83,132 | EXPO | 1,005,347 | -22,299 | $83,132 | Charles River Laboratories Int |
303,778 |
+3,088 |
$82,309 | CRL | 303,778 | +3,088 | $82,309 | Squarespace Inc. |
2,255,451 |
-37,673 |
$82,189 | SQSP | 2,255,451 | -37,673 | $82,189 | Repligen Corporation |
445,168 |
-5,771 |
$81,875 | RGEN | 445,168 | -5,771 | $81,875 | S&P Global Inc. |
187,200 |
-7,813 |
$79,644 | SPGI | 187,200 | -7,813 | $79,644 | UnitedHealth Group Inc. |
157,645 |
-6,109 |
$77,987 | UNH | 157,645 | -6,109 | $77,987 | Progyny Inc. |
1,996,595 |
-17,863 |
$76,170 | PGNY | 1,996,595 | -17,863 | $76,170 | Cognex Corporation |
1,725,820 |
+5,173 |
$73,209 | CGNX | 1,725,820 | +5,173 | $73,209 | Danaher Corporation |
290,494 |
-12,105 |
$72,542 | DHR | 290,494 | -12,105 | $72,542 | Kadant Inc. |
218,528 |
-7,055 |
$71,699 | KAI | 218,528 | -7,055 | $71,699 | ACV Auctions Inc. |
3,713,565 |
-34,868 |
$69,704 | ACVA | 3,713,565 | -34,868 | $69,704 | Option Care Health Inc. |
1,959,860 |
+2,035 |
$65,734 | OPCH | 1,959,860 | +2,035 | $65,734 | Entegris Inc. |
442,091 |
+102,558 |
$62,131 | ENTG | 442,091 | +102,558 | $62,131 | Chemed Corporation |
95,287 |
-3,043 |
$61,168 | CHE | 95,287 | -3,043 | $61,168 | GoDaddy Inc. |
512,420 |
-6,925 |
$60,814 | GDDY | 512,420 | -6,925 | $60,814 | Watsco Inc. |
140,600 |
-2,236 |
$60,735 | WSO | 140,600 | -2,236 | $60,735 | Bio Techne Corporation |
861,631 |
-5,568 |
$60,650 | TECH | 861,631 | -5,568 | $60,650 | IDEXX Laboratories Inc. |
111,505 |
-4,860 |
$60,205 | IDXX | 111,505 | -4,860 | $60,205 | WillScot Mobile Mini Holdings |
1,252,192 |
-38,219 |
$58,227 | WSC | 1,252,192 | -38,219 | $58,227 | Alphabet Inc. Class A |
372,969 |
-24,595 |
$56,292 | GOOGL | 372,969 | -24,595 | $56,292 | Powerschool Holdings Inc. |
2,508,871 |
+935,648 |
$53,414 | PWSC | 2,508,871 | +935,648 | $53,414 | Visa Inc. |
186,993 |
-8,313 |
$52,186 | V | 186,993 | -8,313 | $52,186 | Glaukos Corporation |
534,514 |
-13,622 |
$50,399 | GKOS | 534,514 | -13,622 | $50,399 | Certara Inc. |
2,818,511 |
+2,133 |
$50,395 | CERT | 2,818,511 | +2,133 | $50,395 | Starbucks Corporation |
549,098 |
-24,399 |
$50,182 | SBUX | 549,098 | -24,399 | $50,182 | Five9 Inc. |
760,337 |
-18,896 |
$47,225 | FIVN | 760,337 | -18,896 | $47,225 | Power Integrations Inc. |
630,303 |
-20,258 |
$45,098 | POWI | 630,303 | -20,258 | $45,098 | Grid Dynamics Holdings Inc. |
3,518,072 |
-55,442 |
$43,237 | GDYN | 3,518,072 | -55,442 | $43,237 | U.S. Physical Therapy Inc. |
376,725 |
-10,753 |
$42,521 | USPH | 376,725 | -10,753 | $42,521 | Stevanato Group SpA |
1,287,758 |
-4,213 |
$41,337 | STVN | 1,287,758 | -4,213 | $41,337 | Alphabet Inc. Class C |
267,014 |
-22,630 |
$40,655 | GOOG | 267,014 | -22,630 | $40,655 | Toast Inc. |
1,618,260 |
+61,446 |
$40,327 | TOST | 1,618,260 | +61,446 | $40,327 | Trade Desk Inc. |
448,135 |
+6,969 |
$39,176 | TTD | 448,135 | +6,969 | $39,176 | AMN Healthcare Services Inc. |
624,739 |
-15,121 |
$39,052 | AMN | 624,739 | -15,121 | $39,052 | Netflix Inc. |
62,185 |
-2,742 |
$37,767 | NFLX | 62,185 | -2,742 | $37,767 | Paycor HCM Inc. |
1,879,695 |
-31,496 |
$36,541 | PYCR | 1,879,695 | -31,496 | $36,541 | Model N Inc. |
1,265,298 |
-2,848 |
$36,023 | MODN | 1,265,298 | -2,848 | $36,023 | Neogen Corporation |
2,143,517 |
-39,464 |
$33,825 | NEOG | 2,143,517 | -39,464 | $33,825 | Kornit Digital Ltd. |
1,800,047 |
+683 |
$32,617 | KRNT | 1,800,047 | +683 | $32,617 | Motorola Solutions Inc. |
88,304 |
-3,419 |
$31,346 | MSI | 88,304 | -3,419 | $31,346 | Jack Henry & Associates Inc. |
178,523 |
-1,007 |
$31,015 | JKHY | 178,523 | -1,007 | $31,015 | Fair Isaac Corporation |
19,900 |
+19,900 |
$24,868 | FICO | 19,900 | +19,900 | $24,868 | Goosehead Insurance Inc. |
369,225 |
-11,516 |
$24,598 | GSHD | 369,225 | -11,516 | $24,598 | Pennant Group Inc. |
1,238,479 |
-20,261 |
$24,311 | PNTG | 1,238,479 | -20,261 | $24,311 | ZoomInfo Technologies Inc. |
1,440,530 |
+29,516 |
$23,092 | ZI | 1,440,530 | +29,516 | $23,092 | Riverbridge Growth Fund Inst |
672,372 |
-34,252 |
$22,195 | COM | 672,372 | -34,252 | $22,195 | International Money Express I |
964,731 |
-9,502 |
$22,025 | IMXI | 964,731 | -9,502 | $22,025 | Phreesia Inc. |
844,659 |
+57 |
$20,213 | PHR | 844,659 | +57 | $20,213 | OrthoPediatrics Corporation |
492,440 |
-13,063 |
$14,360 | KIDS | 492,440 | -13,063 | $14,360 | Definitive Healthcare Corporat |
1,756,726 |
-5,847 |
$14,177 | DH | 1,756,726 | -5,847 | $14,177 | Linde Plc |
14,372 |
-212 |
$6,673 | LIN | 14,372 | -212 | $6,673 | Apple Inc. |
34,193 |
-46,945 |
$5,863 | AAPL | 34,193 | -46,945 | $5,863 | Equifax Inc. |
18,866 |
-243 |
$5,047 | EFX | 18,866 | -243 | $5,047 | VANGUARD INDEX FDS EXTEND MKT (VXF) |
26,857 |
-21,734 |
$4,707 | VXF | 26,857 | -21,734 | $4,707 | TJX Companies Inc. |
39,352 |
-611 |
$3,991 | TJX | 39,352 | -611 | $3,991 | Ecolab Inc. |
16,718 |
-115,855 |
$3,860 | ECL | 16,718 | -115,855 | $3,860 | PepsiCo Inc. |
18,237 |
-1,386 |
$3,192 | PEP | 18,237 | -1,386 | $3,192 | Snap on Inc. |
9,694 |
-201 |
$2,872 | SNA | 9,694 | -201 | $2,872 | Vanguard Index Tr 500 Index Ad |
5,807 |
-9,423 |
$2,815 | COM | 5,807 | -9,423 | $2,815 | Procter & Gamble Company |
17,025 |
-2,822 |
$2,762 | PG | 17,025 | -2,822 | $2,762 | Dollar General Corporation |
16,782 |
+627 |
$2,619 | DG | 16,782 | +627 | $2,619 | Walmart Inc. |
38,480 |
+25,256 |
$2,315 | WMT | 38,480 | +25,256 | $2,315 | Rockwell Automation Com |
7,826 |
-162 |
$2,280 | ROK | 7,826 | -162 | $2,280 | Paychex Inc. |
18,317 |
-301 |
$2,249 | PAYX | 18,317 | -301 | $2,249 | iShares Core S&P U.S. Growth E (IUSG) |
18,399 |
-9,971 |
$2,157 | IUSG | 18,399 | -9,971 | $2,157 | Johnson & Johnson |
12,105 |
-2,598 |
$1,915 | JNJ | 12,105 | -2,598 | $1,915 | Ishares Tr Russell 2000 Growth (IWO) |
6,404 |
-4,500 |
$1,734 | IWO | 6,404 | -4,500 | $1,734 | Nuveen AMT Free Quality Munici |
152,578 |
+3,750 |
$1,689 | NEA | 152,578 | +3,750 | $1,689 | Workday Inc. Class A |
6,126 |
UNCH |
$1,671 | WDAY | 6,126 | UNCH | $1,671 | Principal Real Estate Income F |
157,227 |
+3,802 |
$1,624 | PGZ | 157,227 | +3,802 | $1,624 | Accenture Plc |
4,485 |
-510 |
$1,555 | ACN | 4,485 | -510 | $1,555 | Western Asset Mortgage Defined |
131,154 |
+3,132 |
$1,536 | DMO | 131,154 | +3,132 | $1,536 | Sixth Street Specialty Lending |
68,620 |
+1,868 |
$1,471 | TSLX | 68,620 | +1,868 | $1,471 | Nuveen Quality Municipal Incom |
117,233 |
+3,158 |
$1,343 | NAD | 117,233 | +3,158 | $1,343 | Roche Holding Ltd. ADR |
40,517 |
-890 |
$1,293 | RHHBY | 40,517 | -890 | $1,293 | RiverNorth Flexible Municipal |
92,000 |
+23,482 |
$1,291 | RFMZ | 92,000 | +23,482 | $1,291 | Ishares Core S&P 500 Etf (IVV) |
2,162 |
-11,795 |
$1,137 | IVV | 2,162 | -11,795 | $1,137 | Pioneer Municipal High Income |
138,414 |
+4,223 |
$1,128 | MAV | 138,414 | +4,223 | $1,128 | FS Credit Opportunities Corp |
189,079 |
+56,701 |
$1,121 | FSCO | 189,079 | +56,701 | $1,121 | Blackstone Strategic Credit Fu |
90,174 |
+840 |
$1,073 | BGB | 90,174 | +840 | $1,073 | Brookfield Real Assets Income |
80,133 |
+1,761 |
$1,035 | RA | 80,133 | +1,761 | $1,035 | Ares Capital Corporation |
47,855 |
+1,158 |
$996 | ARCC | 47,855 | +1,158 | $996 | PGIM Short Duration High Yield |
64,554 |
+64,554 |
$993 | SDHY | 64,554 | +64,554 | $993 | BlackRock Muni Intermediate Du |
79,700 |
-13 |
$961 | MUI | 79,700 | -13 | $961 | Zscaler Inc. |
4,199 |
+3 |
$809 | ZS | 4,199 | +3 | $809 | DWS Municipal Income Trust |
84,535 |
-1,647 |
$763 | KTF | 84,535 | -1,647 | $763 | Pioneer Municipal High Income |
85,583 |
-40,036 |
$757 | MHI | 85,583 | -40,036 | $757 | Pioneer Floating Rate Trust |
77,957 |
-21,570 |
$755 | PHD | 77,957 | -21,570 | $755 | Invesco Quality Municipal Inco |
76,846 |
-1,500 |
$744 | IQI | 76,846 | -1,500 | $744 | BlackRock 2030 Municipal Targe |
33,219 |
+33,219 |
$700 | BTT | 33,219 | +33,219 | $700 | PIMCO Dynamic Income Opportuni |
52,469 |
+2,467 |
$691 | PDO | 52,469 | +2,467 | $691 | Ishares Tr Russell 2000 (IWM) |
3,253 |
-90,424 |
$684 | IWM | 3,253 | -90,424 | $684 | TCW Strategic Income Fund (TSI) |
141,752 |
+3,489 |
$682 | TSI | 141,752 | +3,489 | $682 | John Hancock Income Securities |
59,769 |
+37,028 |
$668 | JHS | 59,769 | +37,028 | $668 | Ishares Tr Russell 1000 (IWB) |
2,204 |
UNCH |
$635 | IWB | 2,204 | UNCH | $635 | Golub Capital BDC Inc. |
37,537 |
+1,387 |
$624 | GBDC | 37,537 | +1,387 | $624 | Oracle Corporation |
4,800 |
-71 |
$603 | ORCL | 4,800 | -71 | $603 | BlackRock MuniHoldings Fund In (MHD) |
49,688 |
-975 |
$600 | MHD | 49,688 | -975 | $600 | BNY Mellon Strategic Municipal |
101,106 |
-1,978 |
$592 | DSM | 101,106 | -1,978 | $592 | DWS Strategic Municipal Income |
64,081 |
-1,256 |
$573 | KSM | 64,081 | -1,256 | $573 | Blackrock Credit Allocation |
53,214 |
+2,198 |
$569 | BTZ | 53,214 | +2,198 | $569 | Invesco Municipal Trust |
56,959 |
-1,115 |
$553 | VKQ | 56,959 | -1,115 | $553 | Nuveen Credit Strategies Incom |
93,095 |
-95,066 |
$519 | JQC | 93,095 | -95,066 | $519 | Federated Premier Municipal In |
45,695 |
-894 |
$506 | FMN | 45,695 | -894 | $506 | Fiserv Inc. |
3,080 |
UNCH |
$492 | FI | 3,080 | UNCH | $492 | Insight Select Income Fund (INSI) |
27,129 |
+27,129 |
$447 | INSI | 27,129 | +27,129 | $447 | Stryker Corp Com |
1,200 |
-673 |
$429 | SYK | 1,200 | -673 | $429 | Blackrock Income Trust |
31,775 |
-17,398 |
$378 | BKT | 31,775 | -17,398 | $378 | John Hancock Investors Trust |
27,238 |
+27,238 |
$359 | JHI | 27,238 | +27,238 | $359 | Gentex Corporation |
9,831 |
UNCH |
$355 | GNTX | 9,831 | UNCH | $355 | Western Asset Managed Municipa |
33,422 |
+824 |
$349 | MMU | 33,422 | +824 | $349 | Allianz SE Unsponsored ADR |
11,487 |
UNCH |
$344 | COM | 11,487 | UNCH | $344 | BlackRock MuniVest Fund Inc. (MVF) |
47,620 |
-932 |
$336 | MVF | 47,620 | -932 | $336 | Nuveen Taxable Municipal Incom |
21,725 |
+1,773 |
$333 | NBB | 21,725 | +1,773 | $333 | Blackrock Taxable Municipal Bo |
19,866 |
+1,622 |
$325 | BBN | 19,866 | +1,622 | $325 | DBS Group Holdings Ltd Sponsor |
2,924 |
+2,924 |
$312 | COM | 2,924 | +2,924 | $312 | RiverNorth DoubleLine Strategi |
35,838 |
+35,838 |
$309 | OPP | 35,838 | +35,838 | $309 | Target Corporation |
1,633 |
UNCH |
$289 | TGT | 1,633 | UNCH | $289 | Nuveen Municipal Credit Income |
23,305 |
+701 |
$285 | NZF | 23,305 | +701 | $285 | Carlyle Credit Income Fund A o (CCIF) |
34,098 |
-36,511 |
$268 | CCIF | 34,098 | -36,511 | $268 | Veralto Corporation |
3,018 |
-89,771 |
$268 | VLTO | 3,018 | -89,771 | $268 | SAP SE Sponsored ADR |
1,347 |
UNCH |
$263 | SAP | 1,347 | UNCH | $263 | Invesco Municipal Opportunity |
26,767 |
+900 |
$260 | VMO | 26,767 | +900 | $260 | Taiwan Semiconductor Manufactu |
1,883 |
-853 |
$256 | TSM | 1,883 | -853 | $256 | Chugai Pharmaceutical Co. Ltd |
13,200 |
UNCH |
$253 | COM | 13,200 | UNCH | $253 | Infineon Technologies AG Spons |
7,338 |
UNCH |
$250 | COM | 7,338 | UNCH | $250 | Nuveen Floating Rate Income Fu |
28,636 |
-45,302 |
$250 | JFR | 28,636 | -45,302 | $250 | Fomento Economico Mexicano SAB |
1,892 |
UNCH |
$246 | FMX | 1,892 | UNCH | $246 | Dassault Systemes SA Sponsored |
5,534 |
+1,050 |
$245 | DASTY | 5,534 | +1,050 | $245 | Vanguard Index Fds Stk Mrk Etf (VTI) |
926 |
-1,017 |
$241 | VTI | 926 | -1,017 | $241 | L&apos Oreal SA Unsponsored ADR |
2,447 |
UNCH |
$232 | COM | 2,447 | UNCH | $232 | Manulife Finl Corp Com |
8,350 |
+8,350 |
$209 | MFC | 8,350 | +8,350 | $209 | Banco Bilbao Vizcaya Argentari |
16,562 |
UNCH |
$196 | BBVA | 16,562 | UNCH | $196 | Haier Smart Home Co. Ltd. Uns |
15,722 |
-3,222 |
$195 | COM | 15,722 | -3,222 | $195 | Eaton Vance Limited Duration I |
19,009 |
+1,550 |
$185 | EVV | 19,009 | +1,550 | $185 | Haleon PLC Sponsored ADR |
18,127 |
UNCH |
$154 | HLN | 18,127 | UNCH | $154 | Unicharm Corporation Sponsored |
12,325 |
UNCH |
$78 | COM | 12,325 | UNCH | $78 | Ambev SA Sponsored ADR |
24,818 |
+0 |
$62 | ABEV | 24,818 | UNCH | $62 | AbbVie Inc. |
|
|
$0 (exited) | ABBV | 0 | -2,061 | $0 | Abbott Laboratories |
|
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$0 (exited) | ABT | 0 | -15,788 | $0 | Automatic Data Process Com |
|
|
$0 (exited) | ADP | 0 | -974 | $0 | AMCOR PLC ORD |
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$0 (exited) | AMCR | 0 | -15,300 | $0 | Ameriprise Financial Inc. |
|
|
$0 (exited) | AMP | 0 | -559 | $0 | ASSOCIATED BANC CORP COM |
|
|
$0 (exited) | ASB | 0 | -30,467 | $0 | American Express Company |
|
|
$0 (exited) | AXP | 0 | -2,690 | $0 | Berkshire Hathaway Inc. Class |
|
|
$0 (exited) | BRK.B | 0 | -2,730 | $0 | Charles Schwab Balanced Pool |
|
|
$0 (exited) | COM | 0 | -2,800 | $0 | Costco Wholesale Corporation |
|
|
$0 (exited) | COST | 0 | -690 | $0 | Cisco Systems Inc. |
|
|
$0 (exited) | CSCO | 0 | -30,207 | $0 | DBS Group Hldgs Ltd Sponsored |
|
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$0 (exited) | COM | 0 | -2,671 | $0 | Walt Disney Company |
|
|
$0 (exited) | DIS | 0 | -3,525 | $0 | Fidelity Contra Fund |
|
|
$0 (exited) | COM | 0 | -15,922 | $0 | Fidelity 500 Index Fund Inst |
|
|
$0 (exited) | COM | 0 | -7,322 | $0 | Honeywell International Inc. |
|
|
$0 (exited) | HON | 0 | -2,000 | $0 | PGIM High Yield Bond Fund Inc. |
|
|
$0 (exited) | ISD | 0 | -57,359 | $0 | JPMorgan Chase & Co. |
|
|
$0 (exited) | JPM | 0 | -6,457 | $0 | JPMORGAN TR II LRG CAP GROWTH |
|
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$0 (exited) | COM | 0 | -10,474 | $0 | Coca Cola Company |
|
|
$0 (exited) | KO | 0 | -7,482 | $0 | Lululemon Athletica Inc |
|
|
$0 (exited) | LULU | 0 | -500 | $0 | McDonald&apos s Corporation |
|
|
$0 (exited) | MCD | 0 | -2,270 | $0 | Medtronic plc |
|
|
$0 (exited) | MDT | 0 | -4,129 | $0 | Meta Platforms Inc. Class A |
|
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$0 (exited) | META | 0 | -714 | $0 | 3M Company |
|
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$0 (exited) | MMM | 0 | -2,337 | $0 | Marathon Petroleum Corporation |
|
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$0 (exited) | MPC | 0 | -1,420 | $0 | PETVIVO HLDGS INC COM NEW |
|
|
$0 (exited) | PETV | 0 | -14,369 | $0 | RiverNorth Flexible Municipal |
|
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$0 (exited) | RFM | 0 | -34,119 | $0 | Runway Growth Finance Corp. |
|
|
$0 (exited) | RWAY | 0 | -55,605 | $0 | Third Ave Tr Real Estate Fd |
|
|
$0 (exited) | COM | 0 | -11,504 | $0 | Tesla Inc. |
|
|
$0 (exited) | TSLA | 0 | -6,551 | $0 | U.S. Bancorp |
|
|
$0 (exited) | USB | 0 | -7,554 | $0 | Vanguard Explorer Fund Admiral |
|
|
$0 (exited) | COM | 0 | -3,565 | $0 | Vanguard Etf Small Cap Growth |
|
|
$0 (exited) | VBK | 0 | -2,431 | $0 | Carlyle Credit Income Fund A o |
|
|
$0 (exited) | VCIF | 0 | -70,609 | $0 | Wells Fargo & Company |
|
|
$0 (exited) | WFC | 0 | -6,100 | $0 | Waste Mgmt |
0 |
-2,500 |
$0 (exited) | WM | 0 | -2,500 | $0 |
See Summary: Riverbridge Partners LLC Top Holdings
See Details: Top 10 Stocks Held By Riverbridge Partners LLC
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