|
Entity | Shares/Amount Change | Position Value Change |
ALLY |
+1,806,429 | +$63,080 | ANET |
+219,532 | +$51,702 | VNOM |
+1,300,433 | +$40,808 | CHK |
+416,941 | +$32,079 | EG |
+60,384 | +$21,351 | XYL |
+164,219 | +$18,780 | BYD |
+288,951 | +$18,091 | AMN |
+112,091 | +$8,393 | CHEF |
+228,175 | +$6,715 | MGPI |
+65,747 | +$6,477 |
Entity | Shares/Amount Change | Position Value Change |
PXD |
-256,411 | -$57,554 | ARISTA NETWORKS INC |
-289,166 | -$54,308 | HES |
-285,137 | -$42,520 | SPLK |
-271,774 | -$39,733 | RE |
-84,010 | -$31,556 | CDNS |
-81,878 | -$19,363 | OMCL |
-337,681 | -$15,250 | PFGC |
-197,174 | -$11,580 | AMN HEALTHCARE SERVICES INC |
-113,850 | -$9,633 | LW |
-95,012 | -$8,763 |
Entity | Shares/Amount Change | Position Value Change |
FHN |
+1,067,006 | +$31,802 | CFG |
+399,120 | +$21,580 | MOS |
+334,730 | +$12,045 | ADC |
+214,840 | +$19,247 | DHI |
+130,515 | +$25,926 | MAA |
+125,822 | +$18,235 | THO |
+113,201 | +$16,265 | YETI |
+110,463 | +$6,185 | TKO |
+109,196 | +$8,087 | FOXA |
+105,960 | +$3,021 |
Entity | Shares/Amount Change | Position Value Change |
PLTR |
-1,922,331 | -$18,281 | CNP |
-812,911 | -$14,387 | RIG |
-795,143 | -$11,146 | MRVL |
-612,437 | -$33,105 | APP |
-580,192 | -$24,017 | PWR |
-525,199 | -$77,264 | ACGL |
-376,810 | -$31,219 | NE |
-376,413 | -$20,228 | STAG |
-364,161 | -$5,035 |
Size ($ in 1000's)
At 12/31/2023: $3,997,090 At 09/30/2023: $4,365,157
Scout Investments Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Scout Investments Inc. 13F filings.
Link to 13F filings: SEC filings
|
|
|
As of 12/31/2023, we find all stocks held by Scout Investments Inc. to be as follows, presented in the
table below with each row detailing each Scout Investments Inc. position, ordered by largest to smallest position size.
The all-stocks-held-by-Scout Investments Inc. table shows the entity held in the first column (click any entity to explore other funds
holding positions), the share amount held, the share count change between the last two reporting periods, and finally the
position size for all stocks held by Scout Investments Inc. as of the latest filing.
Entity | Amount | Change
09/30/2023 to 12/31/2023 |
Position Size
($ in 1000's) |
PALANTIR TECHNOLOGIES INC A |
9,492,883 |
-1,922,331 |
$162,993 | PLTR | 9,492,883 | -1,922,331 | $162,993 | QUANTA SERVICES INC |
395,987 |
-525,199 |
$85,454 | PWR | 395,987 | -525,199 | $85,454 | FIRST HORIZON CORP |
5,809,388 |
+1,067,006 |
$82,261 | FHN | 5,809,388 | +1,067,006 | $82,261 | BIOMARIN PHARMACEUTICAL INC |
791,625 |
-111,441 |
$76,328 | BMRN | 791,625 | -111,441 | $76,328 | CBOE GLOBAL MARKETS INC |
394,381 |
-233,575 |
$70,421 | CBOE | 394,381 | -233,575 | $70,421 | CENTERPOINT ENERGY INC |
2,320,949 |
-812,911 |
$66,310 | CNP | 2,320,949 | -812,911 | $66,310 | ALLY FINANCIAL INC |
1,806,429 |
+1,806,429 |
$63,080 | ALLY | 1,806,429 | +1,806,429 | $63,080 | STAG INDUSTRIAL INC |
1,367,151 |
-364,161 |
$53,674 | STAG | 1,367,151 | -364,161 | $53,674 | EVERCORE INC A |
311,622 |
-29,446 |
$53,303 | EVR | 311,622 | -29,446 | $53,303 | AGREE REALTY CORP |
844,367 |
+214,840 |
$53,153 | ADC | 844,367 | +214,840 | $53,153 | ARISTA NETWORKS INC |
219,532 |
+219,532 |
$51,702 | ANET | 219,532 | +219,532 | $51,702 | CITIZENS FINANCIAL GROUP |
1,554,485 |
+399,120 |
$51,516 | CFG | 1,554,485 | +399,120 | $51,516 | CHART INDUSTRIES INC |
357,801 |
-198,120 |
$48,779 | GTLS | 357,801 | -198,120 | $48,779 | CROWDSTRIKE HOLDINGS INC A |
171,522 |
-83,218 |
$43,793 | CRWD | 171,522 | -83,218 | $43,793 | EDWARDS LIFESCIENCES CORP |
|
|
$41,759 | Common Stock | 547,664 | -63,308 | $41,759 | MID AMERICA APARTMENT COMM |
309,789 |
+125,822 |
$41,654 | MAA | 309,789 | +125,822 | $41,654 | AGILENT TECHNOLOGIES INC |
297,903 |
-33,206 |
$41,417 | A | 297,903 | -33,206 | $41,417 | VIPER ENERGY INC |
1,300,433 |
+1,300,433 |
$40,808 | VNOM | 1,300,433 | +1,300,433 | $40,808 | DR HORTON INC |
263,491 |
+130,515 |
$40,045 | DHI | 263,491 | +130,515 | $40,045 | PPL CORP |
1,450,356 |
-349,300 |
$39,305 | PPL | 1,450,356 | -349,300 | $39,305 | HUBBELL INC |
118,658 |
-80,919 |
$39,030 | HUBB | 118,658 | -80,919 | $39,030 | NOBLE CORP PLC |
803,223 |
-376,413 |
$38,683 | NE | 803,223 | -376,413 | $38,683 | DARLING INGREDIENTS INC |
772,491 |
+82,085 |
$38,501 | DAR | 772,491 | +82,085 | $38,501 | TERADATA CORP |
874,636 |
-224,263 |
$38,055 | TDC | 874,636 | -224,263 | $38,055 | CENTENE CORP |
510,338 |
-54,412 |
$37,872 | CNC | 510,338 | -54,412 | $37,872 | DELL TECHNOLOGIES C |
471,284 |
+49,383 |
$36,053 | DELL | 471,284 | +49,383 | $36,053 | UNITED RENTALS INC |
60,151 |
-15,351 |
$34,492 | URI | 60,151 | -15,351 | $34,492 | NEUROCRINE BIOSCIENCES INC |
261,618 |
-104,199 |
$34,471 | NBIX | 261,618 | -104,199 | $34,471 | LULULEMON ATHLETICA INC |
67,204 |
-42,133 |
$34,361 | LULU | 67,204 | -42,133 | $34,361 | DELTA AIR LINES INC |
815,914 |
-153,041 |
$32,824 | DAL | 815,914 | -153,041 | $32,824 | EAGLE MATERIALS INC |
161,229 |
-41,271 |
$32,704 | EXP | 161,229 | -41,271 | $32,704 | LAS VEGAS SANDS CORP |
661,795 |
-2,314 |
$32,567 | LVS | 661,795 | -2,314 | $32,567 | PARKER HANNIFIN CORP |
70,339 |
+18,572 |
$32,405 | PH | 70,339 | +18,572 | $32,405 | NVR INC |
4,607 |
-312 |
$32,251 | NVR | 4,607 | -312 | $32,251 | CHESAPEAKE ENERGY CORP |
416,941 |
+416,941 |
$32,079 | CHK | 416,941 | +416,941 | $32,079 | EASTGROUP PROPERTIES INC |
174,025 |
-45,790 |
$31,941 | EGP | 174,025 | -45,790 | $31,941 | CHIPOTLE MEXICAN GRILL INC |
13,776 |
-1,626 |
$31,505 | CMG | 13,776 | -1,626 | $31,505 | CENCORA INC |
170,333 |
-93,760 |
$30,657 | ABC | 170,333 | -93,760 | $30,657 | TEXTRON INC |
379,476 |
-84,686 |
$30,517 | TXT | 379,476 | -84,686 | $30,517 | BOOZ ALLEN HAMILTON HOLDINGS |
236,408 |
+7,533 |
$30,239 | BAH | 236,408 | +7,533 | $30,239 | ATMOS ENERGY CORP |
255,309 |
-55,772 |
$29,590 | ATO | 255,309 | +255,309 | $29,590 | TERADYNE INC |
272,190 |
-67,434 |
$29,538 | TER | 272,190 | -67,434 | $29,538 | RB GLOBAL INC |
432,188 |
-138,518 |
$28,909 | RBA | 432,188 | -138,518 | $28,909 | TKO GROUP HOLDINGS INC |
349,365 |
+109,196 |
$28,501 | TKO | 349,365 | +109,196 | $28,501 | BRUNSWICK CORP |
294,315 |
+84,716 |
$28,475 | BC | 294,315 | +84,716 | $28,475 | THOR INDUSTRIES INC |
239,396 |
+113,201 |
$28,309 | THO | 239,396 | +113,201 | $28,309 | MONOLITHIC POWER SYSTEMS INC |
43,794 |
+9,922 |
$27,624 | MPWR | 43,794 | +9,922 | $27,624 | ULTA BEAUTY INC |
55,713 |
+20,252 |
$27,299 | ULTA | 55,713 | +20,252 | $27,299 | WHITE MOUNTAINS INSURANCE GP |
18,051 |
-4,087 |
$27,167 | WTM | 18,051 | -4,087 | $27,167 | MURPHY USA INC |
76,117 |
-10,771 |
$27,140 | MUSA | 76,117 | -10,771 | $27,140 | U HAUL HOLDING CO NON VOTING |
|
|
$26,996 | Common Stock | 383,254 | +105,710 | $26,996 | AMETEK INC |
159,968 |
-10,948 |
$26,377 | AME | 159,968 | -10,948 | $26,377 | TAKE TWO INTERACTIVE SOFTWRE |
161,984 |
-23,621 |
$26,071 | TTWO | 161,984 | -23,621 | $26,071 | CLEAN HARBORS INC |
140,972 |
-39,629 |
$24,601 | CLH | 140,972 | -39,629 | $24,601 | MONSTER BEVERAGE CORP |
426,700 |
-104,154 |
$24,582 | MNST | 426,700 | -104,154 | $24,582 | GARTNER INC |
54,429 |
-41,954 |
$24,553 | IT | 54,429 | -41,954 | $24,553 | PAYCOM SOFTWARE INC |
116,744 |
+88,337 |
$24,133 | PAYC | 116,744 | +88,337 | $24,133 | KINSALE CAPITAL GROUP INC |
70,109 |
-24,620 |
$23,480 | KNSL | 70,109 | -24,620 | $23,480 | OWENS CORNING |
156,395 |
-40,755 |
$23,182 | OC | 156,395 | -40,755 | $23,182 | TRACTOR SUPPLY COMPANY |
106,810 |
-24,306 |
$22,967 | TSCO | 106,810 | -24,306 | $22,967 | EVERGY INC |
434,007 |
-113,764 |
$22,655 | EVRG | 434,007 | -113,764 | $22,655 | NUCOR CORP |
129,430 |
+1,571 |
$22,526 | NUE | 129,430 | +1,571 | $22,526 | MOLINA HEALTHCARE INC |
61,205 |
-21,568 |
$22,114 | MOH | 61,205 | -21,568 | $22,114 | TIMKEN CO |
274,502 |
-84,321 |
$22,001 | TKR | 274,502 | -84,321 | $22,001 | COPART INC |
448,363 |
+95,318 |
$21,970 | CPRT | 448,363 | +95,318 | $21,970 | CARRIER GLOBAL CORP |
381,298 |
-83,185 |
$21,906 | CARR | 381,298 | -83,185 | $21,906 | EVEREST GROUP LTD |
60,384 |
+60,384 |
$21,351 | EG | 60,384 | +60,384 | $21,351 | BAKER HUGHES CO |
613,628 |
-293,087 |
$20,974 | BKR | 613,628 | -293,087 | $20,974 | CASEY S GENERAL STORES INC |
75,172 |
-48,917 |
$20,653 | CASY | 75,172 | -48,917 | $20,653 | LIVE NATION ENTERTAINMENT IN |
217,992 |
-59,172 |
$20,404 | LYV | 217,992 | -59,172 | $20,404 | TRANSOCEAN LTD |
3,189,856 |
-795,143 |
$20,256 | RIG | 3,189,856 | -795,143 | $20,256 | PURE STORAGE INC CLASS A |
565,163 |
-233,556 |
$20,154 | PSTG | 565,163 | -233,556 | $20,154 | VULCAN MATERIALS CO |
88,672 |
-24,692 |
$20,129 | VMC | 88,672 | -24,692 | $20,129 | ALBERTSONS COS INC CLASS A |
869,749 |
-194,726 |
$20,004 | ACI | 869,749 | -194,726 | $20,004 | TEXAS ROADHOUSE INC |
160,304 |
-50,953 |
$19,594 | TXRH | 160,304 | -50,953 | $19,594 | ARCH CAPITAL GROUP LTD |
257,247 |
-376,810 |
$19,106 | ACGL | 257,247 | -376,810 | $19,106 | BUILDERS FIRSTSOURCE INC |
113,818 |
+57,801 |
$19,001 | BLDR | 113,818 | +57,801 | $19,001 | CHENIERE ENERGY INC |
110,682 |
-7,551 |
$18,895 | LNG | 110,682 | -7,551 | $18,895 | AXIS CAPITAL HOLDINGS LTD |
341,034 |
-80,581 |
$18,883 | AXS | 341,034 | -80,581 | $18,883 | XYLEM INC |
164,219 |
+164,219 |
$18,780 | XYL | 164,219 | +164,219 | $18,780 | BOYD GAMING CORP |
288,951 |
+288,951 |
$18,091 | BYD | 288,951 | +288,951 | $18,091 | WEC ENERGY GROUP INC |
210,436 |
-49,863 |
$17,712 | WEC | 210,436 | -49,863 | $17,712 | CAMECO CORP |
404,068 |
-119,792 |
$17,415 | CCJ | 404,068 | -119,792 | $17,415 | MARTIN MARIETTA MATERIALS |
34,896 |
-10,879 |
$17,410 | MLM | 34,896 | -10,879 | $17,410 | WORKDAY INC CLASS A |
62,359 |
-52,213 |
$17,215 | WDAY | 62,359 | -52,213 | $17,215 | VAIL RESORTS INC |
80,175 |
-20,897 |
$17,115 | MTN | 80,175 | -20,897 | $17,115 | ALIGN TECHNOLOGY INC |
61,210 |
+53,866 |
$16,772 | ALGN | 61,210 | +53,866 | $16,772 | INSTALLED BUILDING PRODUCTS |
90,636 |
-1,412 |
$16,570 | IBP | 90,636 | -1,412 | $16,570 | MOSAIC CO THE |
454,802 |
+334,730 |
$16,250 | MOS | 454,802 | +334,730 | $16,250 | FLEX LTD |
519,706 |
-120,825 |
$15,830 | FLEX | 519,706 | -120,825 | $15,830 | BROWN & BROWN INC |
217,715 |
-359,911 |
$15,482 | BRO | 217,715 | -359,911 | $15,482 | MEDPACE HOLDINGS INC |
50,230 |
-2,597 |
$15,397 | MEDP | 50,230 | -2,597 | $15,397 | COSTAR GROUP INC |
174,952 |
-36,388 |
$15,289 | CSGP | 174,952 | -36,388 | $15,289 | ROSS STORES INC |
110,159 |
-18,298 |
$15,245 | ROST | 110,159 | -18,298 | $15,245 | APPLIED INDUSTRIAL TECH INC |
87,682 |
-4,465 |
$15,142 | AIT | 87,682 | -4,465 | $15,142 | WW GRAINGER INC |
18,109 |
-5,154 |
$15,007 | GWW | 18,109 | -5,154 | $15,007 | WESTLAKE CORP |
106,344 |
-17,673 |
$14,884 | WLK | 106,344 | -17,673 | $14,884 | FABRINET |
78,181 |
-1,218 |
$14,880 | FN | 78,181 | -1,218 | $14,880 | ALAMOS GOLD INC CLASS A |
1,076,084 |
-272,844 |
$14,495 | AGI | 1,076,084 | -272,844 | $14,495 | AGNICO EAGLE MINES LTD |
249,376 |
-158,552 |
$13,678 | AEM | 249,376 | -158,552 | $13,678 | APPLOVIN CORP CLASS A |
343,169 |
-580,192 |
$13,675 | APP | 343,169 | -580,192 | $13,675 | ON SEMICONDUCTOR |
162,962 |
-147,425 |
$13,612 | ON | 162,962 | -147,425 | $13,612 | BWX TECHNOLOGIES INC |
175,709 |
-37,909 |
$13,482 | BWXT | 175,709 | -37,909 | $13,482 | HENRY SCHEIN INC |
172,468 |
-101,005 |
$13,058 | HSIC | 172,468 | -101,005 | $13,058 | INSPERITY INC |
111,234 |
-1,736 |
$13,039 | NSP | 111,234 | -1,736 | $13,039 | KRATOS DEFENSE & SECURITY |
626,566 |
-9,819 |
$12,713 | KTOS | 626,566 | -9,819 | $12,713 | QUALYS INC |
63,202 |
-984 |
$12,405 | QLYS | 63,202 | -984 | $12,405 | SKYWORKS SOLUTIONS INC |
109,815 |
-69,073 |
$12,345 | SWKS | 109,815 | -69,073 | $12,345 | O REILLY AUTOMOTIVE INC |
12,637 |
-20,353 |
$12,006 | ORLY | 12,637 | -20,353 | $12,006 | HOST HOTELS & RESORTS INC |
606,297 |
+83,086 |
$11,805 | HST | 606,297 | +83,086 | $11,805 | EPLUS INC |
147,772 |
-2,324 |
$11,798 | PLUS | 147,772 | -2,324 | $11,798 | INGERSOLL RAND INC |
150,074 |
+31,153 |
$11,607 | IR | 150,074 | +31,153 | $11,607 | FIRST AMERICAN FINANCIAL |
176,620 |
-99,483 |
$11,381 | FAF | 176,620 | -99,483 | $11,381 | DYCOM INDUSTRIES INC |
98,040 |
-1,534 |
$11,283 | DY | 98,040 | -1,534 | $11,283 | INSULET CORP |
51,844 |
-8,413 |
$11,249 | PODD | 51,844 | -8,413 | $11,249 | BALCHEM CORP |
72,917 |
-1,134 |
$10,846 | BCPC | 72,917 | -1,134 | $10,846 | VERICEL CORP |
304,448 |
-13,247 |
$10,841 | VCEL | 304,448 | -13,247 | $10,841 | PATRICK INDUSTRIES INC |
107,425 |
-1,693 |
$10,780 | PATK | 107,425 | -1,693 | $10,780 | COHEN & STEERS INC |
141,554 |
-2,221 |
$10,720 | CNS | 141,554 | -2,221 | $10,720 | UNIVERSAL DISPLAY CORP |
55,695 |
-10,465 |
$10,652 | OLED | 55,695 | -10,465 | $10,652 | HEALTHEQUITY INC |
160,104 |
-7,244 |
$10,615 | HQY | 160,104 | -7,244 | $10,615 | CREDO TECHNOLOGY GROUP HOLDI |
539,674 |
-8,444 |
$10,507 | CRDO | 539,674 | -8,444 | $10,507 | KEYSIGHT TECHNOLOGIES IN |
65,362 |
-104,564 |
$10,398 | KEYS | 65,362 | -104,564 | $10,398 | LEAR CORP |
73,606 |
-11,715 |
$10,394 | LEA | 73,606 | -11,715 | $10,394 | CF INDUSTRIES HOLDINGS INC |
128,798 |
+68,190 |
$10,239 | CF | 128,798 | +68,190 | $10,239 | LEMAITRE VASCULAR INC |
180,106 |
-8,092 |
$10,223 | LMAT | 180,106 | -8,092 | $10,223 | KNIGHT SWIFT TRANSPORTATION |
176,986 |
-31,254 |
$10,203 | KNX | 176,986 | -31,254 | $10,203 | YETI HOLDINGS INC |
193,934 |
+110,463 |
$10,042 | YETI | 193,934 | +110,463 | $10,042 | INTEGER HOLDINGS CORP |
100,749 |
-1,584 |
$9,982 | ITGR | 100,749 | -1,584 | $9,982 | DESCARTES SYSTEMS GRP THE |
118,350 |
-1,858 |
$9,949 | DSGX | 118,350 | -1,858 | $9,949 | LKQ CORP |
205,675 |
+46,233 |
$9,829 | LKQ | 205,675 | +46,233 | $9,829 | PJT PARTNERS INC A |
96,045 |
-6,743 |
$9,784 | PJT | 96,045 | -6,743 | $9,784 | ONESPAWORLD HOLDINGS LTD |
690,891 |
-10,830 |
$9,742 | OSW | 690,891 | -10,830 | $9,742 | MATERION CORP |
74,340 |
-1,157 |
$9,674 | MTRN | 74,340 | -1,157 | $9,674 | HALOZYME THERAPEUTICS INC |
261,483 |
-4,095 |
$9,664 | HALO | 261,483 | -4,095 | $9,664 | ALBANY INTL CORP CL A |
97,411 |
-1,530 |
$9,568 | AIN | 97,411 | -1,530 | $9,568 | LGI HOMES INC |
70,872 |
-1,106 |
$9,437 | LGIH | 70,872 | -1,106 | $9,437 | JACK HENRY & ASSOCIATES INC |
56,734 |
-17,972 |
$9,271 | JKHY | 56,734 | -17,972 | $9,271 | INSMED INC |
293,197 |
-4,600 |
$9,086 | INSM | 293,197 | -4,600 | $9,086 | KLA CORP |
15,623 |
-4,420 |
$9,082 | KLAC | 15,623 | -4,420 | $9,082 | ADVANCED ENERGY INDUSTRIES |
82,540 |
-1,291 |
$8,990 | AEIS | 82,540 | -1,291 | $8,990 | BOX INC CLASS A |
348,734 |
-5,466 |
$8,931 | BOX | 348,734 | -5,466 | $8,931 | EXELIXIS INC |
364,385 |
-62,272 |
$8,742 | EXEL | 364,385 | -62,272 | $8,742 | VALERO ENERGY CORP |
66,751 |
-101,393 |
$8,678 | VLO | 66,751 | -101,393 | $8,678 | IMPINJ INC |
94,538 |
-1,489 |
$8,511 | PI | 94,538 | -1,489 | $8,511 | HUNTINGTON INGALLS INDUSTRIE |
32,717 |
-25,085 |
$8,495 | HII | 32,717 | -25,085 | $8,495 | PLEXUS CORP |
78,020 |
-1,218 |
$8,436 | PLXS | 78,020 | -1,218 | $8,436 | POLARIS INC |
88,690 |
-28,138 |
$8,405 | PII | 88,690 | -28,138 | $8,405 | CARETRUST REIT INC |
375,233 |
-5,884 |
$8,398 | CTRE | 375,233 | -5,884 | $8,398 | AMN HEALTHCARE SERVICES INC |
112,091 |
+112,091 |
$8,393 | AMN | 112,091 | +112,091 | $8,393 | G III APPAREL GROUP LTD |
246,736 |
-3,870 |
$8,384 | GIII | 246,736 | -3,870 | $8,384 | GLOBAL INDUSTRIAL CO |
213,194 |
-3,345 |
$8,280 | GIC | 213,194 | -3,345 | $8,280 | SUPERNUS PHARMACEUTICALS INC |
282,400 |
-4,429 |
$8,173 | SUPN | 282,400 | -4,429 | $8,173 | CORTEVA INC |
167,395 |
-141,256 |
$8,022 | CTVA | 167,395 | -141,256 | $8,022 | AXOS FINANCIAL INC |
146,849 |
+3,848 |
$8,018 | AX | 146,849 | +3,848 | $8,018 | POWER INTEGRATIONS INC |
94,260 |
-1,483 |
$7,740 | POWI | 94,260 | -1,483 | $7,740 | L3HARRIS TECHNOLOGIES INC |
36,025 |
+13,423 |
$7,588 | LHX | 36,025 | +13,423 | $7,588 | ROCKWELL AUTOMATION INC |
24,363 |
+11,832 |
$7,564 | ROK | 24,363 | +11,832 | $7,564 | COHERENT CORP |
172,311 |
-2,702 |
$7,501 | COHR | 172,311 | -2,702 | $7,501 | GENERAC HOLDINGS INC |
55,667 |
-9,611 |
$7,194 | GNRC | 55,667 | -9,611 | $7,194 | MORNINGSTAR INC |
24,204 |
-11,644 |
$6,928 | MORN | 24,204 | -11,644 | $6,928 | AGCO CORP |
56,295 |
-51,256 |
$6,835 | AGCO | 56,295 | -51,256 | $6,835 | HILLTOP HOLDINGS INC |
193,713 |
+5,765 |
$6,821 | HTH | 193,713 | +5,765 | $6,821 | I3 VERTICALS INC CLASS A |
318,293 |
-4,990 |
$6,738 | IIIV | 318,293 | -4,990 | $6,738 | AMBARELLA INC |
109,775 |
-1,723 |
$6,728 | AMBA | 109,775 | -1,723 | $6,728 | CHEFS WAREHOUSE INC THE |
228,175 |
+228,175 |
$6,715 | CHEF | 228,175 | +228,175 | $6,715 | ZIFF DAVIS INC |
99,867 |
-1,567 |
$6,710 | ZD | 99,867 | -1,567 | $6,710 | TYSON FOODS INC CL A |
123,783 |
-243,581 |
$6,653 | TSN | 123,783 | -243,581 | $6,653 | CERTARA INC |
368,790 |
+58,746 |
$6,487 | CERT | 368,790 | +58,746 | $6,487 | VICOR CORP |
144,287 |
-2,267 |
$6,484 | VICR | 144,287 | -2,267 | $6,484 | MGP INGREDIENTS INC |
65,747 |
+65,747 |
$6,477 | MGPI | 65,747 | +65,747 | $6,477 | LANTHEUS HOLDINGS INC |
104,426 |
-1,643 |
$6,474 | LNTH | 104,426 | -1,643 | $6,474 | LUMENTUM HOLDINGS INC |
120,191 |
-113,651 |
$6,300 | LITE | 120,191 | -113,651 | $6,300 | FREEPORT MCMORAN INC |
147,919 |
-48,007 |
$6,297 | FCX | 147,919 | -48,007 | $6,297 | FOX CORP CLASS A |
209,871 |
+105,960 |
$6,227 | FOXA | 209,871 | +105,960 | $6,227 | COMMERCE BANCSHARES INC (CBSH) |
115,812 |
-11,267 |
$6,186 | CBSH | 115,812 | -11,267 | $6,186 | HERSHEY CO THE |
32,139 |
-97,590 |
$5,992 | HSY | 32,139 | -97,590 | $5,992 | FORWARD AIR CORP |
94,817 |
-1,493 |
$5,961 | FWRD | 94,817 | -1,493 | $5,961 | U.S. PHYSICAL THERAPY INC |
63,330 |
-993 |
$5,899 | USPH | 63,330 | -993 | $5,899 | AXONICS INC |
94,127 |
+94,127 |
$5,858 | AXNX | 94,127 | +94,127 | $5,858 | INTAPP INC |
152,108 |
-2,391 |
$5,783 | INTA | 152,108 | -2,391 | $5,783 | CHEESECAKE FACTORY INC THE |
161,955 |
-2,544 |
$5,670 | CAKE | 161,955 | -2,544 | $5,670 | GARMIN LTD |
43,142 |
-7,722 |
$5,545 | GRMN | 43,142 | -7,722 | $5,545 | ULTRA CLEAN HOLDINGS INC |
161,830 |
-2,541 |
$5,525 | UCTT | 161,830 | -2,541 | $5,525 | PAGERDUTY INC |
233,962 |
-3,673 |
$5,416 | PD | 233,962 | -3,673 | $5,416 | KIRBY CORP |
65,349 |
-10,759 |
$5,129 | KEX | 65,349 | -10,759 | $5,129 | ENVESTNET INC |
100,885 |
-1,584 |
$4,996 | ENV | 100,885 | -1,584 | $4,996 | CORE LABORATORIES INC |
281,731 |
-4,418 |
$4,975 | CLB | 281,731 | -4,418 | $4,975 | PACIRA BIOSCIENCES INC |
146,345 |
-2,299 |
$4,938 | PCRX | 146,345 | -2,299 | $4,938 | STONERIDGE INC |
250,140 |
-3,926 |
$4,895 | SRI | 250,140 | -3,926 | $4,895 | KIMBELL ROYALTY PARTNERS LP |
317,468 |
-5,035 |
$4,778 | KRP | 317,468 | -5,035 | $4,778 | ARIS WATER SOLUTIONS INC A |
568,267 |
+47,692 |
$4,768 | ARIS | 568,267 | +47,692 | $4,768 | U HAUL HOLDING CO |
|
|
$4,688 | Common Stock | 65,296 | +65,296 | $4,688 | ICU MEDICAL INC |
44,547 |
+2,070 |
$4,443 | ICUI | 44,547 | +2,070 | $4,443 | MAGNITE INC |
472,523 |
-7,410 |
$4,413 | MGNI | 472,523 | -7,410 | $4,413 | VERINT SYSTEMS INC |
161,644 |
-2,538 |
$4,369 | VRNT | 161,644 | -2,538 | $4,369 | UMH PROPERTIES INC |
266,256 |
-4,178 |
$4,079 | UMH | 266,256 | -4,178 | $4,079 | DARDEN RESTAURANTS INC |
23,622 |
-45,612 |
$3,881 | DRI | 23,622 | -45,612 | $3,881 | EXCELERATE ENERGY INC A |
250,807 |
+16,697 |
$3,877 | EE | 250,807 | +16,697 | $3,877 | LINDBLAD EXPEDITIONS HOLDING |
309,626 |
-4,855 |
$3,489 | LIND | 309,626 | -4,855 | $3,489 | MARVELL TECHNOLOGY INC |
57,354 |
-612,437 |
$3,459 | MRVL | 57,354 | -612,437 | $3,459 | TTEC HOLDINGS INC |
154,405 |
+26,757 |
$3,346 | TTEC | 154,405 | +26,757 | $3,346 | MICROCHIP TECHNOLOGY INC |
35,696 |
-7,393 |
$3,219 | MCHP | 35,696 | -7,393 | $3,219 | HUNTSMAN CORP |
124,051 |
-184,066 |
$3,117 | HUN | 124,051 | -184,066 | $3,117 | FTI CONSULTING INC |
15,431 |
-20,565 |
$3,073 | FCN | 15,431 | -20,565 | $3,073 | ZEBRA TECHNOLOGIES CORP CL A |
10,326 |
-1,692 |
$2,822 | ZBRA | 10,326 | -1,692 | $2,822 | MODIVCARE INC |
56,998 |
-897 |
$2,507 | MODV | 56,998 | -897 | $2,507 | AMN HEALTHCARE SERVICES INC |
|
|
$0 (exited) | Common Stock | 0 | -113,850 | $0 | ARISTA NETWORKS INC |
|
|
$0 (exited) | Common Stock | 0 | -289,166 | $0 | CADENCE DESIGN SYS INC |
|
|
$0 (exited) | CDNS | 0 | -81,878 | $0 | COHERUS BIOSCIENCES INC |
|
|
$0 (exited) | CHRS | 0 | -614,307 | $0 | DXC TECHNOLOGY CO |
|
|
$0 (exited) | DXC | 0 | -392,884 | $0 | EAGLE PHARMACEUTICALS INC |
|
|
$0 (exited) | EGRX | 0 | -131,192 | $0 | ENPHASE ENERGY INC |
|
|
$0 (exited) | ENPH | 0 | -16,599 | $0 | FLOOR & DECOR HOLDINGS INC A |
|
|
$0 (exited) | FND | 0 | -69,079 | $0 | HALLIBURTON CO |
|
|
$0 (exited) | HAL | 0 | -194,859 | $0 | HESS CORP |
|
|
$0 (exited) | HES | 0 | -285,137 | $0 | HECLA MINING CO |
|
|
$0 (exited) | HL | 0 | -527,315 | $0 | SOUTHWEST AIRLINES CO |
|
|
$0 (exited) | LUV | 0 | -249,723 | $0 | LAMB WESTON HOLDINGS INC |
|
|
$0 (exited) | LW | 0 | -95,012 | $0 | OMNICELL INC |
|
|
$0 (exited) | OMCL | 0 | -337,681 | $0 | PERFORMANCE FOOD GROUP CO |
|
|
$0 (exited) | PFGC | 0 | -197,174 | $0 | PIONEER NATURAL RESOURCES CO |
|
|
$0 (exited) | PXD | 0 | -256,411 | $0 | EVEREST GROUP LTD |
|
|
$0 (exited) | RE | 0 | -84,010 | $0 | SPLUNK INC |
|
|
$0 (exited) | SPLK | 0 | -271,774 | $0 | ZILLOW GROUP INC A |
0 |
-67,575 |
$0 (exited) | ZG | 0 | -67,575 | $0 |
See Summary: Scout Investments Inc. Top Holdings
See Details: Top 10 Stocks Held By Scout Investments Inc.
|
|