Holdings Channel
EntityShares/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
EntityShares/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
EntityShares/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
EntityShares/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

All Stocks Held By Scout Investments Inc.
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.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
PALANTIR TECHNOLOGIES INC A 9,492,883 -1,922,331 $162,993
     PLTR9,492,883-1,922,331$162,993
QUANTA SERVICES INC 395,987 -525,199 $85,454
     PWR395,987-525,199$85,454
FIRST HORIZON CORP 5,809,388 +1,067,006 $82,261
     FHN5,809,388+1,067,006$82,261
BIOMARIN PHARMACEUTICAL INC 791,625 -111,441 $76,328
     BMRN791,625-111,441$76,328
CBOE GLOBAL MARKETS INC 394,381 -233,575 $70,421
     CBOE394,381-233,575$70,421
CENTERPOINT ENERGY INC 2,320,949 -812,911 $66,310
     CNP2,320,949-812,911$66,310
ALLY FINANCIAL INC 1,806,429 +1,806,429 $63,080
     ALLY1,806,429+1,806,429$63,080
STAG INDUSTRIAL INC 1,367,151 -364,161 $53,674
     STAG1,367,151-364,161$53,674
EVERCORE INC A 311,622 -29,446 $53,303
     EVR311,622-29,446$53,303
AGREE REALTY CORP 844,367 +214,840 $53,153
     ADC844,367+214,840$53,153
ARISTA NETWORKS INC 219,532 +219,532 $51,702
     ANET219,532+219,532$51,702
CITIZENS FINANCIAL GROUP 1,554,485 +399,120 $51,516
     CFG1,554,485+399,120$51,516
CHART INDUSTRIES INC 357,801 -198,120 $48,779
     GTLS357,801-198,120$48,779
CROWDSTRIKE HOLDINGS INC A 171,522 -83,218 $43,793
     CRWD171,522-83,218$43,793
EDWARDS LIFESCIENCES CORP      $41,759
     Common Stock547,664-63,308$41,759
MID AMERICA APARTMENT COMM 309,789 +125,822 $41,654
     MAA309,789+125,822$41,654
AGILENT TECHNOLOGIES INC 297,903 -33,206 $41,417
     A297,903-33,206$41,417
VIPER ENERGY INC 1,300,433 +1,300,433 $40,808
     VNOM1,300,433+1,300,433$40,808
DR HORTON INC 263,491 +130,515 $40,045
     DHI263,491+130,515$40,045
PPL CORP 1,450,356 -349,300 $39,305
     PPL1,450,356-349,300$39,305
HUBBELL INC 118,658 -80,919 $39,030
     HUBB118,658-80,919$39,030
NOBLE CORP PLC 803,223 -376,413 $38,683
     NE803,223-376,413$38,683
DARLING INGREDIENTS INC 772,491 +82,085 $38,501
     DAR772,491+82,085$38,501
TERADATA CORP 874,636 -224,263 $38,055
     TDC874,636-224,263$38,055
CENTENE CORP 510,338 -54,412 $37,872
     CNC510,338-54,412$37,872
DELL TECHNOLOGIES C 471,284 +49,383 $36,053
     DELL471,284+49,383$36,053
UNITED RENTALS INC 60,151 -15,351 $34,492
     URI60,151-15,351$34,492
NEUROCRINE BIOSCIENCES INC 261,618 -104,199 $34,471
     NBIX261,618-104,199$34,471
LULULEMON ATHLETICA INC 67,204 -42,133 $34,361
     LULU67,204-42,133$34,361
DELTA AIR LINES INC 815,914 -153,041 $32,824
     DAL815,914-153,041$32,824
EAGLE MATERIALS INC 161,229 -41,271 $32,704
     EXP161,229-41,271$32,704
LAS VEGAS SANDS CORP 661,795 -2,314 $32,567
     LVS661,795-2,314$32,567
PARKER HANNIFIN CORP 70,339 +18,572 $32,405
     PH70,339+18,572$32,405
NVR INC 4,607 -312 $32,251
     NVR4,607-312$32,251
CHESAPEAKE ENERGY CORP 416,941 +416,941 $32,079
     CHK416,941+416,941$32,079
EASTGROUP PROPERTIES INC 174,025 -45,790 $31,941
     EGP174,025-45,790$31,941
CHIPOTLE MEXICAN GRILL INC 13,776 -1,626 $31,505
     CMG13,776-1,626$31,505
CENCORA INC 170,333 -93,760 $30,657
     ABC170,333-93,760$30,657
TEXTRON INC 379,476 -84,686 $30,517
     TXT379,476-84,686$30,517
BOOZ ALLEN HAMILTON HOLDINGS 236,408 +7,533 $30,239
     BAH236,408+7,533$30,239
ATMOS ENERGY CORP 255,309 -55,772 $29,590
     ATO255,309+255,309$29,590
TERADYNE INC 272,190 -67,434 $29,538
     TER272,190-67,434$29,538
RB GLOBAL INC 432,188 -138,518 $28,909
     RBA432,188-138,518$28,909
TKO GROUP HOLDINGS INC 349,365 +109,196 $28,501
     TKO349,365+109,196$28,501
BRUNSWICK CORP 294,315 +84,716 $28,475
     BC294,315+84,716$28,475
THOR INDUSTRIES INC 239,396 +113,201 $28,309
     THO239,396+113,201$28,309
MONOLITHIC POWER SYSTEMS INC 43,794 +9,922 $27,624
     MPWR43,794+9,922$27,624
ULTA BEAUTY INC 55,713 +20,252 $27,299
     ULTA55,713+20,252$27,299
WHITE MOUNTAINS INSURANCE GP 18,051 -4,087 $27,167
     WTM18,051-4,087$27,167
MURPHY USA INC 76,117 -10,771 $27,140
     MUSA76,117-10,771$27,140
U HAUL HOLDING CO NON VOTING      $26,996
     Common Stock383,254+105,710$26,996
AMETEK INC 159,968 -10,948 $26,377
     AME159,968-10,948$26,377
TAKE TWO INTERACTIVE SOFTWRE 161,984 -23,621 $26,071
     TTWO161,984-23,621$26,071
CLEAN HARBORS INC 140,972 -39,629 $24,601
     CLH140,972-39,629$24,601
MONSTER BEVERAGE CORP 426,700 -104,154 $24,582
     MNST426,700-104,154$24,582
GARTNER INC 54,429 -41,954 $24,553
     IT54,429-41,954$24,553
PAYCOM SOFTWARE INC 116,744 +88,337 $24,133
     PAYC116,744+88,337$24,133
KINSALE CAPITAL GROUP INC 70,109 -24,620 $23,480
     KNSL70,109-24,620$23,480
OWENS CORNING 156,395 -40,755 $23,182
     OC156,395-40,755$23,182
TRACTOR SUPPLY COMPANY 106,810 -24,306 $22,967
     TSCO106,810-24,306$22,967
EVERGY INC 434,007 -113,764 $22,655
     EVRG434,007-113,764$22,655
NUCOR CORP 129,430 +1,571 $22,526
     NUE129,430+1,571$22,526
MOLINA HEALTHCARE INC 61,205 -21,568 $22,114
     MOH61,205-21,568$22,114
TIMKEN CO 274,502 -84,321 $22,001
     TKR274,502-84,321$22,001
COPART INC 448,363 +95,318 $21,970
     CPRT448,363+95,318$21,970
CARRIER GLOBAL CORP 381,298 -83,185 $21,906
     CARR381,298-83,185$21,906
EVEREST GROUP LTD 60,384 +60,384 $21,351
     EG60,384+60,384$21,351
BAKER HUGHES CO 613,628 -293,087 $20,974
     BKR613,628-293,087$20,974
CASEY S GENERAL STORES INC 75,172 -48,917 $20,653
     CASY75,172-48,917$20,653
LIVE NATION ENTERTAINMENT IN 217,992 -59,172 $20,404
     LYV217,992-59,172$20,404
TRANSOCEAN LTD 3,189,856 -795,143 $20,256
     RIG3,189,856-795,143$20,256
PURE STORAGE INC CLASS A 565,163 -233,556 $20,154
     PSTG565,163-233,556$20,154
VULCAN MATERIALS CO 88,672 -24,692 $20,129
     VMC88,672-24,692$20,129
ALBERTSONS COS INC CLASS A 869,749 -194,726 $20,004
     ACI869,749-194,726$20,004
TEXAS ROADHOUSE INC 160,304 -50,953 $19,594
     TXRH160,304-50,953$19,594
ARCH CAPITAL GROUP LTD 257,247 -376,810 $19,106
     ACGL257,247-376,810$19,106
BUILDERS FIRSTSOURCE INC 113,818 +57,801 $19,001
     BLDR113,818+57,801$19,001
CHENIERE ENERGY INC 110,682 -7,551 $18,895
     LNG110,682-7,551$18,895
AXIS CAPITAL HOLDINGS LTD 341,034 -80,581 $18,883
     AXS341,034-80,581$18,883
XYLEM INC 164,219 +164,219 $18,780
     XYL164,219+164,219$18,780
BOYD GAMING CORP 288,951 +288,951 $18,091
     BYD288,951+288,951$18,091
WEC ENERGY GROUP INC 210,436 -49,863 $17,712
     WEC210,436-49,863$17,712
CAMECO CORP 404,068 -119,792 $17,415
     CCJ404,068-119,792$17,415
MARTIN MARIETTA MATERIALS 34,896 -10,879 $17,410
     MLM34,896-10,879$17,410
WORKDAY INC CLASS A 62,359 -52,213 $17,215
     WDAY62,359-52,213$17,215
VAIL RESORTS INC 80,175 -20,897 $17,115
     MTN80,175-20,897$17,115
ALIGN TECHNOLOGY INC 61,210 +53,866 $16,772
     ALGN61,210+53,866$16,772
INSTALLED BUILDING PRODUCTS 90,636 -1,412 $16,570
     IBP90,636-1,412$16,570
MOSAIC CO THE 454,802 +334,730 $16,250
     MOS454,802+334,730$16,250
FLEX LTD 519,706 -120,825 $15,830
     FLEX519,706-120,825$15,830
BROWN & BROWN INC 217,715 -359,911 $15,482
     BRO217,715-359,911$15,482
MEDPACE HOLDINGS INC 50,230 -2,597 $15,397
     MEDP50,230-2,597$15,397
COSTAR GROUP INC 174,952 -36,388 $15,289
     CSGP174,952-36,388$15,289
ROSS STORES INC 110,159 -18,298 $15,245
     ROST110,159-18,298$15,245
APPLIED INDUSTRIAL TECH INC 87,682 -4,465 $15,142
     AIT87,682-4,465$15,142
WW GRAINGER INC 18,109 -5,154 $15,007
     GWW18,109-5,154$15,007
WESTLAKE CORP 106,344 -17,673 $14,884
     WLK106,344-17,673$14,884
FABRINET 78,181 -1,218 $14,880
     FN78,181-1,218$14,880
ALAMOS GOLD INC CLASS A 1,076,084 -272,844 $14,495
     AGI1,076,084-272,844$14,495
AGNICO EAGLE MINES LTD 249,376 -158,552 $13,678
     AEM249,376-158,552$13,678
APPLOVIN CORP CLASS A 343,169 -580,192 $13,675
     APP343,169-580,192$13,675
ON SEMICONDUCTOR 162,962 -147,425 $13,612
     ON162,962-147,425$13,612
BWX TECHNOLOGIES INC 175,709 -37,909 $13,482
     BWXT175,709-37,909$13,482
HENRY SCHEIN INC 172,468 -101,005 $13,058
     HSIC172,468-101,005$13,058
INSPERITY INC 111,234 -1,736 $13,039
     NSP111,234-1,736$13,039
KRATOS DEFENSE & SECURITY 626,566 -9,819 $12,713
     KTOS626,566-9,819$12,713
QUALYS INC 63,202 -984 $12,405
     QLYS63,202-984$12,405
SKYWORKS SOLUTIONS INC 109,815 -69,073 $12,345
     SWKS109,815-69,073$12,345
O REILLY AUTOMOTIVE INC 12,637 -20,353 $12,006
     ORLY12,637-20,353$12,006
HOST HOTELS & RESORTS INC 606,297 +83,086 $11,805
     HST606,297+83,086$11,805
EPLUS INC 147,772 -2,324 $11,798
     PLUS147,772-2,324$11,798
INGERSOLL RAND INC 150,074 +31,153 $11,607
     IR150,074+31,153$11,607
FIRST AMERICAN FINANCIAL 176,620 -99,483 $11,381
     FAF176,620-99,483$11,381
DYCOM INDUSTRIES INC 98,040 -1,534 $11,283
     DY98,040-1,534$11,283
INSULET CORP 51,844 -8,413 $11,249
     PODD51,844-8,413$11,249
BALCHEM CORP 72,917 -1,134 $10,846
     BCPC72,917-1,134$10,846
VERICEL CORP 304,448 -13,247 $10,841
     VCEL304,448-13,247$10,841
PATRICK INDUSTRIES INC 107,425 -1,693 $10,780
     PATK107,425-1,693$10,780
COHEN & STEERS INC 141,554 -2,221 $10,720
     CNS141,554-2,221$10,720
UNIVERSAL DISPLAY CORP 55,695 -10,465 $10,652
     OLED55,695-10,465$10,652
HEALTHEQUITY INC 160,104 -7,244 $10,615
     HQY160,104-7,244$10,615
CREDO TECHNOLOGY GROUP HOLDI 539,674 -8,444 $10,507
     CRDO539,674-8,444$10,507
KEYSIGHT TECHNOLOGIES IN 65,362 -104,564 $10,398
     KEYS65,362-104,564$10,398
LEAR CORP 73,606 -11,715 $10,394
     LEA73,606-11,715$10,394
CF INDUSTRIES HOLDINGS INC 128,798 +68,190 $10,239
     CF128,798+68,190$10,239
LEMAITRE VASCULAR INC 180,106 -8,092 $10,223
     LMAT180,106-8,092$10,223
KNIGHT SWIFT TRANSPORTATION 176,986 -31,254 $10,203
     KNX176,986-31,254$10,203
YETI HOLDINGS INC 193,934 +110,463 $10,042
     YETI193,934+110,463$10,042
INTEGER HOLDINGS CORP 100,749 -1,584 $9,982
     ITGR100,749-1,584$9,982
DESCARTES SYSTEMS GRP THE 118,350 -1,858 $9,949
     DSGX118,350-1,858$9,949
LKQ CORP 205,675 +46,233 $9,829
     LKQ205,675+46,233$9,829
PJT PARTNERS INC A 96,045 -6,743 $9,784
     PJT96,045-6,743$9,784
ONESPAWORLD HOLDINGS LTD 690,891 -10,830 $9,742
     OSW690,891-10,830$9,742
MATERION CORP 74,340 -1,157 $9,674
     MTRN74,340-1,157$9,674
HALOZYME THERAPEUTICS INC 261,483 -4,095 $9,664
     HALO261,483-4,095$9,664
ALBANY INTL CORP CL A 97,411 -1,530 $9,568
     AIN97,411-1,530$9,568
LGI HOMES INC 70,872 -1,106 $9,437
     LGIH70,872-1,106$9,437
JACK HENRY & ASSOCIATES INC 56,734 -17,972 $9,271
     JKHY56,734-17,972$9,271
INSMED INC 293,197 -4,600 $9,086
     INSM293,197-4,600$9,086
KLA CORP 15,623 -4,420 $9,082
     KLAC15,623-4,420$9,082
ADVANCED ENERGY INDUSTRIES 82,540 -1,291 $8,990
     AEIS82,540-1,291$8,990
BOX INC CLASS A 348,734 -5,466 $8,931
     BOX348,734-5,466$8,931
EXELIXIS INC 364,385 -62,272 $8,742
     EXEL364,385-62,272$8,742
VALERO ENERGY CORP 66,751 -101,393 $8,678
     VLO66,751-101,393$8,678
IMPINJ INC 94,538 -1,489 $8,511
     PI94,538-1,489$8,511
HUNTINGTON INGALLS INDUSTRIE 32,717 -25,085 $8,495
     HII32,717-25,085$8,495
PLEXUS CORP 78,020 -1,218 $8,436
     PLXS78,020-1,218$8,436
POLARIS INC 88,690 -28,138 $8,405
     PII88,690-28,138$8,405
CARETRUST REIT INC 375,233 -5,884 $8,398
     CTRE375,233-5,884$8,398
AMN HEALTHCARE SERVICES INC 112,091 +112,091 $8,393
     AMN112,091+112,091$8,393
G III APPAREL GROUP LTD 246,736 -3,870 $8,384
     GIII246,736-3,870$8,384
GLOBAL INDUSTRIAL CO 213,194 -3,345 $8,280
     GIC213,194-3,345$8,280
SUPERNUS PHARMACEUTICALS INC 282,400 -4,429 $8,173
     SUPN282,400-4,429$8,173
CORTEVA INC 167,395 -141,256 $8,022
     CTVA167,395-141,256$8,022
AXOS FINANCIAL INC 146,849 +3,848 $8,018
     AX146,849+3,848$8,018
POWER INTEGRATIONS INC 94,260 -1,483 $7,740
     POWI94,260-1,483$7,740
L3HARRIS TECHNOLOGIES INC 36,025 +13,423 $7,588
     LHX36,025+13,423$7,588
ROCKWELL AUTOMATION INC 24,363 +11,832 $7,564
     ROK24,363+11,832$7,564
COHERENT CORP 172,311 -2,702 $7,501
     COHR172,311-2,702$7,501
GENERAC HOLDINGS INC 55,667 -9,611 $7,194
     GNRC55,667-9,611$7,194
MORNINGSTAR INC 24,204 -11,644 $6,928
     MORN24,204-11,644$6,928
AGCO CORP 56,295 -51,256 $6,835
     AGCO56,295-51,256$6,835
HILLTOP HOLDINGS INC 193,713 +5,765 $6,821
     HTH193,713+5,765$6,821
I3 VERTICALS INC CLASS A 318,293 -4,990 $6,738
     IIIV318,293-4,990$6,738
AMBARELLA INC 109,775 -1,723 $6,728
     AMBA109,775-1,723$6,728
CHEFS WAREHOUSE INC THE 228,175 +228,175 $6,715
     CHEF228,175+228,175$6,715
ZIFF DAVIS INC 99,867 -1,567 $6,710
     ZD99,867-1,567$6,710
TYSON FOODS INC CL A 123,783 -243,581 $6,653
     TSN123,783-243,581$6,653
CERTARA INC 368,790 +58,746 $6,487
     CERT368,790+58,746$6,487
VICOR CORP 144,287 -2,267 $6,484
     VICR144,287-2,267$6,484
MGP INGREDIENTS INC 65,747 +65,747 $6,477
     MGPI65,747+65,747$6,477
LANTHEUS HOLDINGS INC 104,426 -1,643 $6,474
     LNTH104,426-1,643$6,474
LUMENTUM HOLDINGS INC 120,191 -113,651 $6,300
     LITE120,191-113,651$6,300
FREEPORT MCMORAN INC 147,919 -48,007 $6,297
     FCX147,919-48,007$6,297
FOX CORP CLASS A 209,871 +105,960 $6,227
     FOXA209,871+105,960$6,227
COMMERCE BANCSHARES INC (CBSH) 115,812 -11,267 $6,186
     CBSH115,812-11,267$6,186
HERSHEY CO THE 32,139 -97,590 $5,992
     HSY32,139-97,590$5,992
FORWARD AIR CORP 94,817 -1,493 $5,961
     FWRD94,817-1,493$5,961
U.S. PHYSICAL THERAPY INC 63,330 -993 $5,899
     USPH63,330-993$5,899
AXONICS INC 94,127 +94,127 $5,858
     AXNX94,127+94,127$5,858
INTAPP INC 152,108 -2,391 $5,783
     INTA152,108-2,391$5,783
CHEESECAKE FACTORY INC THE 161,955 -2,544 $5,670
     CAKE161,955-2,544$5,670
GARMIN LTD 43,142 -7,722 $5,545
     GRMN43,142-7,722$5,545
ULTRA CLEAN HOLDINGS INC 161,830 -2,541 $5,525
     UCTT161,830-2,541$5,525
PAGERDUTY INC 233,962 -3,673 $5,416
     PD233,962-3,673$5,416
KIRBY CORP 65,349 -10,759 $5,129
     KEX65,349-10,759$5,129
ENVESTNET INC 100,885 -1,584 $4,996
     ENV100,885-1,584$4,996
CORE LABORATORIES INC 281,731 -4,418 $4,975
     CLB281,731-4,418$4,975
PACIRA BIOSCIENCES INC 146,345 -2,299 $4,938
     PCRX146,345-2,299$4,938
STONERIDGE INC 250,140 -3,926 $4,895
     SRI250,140-3,926$4,895
KIMBELL ROYALTY PARTNERS LP 317,468 -5,035 $4,778
     KRP317,468-5,035$4,778
ARIS WATER SOLUTIONS INC A 568,267 +47,692 $4,768
     ARIS568,267+47,692$4,768
U HAUL HOLDING CO      $4,688
     Common Stock65,296+65,296$4,688
ICU MEDICAL INC 44,547 +2,070 $4,443
     ICUI44,547+2,070$4,443
MAGNITE INC 472,523 -7,410 $4,413
     MGNI472,523-7,410$4,413
VERINT SYSTEMS INC 161,644 -2,538 $4,369
     VRNT161,644-2,538$4,369
UMH PROPERTIES INC 266,256 -4,178 $4,079
     UMH266,256-4,178$4,079
DARDEN RESTAURANTS INC 23,622 -45,612 $3,881
     DRI23,622-45,612$3,881
EXCELERATE ENERGY INC A 250,807 +16,697 $3,877
     EE250,807+16,697$3,877
LINDBLAD EXPEDITIONS HOLDING 309,626 -4,855 $3,489
     LIND309,626-4,855$3,489
MARVELL TECHNOLOGY INC 57,354 -612,437 $3,459
     MRVL57,354-612,437$3,459
TTEC HOLDINGS INC 154,405 +26,757 $3,346
     TTEC154,405+26,757$3,346
MICROCHIP TECHNOLOGY INC 35,696 -7,393 $3,219
     MCHP35,696-7,393$3,219
HUNTSMAN CORP 124,051 -184,066 $3,117
     HUN124,051-184,066$3,117
FTI CONSULTING INC 15,431 -20,565 $3,073
     FCN15,431-20,565$3,073
ZEBRA TECHNOLOGIES CORP CL A 10,326 -1,692 $2,822
     ZBRA10,326-1,692$2,822
MODIVCARE INC 56,998 -897 $2,507
     MODV56,998-897$2,507
AMN HEALTHCARE SERVICES INC $0 (exited)
     Common Stock0-113,850$0
ARISTA NETWORKS INC $0 (exited)
     Common Stock0-289,166$0
CADENCE DESIGN SYS INC $0 (exited)
     CDNS0-81,878$0
COHERUS BIOSCIENCES INC $0 (exited)
     CHRS0-614,307$0
DXC TECHNOLOGY CO $0 (exited)
     DXC0-392,884$0
EAGLE PHARMACEUTICALS INC $0 (exited)
     EGRX0-131,192$0
ENPHASE ENERGY INC $0 (exited)
     ENPH0-16,599$0
FLOOR & DECOR HOLDINGS INC A $0 (exited)
     FND0-69,079$0
HALLIBURTON CO $0 (exited)
     HAL0-194,859$0
HESS CORP $0 (exited)
     HES0-285,137$0
HECLA MINING CO $0 (exited)
     HL0-527,315$0
SOUTHWEST AIRLINES CO $0 (exited)
     LUV0-249,723$0
LAMB WESTON HOLDINGS INC $0 (exited)
     LW0-95,012$0
OMNICELL INC $0 (exited)
     OMCL0-337,681$0
PERFORMANCE FOOD GROUP CO $0 (exited)
     PFGC0-197,174$0
PIONEER NATURAL RESOURCES CO $0 (exited)
     PXD0-256,411$0
EVEREST GROUP LTD $0 (exited)
     RE0-84,010$0
SPLUNK INC $0 (exited)
     SPLK0-271,774$0
ZILLOW GROUP INC A 0 -67,575 $0 (exited)
     ZG0-67,575$0

See Summary: Scout Investments Inc. Top Holdings
See Details: Top 10 Stocks Held By Scout Investments Inc.

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