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Latest Monte Financial Group, LLC Stock Portfolio

$228Million

Equity Portfolio Value
Last Reported on: 29 Apr, 2024

About Monte Financial Group, LLC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, Monte Financial Group, LLC reported an equity portfolio of $228.3 Millions as of 31 Mar, 2024.

The top stock holdings of Monte Financial Group, LLC are TGT, CMCSA, WFC. The fund has invested 3.7% of it's portfolio in TARGET CORP COM and 3.6% of portfolio in COMCAST CORP NEW CL A.

The fund managers got completely rid off EMERSON ELEC CO COM (EMR) and TRAVELERS COMPANIES INC COM (TRV) stocks. They significantly reduced their stock positions in CATERPILLAR INC COM (CAT), INTEL CORP COM (INTC) and DELL TECHNOLOGIES INC CL C (DELL). Monte Financial Group, LLC opened new stock positions in ASTRAZENECA PLC SPONSORED ADR (AZN), BROWN & BROWN INC COM (BRO) and LULULEMON ATHLETICA INC COM (LULU). The fund showed a lot of confidence in some stocks as they added substantially to OMNICOM GROUP INC COM (OMC), HERSHEY CO COM (HSY) and EOG RES INC COM (EOG).

New Buys

Ticker$ Bought
ASTRAZENECA PLC SPONSORED ADR1,324,850
BROWN & BROWN INC COM506,594
LULULEMON ATHLETICA INC COM426,590
DISNEY WALT CO COM269,926

New stocks bought by Monte Financial Group, LLC

Additions

Ticker% Inc.
OMNICOM GROUP INC COM180
HERSHEY CO COM94.26
EOG RES INC COM59.92
ALPHABET INC CAP STK CL A33.19
INVESCO S&P 500 EQUAL WEIGHT ETF19.72
ISHARES CORE S&P 500 ETF17.17
AIR PRODS & CHEMS INC COM16.67
PFIZER INC COM14.56

Additions to existing portfolio by Monte Financial Group, LLC

Reductions

Ticker% Reduced
CATERPILLAR INC COM-90.05
INTEL CORP COM-85.69
DELL TECHNOLOGIES INC CL C-32.73
DOVER CORP COM-31.83
ISHARES RUSSELL MIDCAP ETF-31.49
EATON CORP PLC SHS-23.98
NVIDIA CORPORATION COM-22.93
DECKERS OUTDOOR CORP COM-22.75

Monte Financial Group, LLC reduced stake in above stock

Sold off


Monte Financial Group, LLC got rid off the above stocks

Current Stock Holdings of Monte Financial Group, LLC

Last Reported on: 29 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC COM0.8611,4831,969,190REDUCED-0.42
ABTABBOTT LABS COM2.6753,7266,106,500ADDED0.49
ADPAUTOMATIC DATA PROCESSING INC COM1.7716,2194,050,580ADDED1.69
AGGISHARES MSCI EAFE ETF0.246,881549,517UNCHANGED0.00
AGGISHARES CORE S&P 500 ETF0.241,044548,862ADDED17.17
AGGISHARES RUSSELL 2000 ETF0.111,201252,570UNCHANGED0.00
AGGISHARES RUSSELL MIDCAP ETF0.092,500210,225REDUCED-31.49
AMEAMETEK INC COM0.546,7931,242,390REDUCED-1.49
AMZNAMAZON COM INC COM0.141,719310,073REDUCED-8.17
APDAIR PRODS & CHEMS INC COM1.8917,8264,318,770ADDED16.67
APHAMPHENOL CORP NEW CL A0.5811,5641,333,880REDUCED-7.97
AVYAVERY DENNISON CORP COM0.535,4591,218,800REDUCED-0.42
AXPAMERICAN EXPRESS CO COM0.707,0501,605,270REDUCED-0.35
AZNASTRAZENECA PLC SPONSORED ADR0.5819,5551,324,850NEW
BABOEING CO COM0.111,284247,799REDUCED-10.46
BROBROWN & BROWN INC COM0.225,787506,594NEW
CATCATERPILLAR INC COM0.251,564573,097REDUCED-90.05
CBCHUBB LIMITED COM0.585,0811,316,680ADDED0.73
CMCSACOMCAST CORP NEW CL A3.60189,7908,227,390ADDED0.02
CMECME GROUP INC COM1.6617,6073,790,630ADDED0.52
CPBCAMPBELL SOUP CO COM2.29117,7055,231,980ADDED2.78
CSCOCISCO SYS INC COM2.21101,0165,041,720ADDED0.29
CSDINVESCO S&P 500 EQUAL WEIGHT ETF0.425,730970,490ADDED19.72
CVXCHEVRON CORP NEW COM2.7539,8296,282,660ADDED8.41
DEDEERE & CO COM0.10575236,176REDUCED-0.52
DECKDECKERS OUTDOOR CORP COM0.571,3751,294,230REDUCED-22.75
DELLDELL TECHNOLOGIES INC CL C2.8857,6176,574,700REDUCED-32.73
DISDISNEY WALT CO COM0.122,206269,926NEW
DOVDOVER CORP COM0.091,135201,111REDUCED-31.83
EDCONSOLIDATED EDISON INC COM0.338,269750,908UNCHANGED0.00
EMREMERSON ELEC CO COM0.000.000.00SOLD OFF-100
EOGEOG RES INC COM2.4343,4675,556,760ADDED59.92
ETNEATON CORP PLC SHS2.1515,6664,898,560REDUCED-23.98
GEGE AEROSPACE COM NEW0.293,782663,854REDUCED-0.5
GLWCORNING INC COM2.35162,8315,366,910ADDED1.15
GNRCGENERAC HLDGS INC COM0.529,4721,194,800REDUCED-1.77
GOOGALPHABET INC CAP STK CL A0.507,5691,142,390ADDED33.19
GOOGALPHABET INC CAP STK CL C0.142,085317,462REDUCED-7.13
GRMNGARMIN LTD SHS2.5839,5195,883,120REDUCED-18.15
HDHOME DEPOT INC COM3.1018,4207,065,870REDUCED-7.04
HIGHARTFORD FINL SVCS GROUP INC COM2.6258,1415,991,440REDUCED-11.94
HSYHERSHEY CO COM2.6531,1526,059,080ADDED94.26
IBMINTERNATIONAL BUSINESS MACHS COM0.455,3741,026,320REDUCED-1.39
INTCINTEL CORP COM0.3316,993750,581REDUCED-85.69
IPINTERNATIONAL PAPER CO COM2.56149,5765,836,470ADDED0.3
JNJJOHNSON & JOHNSON COM2.1030,2264,781,450ADDED0.76
JPMJPMORGAN CHASE & CO COM0.728,1981,642,060UNCHANGED0.00
KLACKLA CORP COM NEW0.521,6901,180,330REDUCED-6.53
LINLINDE PLC SHS0.482,3471,089,700ADDED0.9
LULULULULEMON ATHLETICA INC COM0.191,092426,590NEW
MCOMOODYS CORP COM0.502,9291,151,000ADDED1.24
METAMETA PLATFORMS INC CL A0.18852413,714UNCHANGED0.00
MRKMERCK & CO INC COM2.7447,3536,248,180REDUCED-0.1
MSFTMICROSOFT CORP COM1.638,8373,718,070REDUCED-2.57
MTBM & T BK CORP COM2.0131,4924,580,130ADDED0.44
NVDANVIDIA CORPORATION COM0.541,3711,238,930REDUCED-22.93
OMCOMNICOM GROUP INC COM2.4858,6085,670,910ADDED180
ORLYOREILLY AUTOMOTIVE INC COM0.36738833,113ADDED3.07
PFEPFIZER INC COM2.29188,7175,236,900ADDED14.56
PHPARKER-HANNIFIN CORP COM0.622,5271,404,690REDUCED-11.86
PPGPPG INDS INC COM1.7327,2633,950,470REDUCED-17.3
RFREGIONS FINANCIAL CORP NEW COM2.20238,7895,024,120ADDED1.22
ROKROCKWELL AUTOMATION INC COM0.574,4641,300,430ADDED7.00
ROPROPER TECHNOLOGIES INC COM0.12475266,399REDUCED-10.38
RTXRTX CORPORATION COM2.9869,8516,812,540ADDED0.28
SOSOUTHERN CO COM0.5718,0651,295,980REDUCED-0.33
SWKSTANLEY BLACK & DECKER INC COM2.4657,4235,623,470REDUCED-0.12
SYKSTRYKER CORPORATION COM0.462,9151,043,110ADDED1.71
TELTE CONNECTIVITY LTD SHS0.548,5211,237,550ADDED1.48
TGTTARGET CORP COM3.6747,2578,374,340REDUCED-0.87
TJXTJX COS INC NEW COM0.4610,4181,056,600ADDED2.31
TMOTHERMO FISHER SCIENTIFIC INC COM0.532,0941,217,180ADDED1.36
TREXTREX CO INC COM0.5612,7941,276,200REDUCED-1.43
TROWPRICE T ROWE GROUP INC COM2.1440,1494,894,970ADDED0.84
TRVTRAVELERS COMPANIES INC COM0.000.000.00SOLD OFF-100
TSLATESLA INC COM0.121,576277,045ADDED3.28
TTTRANE TECHNOLOGIES PLC SHS0.483,6141,084,780REDUCED-11.68
TXNTEXAS INSTRS INC COM2.5533,4015,818,820REDUCED-1.64
ULTAULTA BEAUTY INC COM0.462,0021,046,810ADDED0.6
UNHUNITEDHEALTH GROUP INC COM1.044,7892,368,900ADDED1.35
VVISA INC COM CL A0.665,4341,516,640REDUCED-1.4
VZVERIZON COMMUNICATIONS INC COM0.168,803369,389REDUCED-22.61
WFCWELLS FARGO CO NEW COM3.57140,6028,149,270REDUCED-5.04
WSOWATSCO INC COM2.1511,3744,913,390REDUCED-6.22
WSTWEST PHARMACEUTICAL SVSC INC COM0.341,951772,114ADDED4.72
XOMEXXON MOBIL CORP COM0.285,494638,623UNCHANGED0.00