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Latest Patton Fund Management, Inc. Stock Portfolio

$551Million

Equity Portfolio Value
Last Reported on: 08 May, 2024

About Patton Fund Management, Inc. and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, PATTON FUND MANAGEMENT, INC. reported an equity portfolio of $551.5 Millions as of 31 Mar, 2024.

The top stock holdings of PATTON FUND MANAGEMENT, INC. are AGG, CSD, AGG. The fund has invested 7.6% of it's portfolio in ISHARES TR and 4.5% of portfolio in INVESCO EXCHANGE TRADED FD T.

The fund managers got completely rid off ARCH CAP GROUP LTD (ACGL), COMCAST CORP NEW (CMCSA) and HESS CORP (HES) stocks. They significantly reduced their stock positions in ISHARES TR (AGG), COSTAR GROUP INC (CSGP) and NVIDIA CORPORATION (NVDA). PATTON FUND MANAGEMENT, INC. opened new stock positions in NRG ENERGY INC (NRG), WESTERN DIGITAL CORP. (WDC) and CBOE GLOBAL MKTS INC. The fund showed a lot of confidence in some stocks as they added substantially to VANGUARD INDEX FDS (VOO), WARNER BROS DISCOVERY INC (WBD) and ELI LILLY & CO (LLY).

New Buys

Ticker$ Bought
NRG ENERGY INC8,018,760
WESTERN DIGITAL CORP.6,829,050
CBOE GLOBAL MKTS INC6,817,480
NVR INC6,617,670
D R HORTON INC6,487,550
MONOLITHIC PWR SYS INC6,479,520
TAKE-TWO INTERACTIVE SOFTWAR6,293,600
ALPHABET INC6,157,490

New stocks bought by Patton Fund Management, Inc.

Additions

Ticker% Inc.
VANGUARD INDEX FDS192
WARNER BROS DISCOVERY INC118
ELI LILLY & CO73.17
CONOCOPHILLIPS60.88
REGIONS FINANCIAL CORP NEW39.57
INVESCO ACTVELY MNGD ETC FD23.96
INVESCO EXCHANGE TRADED FD T21.54
ISHARES TR11.91

Additions to existing portfolio by Patton Fund Management, Inc.

Reductions

Ticker% Reduced
ISHARES TR-91.93
COSTAR GROUP INC-86.35
NVIDIA CORPORATION-15.95
AXON ENTERPRISE INC-12.78
BUILDERS FIRSTSOURCE INC-12.53
LAM RESEARCH CORP-12.47
BROWN & BROWN INC-12.46
TRANE TECHNOLOGIES PLC-12.33

Patton Fund Management, Inc. reduced stake in above stock

Sold off

Ticker$ Sold
COMCAST CORP NEW-3,694,320
HALLIBURTON CO-2,414,890
ARCH CAP GROUP LTD-3,914,770
VANGUARD SCOTTSDALE FDS-1,649,100
HESS CORP-2,488,920

Patton Fund Management, Inc. got rid off the above stocks

Current Stock Holdings of Patton Fund Management, Inc.

Last Reported on: 08 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AALAMERICAN AIRLS GROUP INC0.0414,608224,233NEW
AAXJISHARES TR0.6632,8213,628,030ADDED4.75
ACGLARCH CAP GROUP LTD0.000.000.00SOLD OFF-100
ADBEADOBE INC0.808,6884,383,960REDUCED-11.59
ADIANALOG DEVICES INC0.328,9711,774,370REDUCED-12.24
AGGISHARES TR7.63444,35242,062,400ADDED11.91
AGGISHARES TR3.27225,79418,031,900ADDED1.11
AGGISHARES TR2.7672,35415,216,000REDUCED-1.53
AGGISHARES TR2.63172,82914,533,200REDUCED-1.31
AGGISHARES TR0.949,8445,175,290REDUCED-91.93
AGGISHARES TR0.117,627623,736ADDED5.26
AIZASSURANT INC0.9929,0655,471,200REDUCED-9.00
AJGGALLAGHER ARTHUR J & CO0.04815203,783NEW
AKAMAKAMAI TECHNOLOGIES INC0.9447,6115,178,170NEW
ALGNALIGN TECHNOLOGY INC0.04655214,788NEW
AMATAPPLIED MATLS INC1.1129,6766,120,080NEW
AMCRAMCOR PLC0.0315,619148,537ADDED11.25
AMDADVANCED MICRO DEVICES INC1.0532,1595,804,380NEW
AMGNAMGEN INC0.7514,5814,145,670NEW
AMPSISHARES TR0.042,593216,723UNCHANGED0.00
ANETARISTA NETWORKS INC1.1521,9526,365,640REDUCED-12.15
AVGOBROADCOM INC0.984,0995,432,860REDUCED-11.39
AXONAXON ENTERPRISE INC0.9917,4505,459,760REDUCED-12.78
BBWIBATH & BODY WORKS INC0.044,372218,687NEW
BILSPDR SER TR2.50146,54913,812,200REDUCED-2.22
BKNGBOOKING HOLDINGS INC0.951,4405,224,150REDUCED-7.46
BLDRBUILDERS FIRSTSOURCE INC1.1229,6836,190,390REDUCED-12.53
BNDWVANGUARD SCOTTSDALE FDS0.000.000.00SOLD OFF-100
BRBROADRIDGE FINL SOLUTIONS IN0.9726,0515,336,810NEW
BROBROWN & BROWN INC0.9358,6565,134,750REDUCED-12.46
CAHCARDINAL HEALTH INC0.9546,7075,226,510REDUCED-12.04
CCLCARNIVAL CORP0.0310,056164,315NEW
CDNSCADENCE DESIGN SYSTEM INC0.9917,4675,437,130REDUCED-9.62
CEGCONSTELLATION ENERGY CORP0.041,303240,860NEW
CHTRCHARTER COMMUNICATIONS INC N0.04713207,219NEW
CMCSACOMCAST CORP NEW0.000.000.00SOLD OFF-100
CMICUMMINS INC0.264,8211,420,510REDUCED-5.64
COPCONOCOPHILLIPS0.083,623461,135ADDED60.88
CRMSALESFORCE INC1.0819,7315,942,580REDUCED-12.00
CSDINVESCO EXCHANGE TRADED FD T4.49146,12724,749,500ADDED21.54
CSGPCOSTAR GROUP INC0.042,220214,452REDUCED-86.35
DGDOLLAR GEN CORP NEW0.041,404219,108NEW
DHID R HORTON INC1.1839,4266,487,550NEW
DLRDIGITAL RLTY TR INC0.8231,3384,513,930NEW
DVNDEVON ENERGY CORP NEW0.044,889245,330NEW
ETNEATON CORP PLC0.8915,7374,920,640REDUCED-11.94
ETSYETSY INC0.043,175218,186NEW
EXPEEXPEDIA GROUP INC0.8232,8714,527,980NEW
FFORD MTR CO DEL0.0312,731169,068UNCHANGED0.00
FDXFEDEX CORP0.9918,8935,474,060REDUCED-10.88
FICOFAIR ISAAC CORP0.934,1145,140,900REDUCED-10.95
FTNTFORTINET INC0.043,324227,062NEW
GLDSPDR GOLD TR0.277,1891,478,920REDUCED-7.94
GMGENERAL MTRS CO0.044,649210,832NEW
GOOGALPHABET INC1.1240,7976,157,490NEW
GSGISHARES S&P GSCI COMMODITY-0.3998,2892,168,260REDUCED-3.15
GWWGRAINGER W W INC1.196,4526,563,620REDUCED-9.71
HALHALLIBURTON CO0.000.000.00SOLD OFF-100
HBANHUNTINGTON BANCSHARES INC0.0311,924166,340UNCHANGED0.00
HESHESS CORP0.000.000.00SOLD OFF-100
HUMHUMANA INC0.04593205,605NEW
IAUISHARES GOLD TR1.17153,9936,469,250ADDED3.91
ILMNILLUMINA INC0.041,617222,046NEW
INTCINTEL CORP0.6885,2113,763,770REDUCED-8.44
IRINGERSOLL RAND INC0.9253,2305,054,190REDUCED-9.9
ISRGINTUITIVE SURGICAL INC0.04507202,339NEW
IVZINVESCO LTD0.0310,345171,624NEW
KEYKEYCORP0.0310,802170,780UNCHANGED0.00
KLACKLA CORP1.169,1656,402,390REDUCED-9.82
LENLENNAR CORP1.0132,4245,576,280REDUCED-9.96
LINLINDE PLC0.708,3723,887,290REDUCED-10.75
LLYELI LILLY & CO1.278,9796,985,300ADDED73.17
LRCXLAM RESEARCH CORP1.216,8466,651,370REDUCED-12.47
MARMARRIOTT INTL INC NEW1.0623,1245,834,420NEW
MCKMCKESSON CORP1.1111,3636,100,230REDUCED-9.6
MCOMOODYS CORP0.8411,7244,607,880NEW
METAMETA PLATFORMS INC1.0011,3775,524,440REDUCED-10.25
MHKMOHAWK INDS INC0.041,544202,094NEW
MOHMOLINA HEALTHCARE INC0.7910,5604,338,360NEW
MPWRMONOLITHIC PWR SYS INC1.189,5656,479,520NEW
MSIMOTOROLA SOLUTIONS INC0.7010,8923,866,440REDUCED-9.21
NEENEXTERA ENERGY INC0.043,627231,802NEW
NFLXNETFLIX INC1.1410,3486,284,650REDUCED-12.22
NOWSERVICENOW INC1.037,4195,656,250REDUCED-12.11
NRGNRG ENERGY INC1.45118,4638,018,760NEW
NVDANVIDIA CORPORATION1.297,9007,138,120REDUCED-15.95
NVRNVR INC1.208176,617,670NEW
ORLYOREILLY AUTOMOTIVE INC0.693,3643,797,550REDUCED-6.58
PANWPALO ALTO NETWORKS INC0.7314,2184,039,760REDUCED-9.82
PDBCINVESCO ACTVELY MNGD ETC FD1.00397,1425,508,360ADDED23.96
PEAKHEALTHPEAK PROPERTIES INC0.0413,198247,463NEW
PGRPROGRESSIVE CORP0.9625,6825,311,550REDUCED-7.1
PHPARKER-HANNIFIN CORP1.2011,9346,632,800REDUCED-9.68
PHMPULTE GROUP INC1.2958,8267,095,590REDUCED-9.13
PSXPHILLIPS 660.9231,1885,094,250NEW
PTCPTC INC0.8825,7404,863,320REDUCED-11.69
RCLROYAL CARIBBEAN GROUP0.9838,8005,393,590NEW
RFREGIONS FINANCIAL CORP NEW0.0922,689477,377ADDED39.57
ROLROLLINS INC0.044,403203,727NEW
SMCISUPER MICRO COMPUTER INC0.04212214,126NEW
SNPSSYNOPSYS INC0.797,5834,333,680REDUCED-11.44
SPYSPDR S&P 500 ETF TR2.9731,35916,403,000REDUCED-4.82
STXSEAGATE TECHNOLOGY HLDNGS PL0.9053,5334,981,250NEW
TPRTAPESTRY INC0.044,271202,787NEW
TRGPTARGA RES CORP0.7637,5244,202,310REDUCED-11.45
TSLATESLA INC0.051,447254,368NEW
TTTRANE TECHNOLOGIES PLC0.9817,9875,399,700REDUCED-12.33
TTWOTAKE-TWO INTERACTIVE SOFTWAR1.1442,3846,293,600NEW
UBERUBER TECHNOLOGIES INC1.1078,8676,071,970NEW
URIUNITED RENTALS INC1.027,8245,641,960REDUCED-11.46
VEUVANGUARD INTL EQUITY INDEX F3.14414,66517,320,600ADDED9.65
VOOVANGUARD INDEX FDS0.2717,2171,488,930ADDED192
VOOVANGUARD INDEX FDS0.05530254,771UNCHANGED0.00
VRTXVERTEX PHARMACEUTICALS INC1.1114,6586,127,190NEW
VTRSVIATRIS INC0.0313,815164,951UNCHANGED0.00
WBDWARNER BROS DISCOVERY INC0.0426,739233,431ADDED118
WDCWESTERN DIGITAL CORP.1.24100,0746,829,050NEW
BERKSHIRE HATHAWAY INC DEL2.4732,41113,629,500REDUCED-3.12
CBOE GLOBAL MKTS INC1.2437,1066,817,480NEW