Holdings Channel



EntityShares/Amount
Change
Position Value
Change
PODD +73,158+$12,539
VNM +503,817+$7,003
COR +18,495+$4,494
VAL +58,421+$4,397
MRVL +56,052+$3,973
LVS +62,775+$3,245
AON +9,453+$3,155
HIG +29,372+$3,027
UUUU +453,436+$2,852
OSIS +19,945+$2,849
EntityShares/Amount
Change
Position Value
Change
SWAV -47,471-$9,046
ENS -35,440-$3,578
ABC -19,410-$3,493
MGA -52,965-$3,129
CPE -89,469-$2,899
BYD -45,021-$2,819
KOH YOUNG TECHNOLOGY INC KRW 100.0 -75,687-$973
WNS -10,000-$632
DOUZONE BIZON CO LTD KRW 500.0 -23,033-$519
L OCCITANE INTERNATIONAL S EUR 0.03 -177,500-$507
EntityShares/Amount
Change
Position Value
Change
PUMP +173,144+$1,328
CAE +91,998+$1,820
HCSG +77,022+$1,511
TTI +73,289+$261
COSMO FIRST LIMITED INR 10.0 +65,026+$383
PTEN +61,003+$919
NXE +32,962+$598
HLIT +29,403+$508
GOOGL +26,053+$4,013
GXO +25,842+$1,046
EntityShares/Amount
Change
Position Value
Change
BHARAT ELECTRONICS LTD INR 1.0 -200,000+$8
GLENMARK PHARMACEUTICALS LT INR 1.0 -60,000-$433
PRESTIGE ESTATES PROJECTS INR 10.0 -44,500-$663
KRISHNA INSTITUTE OF INR 10.0 144A -30,000-$678
CYIENT LTD INR 5.0 -29,000-$1,458
ABT -27,868-$3,031
CCJ -25,050-$1,023
MTRX -22,836+$796
FLR -20,593-$436
Size ($ in 1000's)
At 03/31/2024: $717,134
At 12/31/2023: $656,582

Stanley Laman Group Ltd. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Stanley Laman Group Ltd. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Stanley Laman Group Ltd.
As of  03/31/2024, we find all stocks held by Stanley Laman Group Ltd. to be as follows, presented in the table below with each row detailing each Stanley Laman Group Ltd. position, ordered by largest to smallest position size. The all-stocks-held-by-Stanley Laman Group Ltd. 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 Stanley Laman Group Ltd. as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
MICROSOFT CORP 37,075 +1,345 $15,598
     MSFT37,075+1,345$15,598
SPRINKLR INC CLASS A 1,028,347 -17,326 $12,618
     CXM1,028,347-17,326$12,618
INSULET CORP 73,158 +73,158 $12,539
     PODD73,158+73,158$12,539
GAMBLING COM GROUP LTD F 1,344,673 UNCH $12,277
     GAMB1,344,673UNCH$12,277
HASHICORP INC CLASS A 418,613 +329 $11,282
     HCP418,613+329$11,282
LINDE PLC F 23,931 +790 $11,112
     COM23,931+790$11,112
CAMECO CORP F 256,360 -25,050 $11,106
     CCJ256,360-25,050$11,106
INSPIRE MEDICAL SYSTEMS 50,412 -639 $10,828
     INSP50,412-639$10,828
JFROG LTD F 231,366 -3,667 $10,231
     FROG231,366-3,667$10,231
MONDAY COM LTD F 41,385 -434 $9,348
     MNDY41,385-434$9,348
BLACKLINE INC 139,952 -401 $9,038
     BL139,952-401$9,038
APPIAN CORP 00500 CLASS A 214,479 +3,251 $8,568
     APPN214,479+3,251$8,568
OKTA INC CLASS A 80,950 -1,321 $8,469
     OKTA80,950-1,321$8,469
EXACT SCIENCES CORPORATI 118,690 -550 $8,197
     EXAS118,690-550$8,197
ELI LILLY AND CO 9,821 -2,073 $7,640
     LLY9,821-2,073$7,640
SENTINELONE INC CLASS A 321,441 -12,214 $7,493
     S321,441-12,214$7,493
UIPATH INC CLASS A 330,424 -5,038 $7,491
     PATH330,424-5,038$7,491
RTX CORP 76,075 +5,251 $7,420
     RTX76,075+5,251$7,420
PAYCOM SOFTWARE INC 36,542 +212 $7,272
     PAYC36,542+212$7,272
VANECK ETF VANECK VIETNAM ETF (VNM) 503,817 +503,817 $7,003
     VNM503,817+503,817$7,003
APPLE INC 40,557 +1,521 $6,955
     AAPL40,557+1,521$6,955
BILL HOLDINGS INC 99,918 +769 $6,866
     BILL99,918+769$6,866
PAYLOCITY HLDG CORP 39,821 -5 $6,844
     PCTY39,821-5$6,844
SCHRODINGER INC 253,354 +5,587 $6,841
     SDGR253,354+5,587$6,841
PAGERDUTY INC 301,041 -1,453 $6,828
     PD301,041-1,453$6,828
SMARTSHEET INC CLASS A 174,346 +1,016 $6,712
     SMAR174,346+1,016$6,712
PARKER HANNIFIN CORP 11,838 +664 $6,579
     PH11,838+664$6,579
ZOOMINFO TECHNOLOGIES IN 405,999 -1,072 $6,508
     ZI405,999-1,072$6,508
ZSCALER INC 33,193 -857 $6,394
     ZS33,193-857$6,394
ZOMATO LTD INR 1.0 2,748,513 UNCH $6,009
     COM2,748,513UNCH$6,009
PRESTIGE ESTATES PROJECTS INR 10.0 406,091 -44,500 $5,721
     COM406,091-44,500$5,721
FIVE9 INC 91,086 +353 $5,657
     FIVN91,086+353$5,657
ENTERGY CORP 52,085 +3,803 $5,504
     ETR52,085+3,803$5,504
INFO EDGE INDIA LTD INR 10.0 81,437 UNCH $5,461
     COM81,437UNCH$5,461
COSTCO WHOLESALE CO 7,355 +619 $5,388
     COST7,355+619$5,388
BHARAT ELECTRONICS LTD INR 1.0 2,126,096 -200,000 $5,137
     COM2,126,096-200,000$5,137
MASTERCARD INC CLASS A 10,589 -659 $5,099
     MA10,589-659$5,099
ASANA INC CLASS A 328,248 -3,257 $5,085
     ASAN328,248-3,257$5,085
CARLYLE GROUP INC 107,731 +8,395 $5,054
     CG107,731+8,395$5,054
FLUOR CORP 119,129 -20,593 $5,037
     FLR119,129-20,593$5,037
ALPHABET INC. CLASS A 33,289 +26,053 $5,024
     GOOGL33,289+26,053$5,024
CONFLUENT INC CLASS A 164,551 +842 $5,022
     CFLT164,551+842$5,022
LARSEN plus TOUBRO LTD INR 2.0 110,000 -15,000 $4,964
     COM110,000-15,000$4,964
NVIDIA CORP 5,445 +398 $4,920
     NVDA5,445+398$4,920
TAKE TWO INTERACTV 33,063 +2,110 $4,910
     TTWO33,063+2,110$4,910
MCKESSON CORP 9,145 +714 $4,909
     MCK9,145+714$4,909
BOEING CO 25,343 +1,819 $4,891
     BA25,343+1,819$4,891
WASTE MANAGEMENT INC 22,881 -100 $4,877
     WM22,881-100$4,877
LANTHEUS HOLDINGS INC 76,054 +16,650 $4,734
     LNTH76,054+16,650$4,734
BLUE OWL CAP INC CLASS A 247,105 -689 $4,660
     OWL247,105-689$4,660
NXP SEMICONDUCTORS F 18,681 -216 $4,629
     NXPI18,681-216$4,629
HONEYWELL INTL INC 22,428 -364 $4,603
     HON22,428-364$4,603
CYIENT LTD INR 5.0 191,241 -29,000 $4,578
     COM191,241-29,000$4,578
PTC INC 24,225 -1,439 $4,577
     PTC24,225-1,439$4,577
ASML HOLDING N V F SPONSORED ADR 1 ADR REPS 1 ORD SHS 4,657 UNCH $4,519
     ASML4,657UNCH$4,519
SNAP ON INC 15,224 -56 $4,510
     SNA15,224-56$4,510
CENCORA INC 18,495 +18,495 $4,494
     COR18,495+18,495$4,494
QUALCOMM INC 26,309 +2,055 $4,454
     QCOM26,309+2,055$4,454
CHAMPIONX CORP 124,066 +13,381 $4,453
     CHX124,066+13,381$4,453
CIVITAS RES INC 58,434 +14,294 $4,436
     CIVI58,434+14,294$4,436
VALERO ENERGY CORP 25,969 +98 $4,433
     VLO25,969+98$4,433
AIR LEASE CORP CLASS A 85,562 +7,062 $4,401
     AL85,562+7,062$4,401
VALARIS LTD F 58,421 +58,421 $4,397
     VAL58,421+58,421$4,397
APPLIED MATERIALS 21,092 +1,630 $4,350
     AMAT21,092+1,630$4,350
GLOBAL PAYMENTS INC 32,441 +2,599 $4,336
     GPN32,441+2,599$4,336
SMITH A O 48,181 -205 $4,310
     AOS48,181-205$4,310
A A R CORP 71,550 +6,399 $4,284
     AIR71,550+6,399$4,284
PURE STORAGE INC CLASS A 82,116 -18,076 $4,269
     PSTG82,116-18,076$4,269
TJX COMPANIES INC 42,065 +374 $4,266
     TJX42,065+374$4,266
HDFC BANK LTD INR 1.0 245,280 UNCH $4,258
     COM245,280UNCH$4,258
HEALTHCARE SVC GROUP 337,639 +77,022 $4,214
     HCSG337,639+77,022$4,214
RELIANCE INDUSTRIES LTD INR 10.0 118,000 UNCH $4,204
     COM118,000UNCH$4,204
DIAMONDBACK ENERGY 21,204 +55 $4,202
     FANG21,204+55$4,202
HARMONIC INC 309,710 +29,403 $4,163
     HLIT309,710+29,403$4,163
VERINT SYSTEMS INC 123,992 +11,233 $4,110
     VRNT123,992+11,233$4,110
MATRIX SERVICE CO 313,550 -22,836 $4,086
     MTRX313,550-22,836$4,086
ASTRAZENECA PLC F SPONSORED ADR 1 ADR REPS 0.5 ORD SHS 59,654 +425 $4,042
     AZN59,654+425$4,042
UNITEDHEALTH GRP INC 8,150 +620 $4,032
     UNH8,150+620$4,032
KIRBY CORP 41,771 +3,792 $3,982
     KEX41,771+3,792$3,982
MARVELL TECHNOLOGY INC 56,052 +56,052 $3,973
     MRVL56,052+56,052$3,973
CHEVRON CORP 25,160 UNCH $3,969
     CVX25,160UNCH$3,969
SCHLUMBERGER LTD F 72,375 +7,304 $3,967
     SLB72,375+7,304$3,967
STERIS PLC F 17,413 +1,552 $3,915
     STE17,413+1,552$3,915
GXO LOGISTICS INC 72,313 +25,842 $3,888
     GXO72,313+25,842$3,888
ELEVANCE HEALTH INC 7,469 -39 $3,873
     ELV7,469-39$3,873
SYSCO CORP 47,007 -127 $3,816
     SYY47,007-127$3,816
LOCKHEED MARTIN CORP 8,322 -34 $3,785
     LMT8,322-34$3,785
CHARLES SCHWAB CORP 51,820 +26 $3,749
     SCHW51,820+26$3,749
NEXGEN ENERGY LTD F 476,734 +32,962 $3,704
     NXE476,734+32,962$3,704
CIENA CORP 74,624 -1,458 $3,690
     CIEN74,624-1,458$3,690
UNION PACIFIC CORP 14,955 -99 $3,678
     UNP14,955-99$3,678
TEXTRON INC 38,299 +3,268 $3,674
     TXT38,299+3,268$3,674
L3HARRIS TECHNOLOGIES IN 17,139 -223 $3,652
     LHX17,139-223$3,652
PROLOGIS INC. REIT 27,868 -80 $3,629
     PLD27,868-80$3,629
C A E INC F 175,001 +91,998 $3,612
     CAE175,001+91,998$3,612
ULTA BEAUTY INC. 6,899 +806 $3,607
     ULTA6,899+806$3,607
TARGET CORP 20,155 +205 $3,572
     TGT20,155+205$3,572
AUTO DATA PROCESSING 14,142 -40 $3,532
     ADP14,142-40$3,532
ARCHER DANIELS MIDLN 56,062 +2,633 $3,521
     ADM56,062+2,633$3,521
LYONDELLBASELL INDS F CLASS A 34,024 +25 $3,480
     LYB34,024+25$3,480
TETRA TECHNOLOGIES 778,369 +73,289 $3,448
     TTI778,369+73,289$3,448
STIFEL FINL CO 43,005 +192 $3,362
     SF43,005+192$3,362
PROPETRO HOLDING CORP 409,927 +173,144 $3,312
     PUMP409,927+173,144$3,312
LAS VEGAS SANDS CORP 62,775 +62,775 $3,245
     LVS62,775+62,775$3,245
UNITED PARCEL SRVC CLASS B 21,768 +4,551 $3,235
     UPS21,768+4,551$3,235
JIO FINANCIAL SERVICES LTD INR 10.0 750,000 UNCH $3,182
     COM750,000UNCH$3,182
AON PLC F CLASS A 9,453 +9,453 $3,155
     AON9,453+9,453$3,155
HARTFORD FINL SVC GP 29,372 +29,372 $3,027
     HIG29,372+29,372$3,027
VANGUARD S&P 500 ETF (VOO) 6,187 +76 $2,974
     VOO6,187+76$2,974
DOW INC 49,714 +234 $2,880
     DOW49,714+234$2,880
ENERGY FUELS INC F 453,436 +453,436 $2,852
     UUUU453,436+453,436$2,852
O S I SYSTEMS INC 19,945 +19,945 $2,849
     OSIS19,945+19,945$2,849
SELECT WATER SOLUTIONS I CLASS A 307,009 +5,348 $2,834
     WTTR307,009+5,348$2,834
PATTERSON UTI ENERGY 228,315 +61,003 $2,726
     PTEN228,315+61,003$2,726
SERVICE CORP INTL 36,276 -17 $2,692
     SCI36,276-17$2,692
BIOCON LTD INR5 800,000 +800,000 $2,533
     COM800,000+800,000$2,533
TD SYNNEX CORP 21,744 +2,045 $2,459
     SNX21,744+2,045$2,459
REGIONAL SAB DE CV NPV 248,742 UNCH $2,450
     COM248,742UNCH$2,450
N ABLE INC 168,952 +168,952 $2,208
     NABL168,952+168,952$2,208
SAMSUNG ELECTRONICS CO LT KRW 100.0 35,207 UNCH $2,155
     COM35,207UNCH$2,155
STATE BANK OF INDIA INR 1.0 230,000 UNCH $2,075
     COM230,000UNCH$2,075
JPMORGAN CHASE & CO 10,017 +2 $2,006
     JPM10,017+2$2,006
QUESS CORP LTD INR 10.0 144A 310,000 UNCH $1,934
     COM310,000UNCH$1,934
SIS LTD INR 5.0 393,420 UNCH $1,930
     COM393,420UNCH$1,930
SBI LIFE INSURANCE CO INR 10.0 144A 98,304 UNCH $1,768
     COM98,304UNCH$1,768
BROADCOM INC 1,321 UNCH $1,751
     AVGO1,321UNCH$1,751
GLENMARK PHARMACEUTICALS LT INR 1.0 150,000 -60,000 $1,722
     COM150,000-60,000$1,722
AMAZON.COM INC 9,114 -540 $1,644
     AMZN9,114-540$1,644
CITY UNION BANK LTD INR 1.0 1,000,000 UNCH $1,616
     COM1,000,000UNCH$1,616
TRAVELSKY TECHNOLOGY LTD CNY 1.0 1,300,000 UNCH $1,575
     COM1,300,000UNCH$1,575
HUBSPOT INC 2,484 -53 $1,556
     HUBS2,484-53$1,556
ALKEM LABORATORIES LTD INR 2.0 26,000 UNCH $1,539
     COM26,000UNCH$1,539
HANWHA AEROSPACE CO LTD KRW 5000.0 10,000 +10,000 $1,519
     COM10,000+10,000$1,519
ICICI PRUDENTIAL LIFE INR 10.0 144A 200,000 +200,000 $1,460
     COM200,000+200,000$1,460
TIMKEN INDIA LTD INR 10.0 42,159 UNCH $1,447
     COM42,159UNCH$1,447
MINISO GROUP HOLDING LT USD 0.00001 278,000 +278,000 $1,430
     COM278,000+278,000$1,430
HUGEL INC KRW 500.0 10,000 UNCH $1,419
     COM10,000UNCH$1,419
PFIZER INC 50,430 -5,169 $1,399
     PFE50,430-5,169$1,399
SK HYNIX INC KRW 5000.0 10,007 -5,000 $1,360
     COM10,007-5,000$1,360
BAIDU INC USD 0.000001 99,000 UNCH $1,299
     COM99,000UNCH$1,299
SHANGHAI INTERNATIONAL AIRP CNY 1.0 240,000 UNCH $1,204
     COM240,000UNCH$1,204
CHAILEASE HOLDING CO LTD TWD 10.0 222,010 UNCH $1,193
     COM222,010UNCH$1,193
ABBOTT LABORATORIES 10,065 -27,868 $1,144
     ABT10,065-27,868$1,144
SYNOPSYS INC 1,999 +9 $1,142
     SNPS1,999+9$1,142
AXIS BANK LTD INR 2.0 90,000 +90,000 $1,130
     COM90,000+90,000$1,130
ONE 97 COMMUNICATIONS LTD INR 1.0 233,169 UNCH $1,126
     COM233,169UNCH$1,126
HEFEI MEIYA OPTOELECTRONIC CNY 1.0 410,800 UNCH $1,100
     COM410,800UNCH$1,100
LIFE INSURANCE CORP OF IND INR 10.0 100,000 UNCH $1,100
     COM100,000UNCH$1,100
JOINN LABORATORIES CHI CNY 1.0 144A 924,700 UNCH $1,083
     COM924,700UNCH$1,083
SHANDONG SINOCERA FUNCTIONA CNY 1.0 454,966 UNCH $1,081
     COM454,966UNCH$1,081
DRAGON CAP ETF DCVFMVN DIAMOND 850,000 UNCH $1,076
     COM850,000UNCH$1,076
KRISHNA INSTITUTE OF INR 10.0 144A 43,089 -30,000 $1,063
     COM43,089-30,000$1,063
OVCTEK CHINA INC CNY 1.0 419,790 UNCH $1,057
     COM419,790UNCH$1,057
SAMSUNG SDI CO LTD KRW 5000.0 3,000 UNCH $1,050
     COM3,000UNCH$1,050
NCINO INC NEW 27,720 +1,826 $1,036
     NCNO27,720+1,826$1,036
DYNATRACE INC 22,068 -150 $1,025
     DT22,068-150$1,025
REALTY INCOME CORP REIT 18,285 UNCH $989
     O18,285UNCH$989
ISHARES 20 PLS YEAR TREASURY BND ETF (ICE) 6,819 +841 $937
     ICE6,819+841$937
ASPEED TECHNOLOGY INC TWD 10.0 9,000 UNCH $936
     COM9,000UNCH$936
ISHARES RUSSELL 1000 GROWTH ETF (IWF) 2,652 -1 $894
     IWF2,652-1$894
NAGACORP LTD USD 0.0125 2,036,831 UNCH $890
     COM2,036,831UNCH$890
AMPLITUDE INC CLASS A 80,376 +4,774 $874
     AMPL80,376+4,774$874
BRAZE INC CLASS A 19,504 -140 $864
     BRZE19,504-140$864
DASSAULT SYSTEM S A F SPONSORED ADR 1 ADR REPS 1 ORD SHS 19,454 +2 $861
     DASTY19,454+2$861
1 100 BERKSHIRE HTWY CLASS A      $844
     BRK.A100UNCH$634
     BRK.B500+500$210
SYARIKAT TAKAFUL MALAYSIA K MYR 0.2 1,082,422 UNCH $823
     COM1,082,422UNCH$823
HAINAN MEILAN INTERNATIONAL CNY 1.0 900,000 UNCH $808
     COM900,000UNCH$808
CLEAR SECURE INC 37,865 +3,529 $805
     YOU37,865+3,529$805
CHULARAT HOSPITAL PCL THB 0.1 10,000,000 UNCH $800
     COM10,000,000UNCH$800
INTERNTNL PAPER 20,185 -1,250 $788
     IP20,185-1,250$788
HONG KONG EXCHANGES AND CLE HKD 1.0 26,972 UNCH $785
     COM26,972UNCH$785
VIETNAM DAIRY PRODUCTS VND 10000.0 280,300 +280,300 $764
     COM280,300+280,300$764
UNIVERSAL ROBINA CORP PHP 1.0 400,000 UNCH $749
     COM400,000UNCH$749
INTUIT INC 1,151 UNCH $748
     INTU1,151UNCH$748
INDOFOOD CBP SUKSES MAKMUR IDR 50.0 1,000,000 UNCH $732
     COM1,000,000UNCH$732
ISHARES CORE S&P MID CAP ETF (IJH)      $731
     IJH7,720+6,221$469
     CORE S&P500 ETF498+498$262
ISHARES RUSSELL 1000 VALUE ETF (IWD) 3,800 +8 $681
     IWD3,800+8$681
PROCTER & GAMBLE 4,018 UNCH $652
     PG4,018UNCH$652
AKR CORPORINDO TBK PT IDR 20.0 6,000,000 UNCH $651
     COM6,000,000UNCH$651
META PLATFORMS INC CLASS A 1,326 UNCH $644
     META1,326UNCH$644
MSCI INC 1,069 UNCH $599
     MSCI1,069UNCH$599
THE COCA COLA CO 9,330 -100 $571
     KO9,330-100$571
CVS HEALTH CORP 6,833 UNCH $545
     CVS6,833UNCH$545
BANK OF AMERICA CORP 14,000 UNCH $531
     BAC14,000UNCH$531
PARADISE CO LTD KRW 500.0 50,000 +50,000 $528
     COM50,000+50,000$528
BANK BTPN SYARIAH TBK PT IDR 100.0 6,000,000 UNCH $513
     COM6,000,000UNCH$513
DUKE ENERGY CORP 5,053 +222 $489
     DUK5,053+222$489
AMER ELECTRIC PWR CO 5,659 +2,161 $487
     AEP5,659+2,161$487
MERCK & CO. INC. 3,678 UNCH $485
     MRK3,678UNCH$485
SEMPRA 6,642 +291 $477
     SRE6,642+291$477
SUNNY FRIEND ENVIRONMENTAL TWD 10.0 155,000 UNCH $473
     COM155,000UNCH$473
NETFLIX INC 767 UNCH $466
     NFLX767UNCH$466
HERSHEY CO 2,339 UNCH $455
     HSY2,339UNCH$455
GOTO GOJEK TOKOPEDIA TBK PT IDR 1.0 100,000,000 +100,000,000 $435
     COM100,000,000+100,000,000$435
PEPSICO INC 2,452 UNCH $429
     PEP2,452UNCH$429
BLACKSTONE INC 3,242 UNCH $426
     BX3,242UNCH$426
COSMO FIRST LIMITED INR 10.0 70,722 +65,026 $425
     COM70,722+65,026$425
GSK PLC ADR F SPONSORED ADR 1 ADR REPS 2 ORD SHS 9,589 UNCH $411
     GSK9,589UNCH$411
CIBANCO SA CBFI MACQUARIE 144A RE 209,463 +209,463 $406
     COM209,463+209,463$406
CHACHA FOOD CO LTD CNY 1.0 80,000 UNCH $405
     COM80,000UNCH$405
HAIER SMART HOME CO LTD CNY 1.0 126,332 UNCH $393
     COM126,332UNCH$393
MCDONALDS CORP 1,383 UNCH $390
     MCD1,383UNCH$390
BEIJING ROBOROCK TECHNOLOGY CNY 1.0 8,000 +8,000 $379
     COM8,000+8,000$379
HANGCHA GROUP CO LTD CNY 1.0 100,000 +100,000 $379
     COM100,000+100,000$379
ABBVIE INC 2,070 UNCH $377
     ABBV2,070UNCH$377
AIRPORTS CORP OF VIETNA VND 10000.0 110,000 UNCH $373
     COM110,000UNCH$373
TECHNOLOGY SELECT SECTOR SPDR ETF (XNTK) 1,953 -126 $356
     XNTK1,953-126$356
VANGUARD FTSE DEVELOPED MARKETS ETF (VEA) 7,085 +210 $355
     VEA7,085+210$355
BANK OF NY MELLON CO 6,063 -2,809 $349
     BK6,063-2,809$349
SPDR S&P 500 ETF (SPY) 668 -822 $349
     SPY668-822$349
BRISTOL MYERS SQUIBB 6,340 +248 $344
     BMY6,340+248$344
VISA INC CLASS A 1,227 -3,305 $342
     V1,227-3,305$342
HOME DEPOT INC 882 UNCH $338
     HD882UNCH$338
ENTERPRISE PRODS PART LP 11,204 UNCH $327
     EPD11,204UNCH$327
ACCENTURE PLC F CLASS A 939 UNCH $325
     ACN939UNCH$325
NASDAQ INC 5,151 UNCH $325
     NDAQ5,151UNCH$325
ENBRIDGE INC F 8,968 +3,000 $324
     ENB8,968+3,000$324
ADVANCED MICRO DEVICE IN 1,784 UNCH $322
     AMD1,784UNCH$322
ANJOY FOODS GROUP CO LTD CNY 1.0 28,000 UNCH $320
     COM28,000UNCH$320
NHN KCP CORP KRW 500.0 34,776 UNCH $320
     COM34,776UNCH$320
VANGUARD SCOTTSDALE FDS INTERMEDIATE TERM CORP BND IDX FD ETF (BIV) 3,619 +218 $291
     BIV3,619+218$291
CHINA LESSO GROUP HOLDINGS HKD 0.05 581,000 UNCH $275
     COM581,000UNCH$275
JOHNSON & JOHNSON 1,733 UNCH $274
     JNJ1,733UNCH$274
ANALOG DEVICES INC 1,379 -17,141 $273
     ADI1,379-17,141$273
NEXTERA ENERGY INC 4,245 -2,131 $271
     NEE4,245-2,131$271
ISHARES 3 7 YEAR TRERY BOND ETF (IEI) 2,324 +137 $269
     IEI2,324+137$269
STRYKER CORP 719 UNCH $257
     SYK719UNCH$257
GENERAL DYNAMICS CO 880 UNCH $249
     GD880UNCH$249
CINTAS CORP 356 UNCH $245
     CTAS356UNCH$245
AMPHENOL CORP CLASS A 2,104 UNCH $243
     APH2,104UNCH$243
VANGUARD TOTAL STOCK MARKET ETF (VTI) 933 UNCH $242
     VTI933UNCH$242
CSX CORP 6,458 UNCH $239
     CSX6,458UNCH$239
REPUBLIC SERVICES 1,248 -116 $239
     RSG1,248-116$239
LG H plus H CO LTD CUM PFD 1,900 UNCH $237
     COM1,900UNCH$237
MOODYS CORP 584 UNCH $230
     MCO584UNCH$230
BOOKING HOLDINGS INC 63 -1,539 $229
     BKNG63-1,539$229
MEDTRONIC PLC F 2,597 UNCH $226
     MDT2,597UNCH$226
COLGATE PALMOLIVE CO 2,487 +2,487 $224
     CL2,487+2,487$224
SOUTHERN CO 3,127 UNCH $224
     SO3,127UNCH$224
ADOBE INC 432 UNCH $218
     ADBE432UNCH$218
REGIONS FINL CO 10,280 -20,245 $216
     RF10,280-20,245$216
AMETEK INC 1,174 +1,174 $215
     AME1,174+1,174$215
UNIVEST FINL CORP 9,884 UNCH $206
     UVSP9,884UNCH$206
EAGLE PHARMACEUTICAL 12,000 UNCH $63
     EGRX12,000UNCH$63
WESTERN URANIUM & VANA F 19,043 UNCH $26
     COM19,043UNCH$26
DENISON MINES CORP F 12,877 -2,565 $25
     DNN12,877-2,565$25
CENCORA INC $0 (exited)
     ABC0-19,410$0
BOYD GAMING CORP $0 (exited)
     BYD0-45,021$0
CALLON PETROLEUM CO $0 (exited)
     CPE0-89,469$0
DOUZONE BIZON CO LTD KRW 500.0 $0 (exited)
     COM0-23,033$0
ENERSYS $0 (exited)
     ENS0-35,440$0
KOH YOUNG TECHNOLOGY INC KRW 100.0 $0 (exited)
     COM0-75,687$0
L OCCITANE INTERNATIONAL S EUR 0.03 $0 (exited)
     COM0-177,500$0
MAGNA INTL INC F $0 (exited)
     MGA0-52,965$0
SHENZHEN SUNLORD ELECTRONIC CNY 1.0 $0 (exited)
     COM0-43,317$0
SHOCKWAVE MEDICAL INC $0 (exited)
     SWAV0-47,471$0
WNS HLDGS LTD USD 0.16 ADR 0 -10,000 $0 (exited)
     WNS0-10,000$0

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