Stock Ideas
New
Stocks
Funds
Screener
Sectors
Watchlists

Latest BRAUN STACEY ASSOCIATES INC Stock Portfolio

$2.53Billion

Equity Portfolio Value
Last Reported on: 30 Apr, 2024

About BRAUN STACEY ASSOCIATES INC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, BRAUN STACEY ASSOCIATES INC reported an equity portfolio of $2.5 Billions as of 31 Mar, 2024.

The top stock holdings of BRAUN STACEY ASSOCIATES INC are MSFT, NVDA, AAPL. The fund has invested 5.7% of it's portfolio in MICROSOFT and 4.7% of portfolio in NVIDIA CORP COM.

The fund managers got completely rid off PENUMBRA INC COM (PEN), EXELIXIS INC COM (EXEL) and XCEL ENERGY INC COM (XEL) stocks. They significantly reduced their stock positions in MORGAN STANLEY (MS), TKO GROUP HOLDINGS INC CL A and ASTRAZENECA PLC SPONSORED ADR (AZN). BRAUN STACEY ASSOCIATES INC opened new stock positions in EVERCORE PARTNERS INC CLASS A (EVR), APPLOVIN CORP COM CL A (APP) and IQVIA HOLDINGS INC (IQV). The fund showed a lot of confidence in some stocks as they added substantially to LEIDOS HLDGS INC COM (LDOS), EATON CORP PLC SHS (ETN) and DANAHER CORP SHS BEN INT (DHR).

New Buys

Ticker$ Bought
EVERCORE PARTNERS INC CLASS A23,030,000
APPLOVIN CORP COM CL A18,260,000
IQVIA HOLDINGS INC14,956,000

New stocks bought by BRAUN STACEY ASSOCIATES INC

Additions

Ticker% Inc.
LEIDOS HLDGS INC COM70.86
EATON CORP PLC SHS53.8
DANAHER CORP SHS BEN INT49.52
LIBERTY MEDIA CORP DEL COM LBT42.05
AMEREN CORP COM24.6
AMERICAN WTR WKS CO INC NEW CO23.38
AMGEN INC20.28
ITRON INC COM18.18

Additions to existing portfolio by BRAUN STACEY ASSOCIATES INC

Reductions

Ticker% Reduced
MORGAN STANLEY-77.42
TKO GROUP HOLDINGS INC CL A-62.54
ASTRAZENECA PLC SPONSORED ADR-39.17
SUPER MICRO COMPUTER INC COM-38.75
LAMB WESTON HLDGS INC COM-32.85
BOEING CO-28.81
VERTIV HOLDINGS CO COM CL A-25.28
CELSIUS HLDGS INC COM NEW-23.38

BRAUN STACEY ASSOCIATES INC reduced stake in above stock

Sold off


BRAUN STACEY ASSOCIATES INC got rid off the above stocks

Current Stock Holdings of BRAUN STACEY ASSOCIATES INC

Last Reported on: 30 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC4.32636,349109,121,000REDUCED-3.15
ACGLARCH CAP GROUP LTD ORD0.96262,44424,260,000REDUCED-0.87
AEEAMEREN CORP COM0.58200,06214,797,000ADDED24.6
AGGISHARES TR RUSSELL1000GRW0.021,713577,000REDUCED-6.95
AGGISHARES TR RUSSELL1000VAL0.011,403251,000REDUCED-15.12
AMEAMETEK INC NEW COM0.5069,21212,659,000REDUCED-1.99
AMGNAMGEN INC0.6254,68515,548,000ADDED20.28
AMZNAMAZON COM INC COM3.66512,84292,507,000REDUCED-0.91
ANETARISTA NETWORKS INC COM1.28111,89232,446,000REDUCED-9.41
APPAPPLOVIN CORP COM CL A0.72263,79518,260,000NEW
AVGOBROADCOM INC COM1.5529,52439,131,000REDUCED-7.81
AWKAMERICAN WTR WKS CO INC NEW CO0.63129,76715,859,000ADDED23.38
AXPAMERICAN EXPRESS CO1.00110,41925,141,000REDUCED-3.84
AZNASTRAZENECA PLC SPONSORED ADR0.1867,8284,595,000REDUCED-39.17
AZOAUTOZONE INC COM0.856,81121,466,000ADDED2.89
BABOEING CO0.7091,70317,698,000REDUCED-28.81
BACBANK AMER CORP1.01676,80325,665,000ADDED2.99
BATRALIBERTY MEDIA CORP DEL COM LBT0.68260,28617,074,000ADDED42.05
BAXBAXTER INTL INC0.0637,7001,611,000REDUCED-0.13
BLKBLACKROCK INC COM0.8826,74322,295,000REDUCED-4.05
BNDWVANGUARD SCOTTSDALE FDS VNG RU0.025,695448,000UNCHANGED0.00
CATCATERPILLAR INC0.021,425522,000UNCHANGED0.00
CDNSCADENCE DESIGN SYSTEM INC COM0.9073,33822,829,000ADDED5.98
CELHCELSIUS HLDGS INC COM NEW1.69514,54942,667,000REDUCED-23.38
CHKCHESAPEAKE ENERGY CORP COM0.0719,8751,765,000UNCHANGED0.00
CMCSACOMCAST CORP NEW COM CL A0.27158,1406,855,000ADDED2.07
COPCONOCOPHILLIPS0.94185,70823,637,000REDUCED-1.13
COSTCOSTCO WHSL CORP NEW0.7425,37218,588,000REDUCED-4.95
CRMSALESFORCE COM INC COM1.0689,08026,829,000REDUCED-2.83
CSDPOWERSHARES EXCHANGE TRADED FD0.023,436582,000UNCHANGED0.00
CVXCHEVRON CORP0.82132,10820,839,000ADDED0.65
DEDEERE & CO COM0.3924,1839,933,000REDUCED-3.61
DHRDANAHER CORP SHS BEN INT0.8889,34322,310,000ADDED49.52
DISWALT DISNEY CO0.035,101624,000UNCHANGED0.00
ELFE L F BEAUTY INC COM1.18151,46529,692,000REDUCED-11.88
EQIXEQUINIX INC COM1.0632,62026,922,000ADDED1.29
ETNEATON CORP PLC SHS0.6552,66516,467,000ADDED53.8
EVREVERCORE PARTNERS INC CLASS A0.91119,57823,030,000NEW
EXELEXELIXIS INC COM0.000.000.00SOLD OFF-100
EXPEEXPEDIA INC DEL COM NEW0.70127,82517,607,000REDUCED-3.18
FDXFEDEX CORP COM0.5649,12614,234,000REDUCED-15.83
GOOGALPHABET CLASS A1.95326,23649,239,000REDUCED-0.19
GOOGALPHABET CLASS C1.49247,25637,647,000REDUCED-1.04
GPNGLOBAL PMTS INC COM0.56106,89514,287,000REDUCED-5.61
GSGOLDMAN SACHS GROUP INC COM0.021,089455,000REDUCED-0.46
HDHOME DEPOT INC0.6542,60116,342,000ADDED6.44
HONHONEYWELL INTL INC COM0.067,7751,596,000UNCHANGED0.00
HWMHOWMET AEROSPACE INC COM1.24459,66531,454,000REDUCED-2.25
IQVIQVIA HOLDINGS INC0.5959,14114,956,000NEW
IRDMIRIDIUM COMMUNICATIONS INC COM0.000.000.00SOLD OFF-100
ITRIITRON INC COM0.94255,49723,638,000ADDED18.18
JAZZJAZZ PHARMACEUTICALS PLC SHS U0.4594,28911,354,000REDUCED-3.81
JNJJOHNSON & JOHNSON0.022,690426,000UNCHANGED0.00
JPMJPMORGAN CHASE & CO1.56196,64339,387,000REDUCED-0.19
KOCOCA COLA CO0.1562,0163,794,000REDUCED-1.26
LAMRLAMAR ADVERTISING CO NEW CL A0.012,865342,000UNCHANGED0.00
LDOSLEIDOS HLDGS INC COM0.96185,86824,366,000ADDED70.86
LINLINDE PLC SHS0.4625,22811,714,000REDUCED-0.08
LLYLILLY, ELI AND COMPANY2.0466,30451,582,000REDUCED-0.45
LRCXLAM RESEARCH CORP COM1.4237,01435,962,000REDUCED-2.86
LULULULULEMON ATHLETICA INC COM0.6441,29016,130,000REDUCED-19.26
LWLAMB WESTON HLDGS INC COM0.2252,3425,576,000REDUCED-32.85
MAMASTERCARD INC CL A1.2665,98531,776,000REDUCED-2.51
MANHMANHATTAN ASSOCS INC COM1.06107,04626,786,000REDUCED-3.67
MARMARRIOTT INTL INC NEW CL A0.9898,64124,888,000REDUCED-11.72
MCDMCDONALDS CORP0.065,7501,621,000REDUCED-8.00
MCKMCKESSON CORP COM1.2659,50931,947,000ADDED0.77
MDYSPDR S&P MIDCAP 400 ETF TR UTS0.052,3071,284,000REDUCED-1.2
METMETLIFE INC0.45151,97811,263,000REDUCED-8.43
METAMETA PLATFORMS2.78144,87370,347,000ADDED0.78
MRKMERCK & COMPANY1.16221,52429,230,000ADDED2.98
MSMORGAN STANLEY0.2156,0885,281,000REDUCED-77.42
MSFTMICROSOFT5.74344,868145,093,000REDUCED-2.06
MUMICRON TECHNOLOGY INC COM1.22262,54230,951,000ADDED7.93
NDAQNASDAQ OMX GROUP INC COM0.95382,18124,116,000ADDED4.57
NEENEXTERA ENERGY INC COM0.72283,82818,140,000ADDED5.52
NOWSERVICENOW INC COM1.1337,47228,568,000REDUCED-5.23
NUENUCOR CORP1.06135,61926,839,000ADDED1.03
NVDANVIDIA CORP COM4.68130,855118,236,000REDUCED-2.39
ONON SEMICONDUCTOR CORP COM0.000.000.00SOLD OFF-100
PANWPALO ALTO NETWORKS INC COM1.0088,78425,226,000REDUCED-21.48
PENPENUMBRA INC COM0.000.000.00SOLD OFF-100
PEPPEPSICO INC0.6898,65117,265,000REDUCED-2.00
PGPROCTER & GAMBLE COMPANY0.76118,88419,288,000REDUCED-0.01
PWRQUANTA SVCS INC COM1.41137,19135,642,000REDUCED-4.3
PXDPIONEER NAT RES CO COM0.8884,79422,258,000REDUCED-3.4
QSRRESTAURANT BRANDS INTL INC COM0.96304,73624,211,000REDUCED-1.97
REGNREGENERON PHARMACEUTICALS COM0.8923,39122,513,000ADDED8.85
SMCISUPER MICRO COMPUTER INC COM1.2130,24530,548,000REDUCED-38.75
SPYSPDR TR UNIT SER 10.178,3534,369,000REDUCED-1.33
STZCONSTELLATION BRANDS INC0.7771,28019,371,000ADDED9.1
TCKRFTECK COMINCO LTD CL B0.73404,07018,498,000REDUCED-5.44
TJXTJX COS INC NEW COM0.72179,31518,186,000ADDED7.74
TMOTHERMO FISHER SCIENTIFIC INC0.6427,88316,206,000ADDED14.29
TMUST MOBILE US INC COM0.86132,37521,606,000ADDED15.68
TRVTRAVELERS COMPANIES INC1.05115,78826,648,000REDUCED-1.2
TTDTHE TRADE DESK INC COM CL A0.98282,16624,667,000REDUCED-0.27
TXRHTEXAS ROADHOUSE INC CL A1.04170,19026,289,000REDUCED-2.77
UBERUBER TECHNOLOGIES INC COM1.30425,97232,796,000REDUCED-15.22
UNHUNITEDHEALTH GROUP INC0.8141,45220,506,000REDUCED-1.89
VVISA INC COM CL A0.054,2001,172,000UNCHANGED0.00
VICIVICI PPTYS INC COM0.77654,87219,509,000ADDED1.31
VOOVANGUARD INDEX FDS S&P 500 ETF0.6031,60015,190,000REDUCED-8.45
VOOVANGUARD INDEX FDS 500INDEX AD0.052,4701,197,000ADDED0.32
VOOVANGUARD INDEX FDS GRW INDEX A0.033,767668,000ADDED2.87
VRRMVERRA MOBILITY CORP CL A COM S0.14139,4453,482,000ADDED6.53
VRTVERTIV HOLDINGS CO COM CL A1.91590,10148,194,000REDUCED-25.28
VRTXVERTEX PHARMACEUTICALS INC0.9859,52224,880,000REDUCED-1.33
WFCWELLS FARGO & CO0.97421,75524,445,000ADDED0.76
XELXCEL ENERGY INC COM0.000.000.00SOLD OFF-100
XLBSECTOR SPDR TR SBI FINL0.0211,881500,000ADDED0.59
XLBSECTOR SPDR TR SBI TECHNOLGY0.011,540321,000REDUCED-2.53
XLBSECTOR SPDR TR SBI UTILITIES0.013,148207,000REDUCED-0.79
XOMEXXON MOBIL CORP1.13245,73528,564,000ADDED5.87
ZTSZOETIS INC CL A0.6495,66116,187,000ADDED4.44
BERKSHIRE HATHAWAY INC DEL CL1.2373,92231,086,000REDUCED-1.43
GE HEALTHCARE TECHNOLOGIES ICO1.12311,03628,276,000ADDED7.04
TKO GROUP HOLDINGS INC CL A0.1645,6133,941,000REDUCED-62.54