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Latest CAMPBELL NEWMAN ASSET MANAGEMENT INC Stock Portfolio

$1.23Billion

Equity Portfolio Value
Last Reported on: 16 Apr, 2024

About CAMPBELL NEWMAN ASSET MANAGEMENT INC and it’s 13F Hedge Fund Stock Holdings

CAMPBELL NEWMAN ASSET MANAGEMENT INC is a hedge fund based in MILWAUKEE, WI. On 22-Jun-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $1.1 Billions. In it's latest 13F Holdings report, CAMPBELL NEWMAN ASSET MANAGEMENT INC reported an equity portfolio of $1.2 Billions as of 31 Mar, 2024.

The top stock holdings of CAMPBELL NEWMAN ASSET MANAGEMENT INC are MSFT, AAPL, AVGO. The fund has invested 7.1% of it's portfolio in MICROSOFT CORP. and 5.5% of portfolio in APPLE, INC.

The fund managers got completely rid off NORTHROP GRUMMAN CORP. (NOC), AIR PRODUCTS & CHEMICALS, INC. (APD) and MONOLITHIC POWER SYSTEMS, INC. (MPWR) stocks. They significantly reduced their stock positions in BANK OF AMERICA CORP. (BAC), MEDPACE HOLDINGS, INC. (MEDP) and NIKE, INC. CLASS B (NKE). CAMPBELL NEWMAN ASSET MANAGEMENT INC opened new stock positions in EMERSON ELECTRIC CO. (EMR), MODINE MANUFACTURING CO. (MOD) and VITAL FARMS, INC. (VITL). The fund showed a lot of confidence in some stocks as they added substantially to ABBVIE, INC. (ABBV), T-MOBILE US, INC. (TMUS) and EXLSERVICE HOLDINGS, INC. (EXLS).

New Buys

Ticker$ Bought
EMERSON ELECTRIC CO.31,430,700
MODINE MANUFACTURING CO.1,683,340
VITAL FARMS, INC.1,515,880
STRIDE, INC.1,451,850
CATALYST PHARMACEUTICALS1,426,180
RAMBUS INTERNATIONAL, INC.1,419,340
ORACLE SYSTEMS696,633

New stocks bought by CAMPBELL NEWMAN ASSET MANAGEMENT INC

Additions to existing portfolio by CAMPBELL NEWMAN ASSET MANAGEMENT INC

Reductions

Ticker% Reduced
BANK OF AMERICA CORP.-59.28
MEDPACE HOLDINGS, INC.-19.66
NIKE, INC. CLASS B-16.27
KLA CORP.-14.42
BROADCOM, INC.-13.64
THE HOME DEPOT, INC.-2.16
MICROSOFT CORP.-2.06
CONOCOPHILLIPS-2.00

CAMPBELL NEWMAN ASSET MANAGEMENT INC reduced stake in above stock

Sold off

Ticker$ Sold
AIR PRODUCTS & CHEMICALS, INC.-15,655,900
CORNING, INC.-1,571,950
NORTHROP GRUMMAN CORP.-23,493,200
PFIZER, INC.-615,271
BRISTOL-MYERS SQUIBB CO.-921,374
INTEGRA LIFESCIENCES HOLDINGS-612,357
MONOLITHIC POWER SYSTEMS, INC.-3,310,330
SPDR TR UNIT SER 1-342,223

CAMPBELL NEWMAN ASSET MANAGEMENT INC got rid off the above stocks

Current Stock Holdings of CAMPBELL NEWMAN ASSET MANAGEMENT INC

Last Reported on: 16 Apr, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE, INC.5.47393,68667,509,300REDUCED-0.95
ABBVABBVIE, INC.1.70115,40321,014,900ADDED1,178
ABTABBOTT LABORATORIES1.23133,50815,174,500REDUCED-0.92
ACNACCENTURE PLC2.3784,15229,167,900REDUCED-0.95
ADIANALOG DEVICES, INC.3.48217,02142,924,600REDUCED-0.89
AGGISHARES TR RUSSELL MIDCAP0.0912,8401,079,720UNCHANGED0.00
AJGARTHUR J. GALLAGHER & CO.2.56126,00031,505,000ADDED17.77
AMDADVANCED MICRO DEVICES, INC.0.139,0471,632,890REDUCED-0.36
AMGNAMGEN,INC.0.167,0001,990,240UNCHANGED0.00
AMTAMERICAN TOWER CORP.1.72107,49321,239,600REDUCED-0.62
AMZNAMAZON.COM, INC.1.2887,23615,735,600REDUCED-0.05
APDAIR PRODUCTS & CHEMICALS, INC.0.000.000.00SOLD OFF-100
APGAPI GROUP CORP.0.1548,3291,897,880ADDED2.41
AVGOBROADCOM, INC.4.7043,76958,012,100REDUCED-13.64
BABOEING CO.0.042,442471,282REDUCED-0.53
BACBANK OF AMERICA CORP.0.1134,3501,302,550REDUCED-59.28
BCOTHE BRINK'S CO.0.1418,1551,677,160ADDED2.42
BLKBBLACKBAUD, INC.0.0813,5061,001,340ADDED2.4
BMYBRISTOL-MYERS SQUIBB CO.0.000.000.00SOLD OFF-100
CARRCARRIER GLOBAL CORP.0.049,488551,537UNCHANGED0.00
CCSCENTURY COMMUNITIES, INC.0.2025,4542,456,310ADDED2.43
CEVACEVA, INC.0.0634,423781,746ADDED4.41
CIENCIENA CORP.0.1333,1131,637,440ADDED3.46
CMCSACOMCAST CORP. CLASS A1.95555,76424,092,400ADDED0.06
COPCONOCOPHILLIPS3.41330,34242,045,900REDUCED-2.00
CORTCORCEPT THERAPEUTICS, INC.0.1050,2681,266,250ADDED2.41
COSTCOSTCO WHOLESALE CORP.0.03505369,978UNCHANGED0.00
CPRXCATALYST PHARMACEUTICALS0.1289,4721,426,180NEW
CSCOCISCO SYSTEMS, INC.1.33329,43216,442,000REDUCED-1.21
CTVACORTEVA INC.0.035,750331,603UNCHANGED0.00
CWCURTISS-WRIGHT CORP.0.178,3932,148,100ADDED2.4
DEDEERE & CO.1.1434,32314,097,800ADDED1.58
DISTHE WALT DISNEY CO.0.1515,5651,904,530UNCHANGED0.00
DYDYCOM INDUSTRIES, INC.0.1614,2132,039,990ADDED2.38
EMREMERSON ELECTRIC CO.2.55277,11831,430,700NEW
ENSGENSIGN GROUP, INC.0.1918,5092,302,890ADDED2.44
EOGEOG RESOURCES, INC.1.75168,50721,541,900ADDED4.81
EPAMEPAM SYSTEMS, INC.0.02807222,861ADDED0.62
EVREVERCORE, INC.0.159,8031,888,010ADDED2.38
EXLSEXLSERVICE HOLDINGS, INC.0.2494,8493,016,200ADDED35.21
FIVEFIVE BELOW, INC.0.1510,4591,897,050ADDED2.41
FNFABRINET0.2818,2963,458,310ADDED2.24
GLWCORNING, INC.0.000.000.00SOLD OFF-100
GOOGALPHABET, INC. CLASS A0.4436,2665,473,630REDUCED-0.17
GOOGALPHABET, INC. CLASS C0.4435,8435,457,460UNCHANGED0.00
GPCGENUINE PARTS CO.1.0986,91113,465,100ADDED4.29
HALOHALOZYME THERAPEUTICS, INC.0.1235,0431,425,550ADDED4.44
HDTHE HOME DEPOT, INC.2.0666,21425,399,800REDUCED-2.16
HONHONEYWELL INTERNATIONAL, INC.2.32139,29428,590,100REDUCED-0.26
HSYHERSHEY FOODS CORP.1.1069,53613,524,800ADDED4.54
HUMHUMANA, INC.0.000.000.00SOLD OFF-100
IARTINTEGRA LIFESCIENCES HOLDINGS0.000.000.00SOLD OFF-100
ICEINTERCONTINENTAL EXCHANGE, INC2.15192,72826,486,600REDUCED-1.1
IFFINTL. FLAVORS & FRAGRANCES, IN1.08155,53613,374,500UNCHANGED0.00
JCIJOHNSON CONTROLS INTL PLC0.024,000261,280UNCHANGED0.00
JNJJOHNSON & JOHNSON0.3729,1704,614,400UNCHANGED0.00
KLACKLA CORP.4.3176,07253,141,600REDUCED-14.42
KOCOCA-COLA CO.0.035,656346,034UNCHANGED0.00
LADLITHIA MOTORS, INC.0.145,5681,675,190ADDED2.41
LGIHLGI HOMES, INC.0.1212,6741,474,870ADDED2.62
LLYELI LILLY & CO.4.0464,03749,818,200REDUCED-0.61
LNTHLANTHEUS HOLDINGS, INC.0.1734,1392,124,810ADDED2.42
LOWLOWE'S COMPANIES, INC.3.35161,93441,249,500REDUCED-0.89
LRNSTRIDE, INC.0.1223,0271,451,850NEW
LULULULULEMON ATHLETICA, INC.0.061,755685,591REDUCED-0.51
MAMASTERCARD, INC.2.7971,48334,424,100REDUCED-1.18
MCMOELIS & CO. CLASS A0.0716,219920,753ADDED2.48
MCDMCDONALD'S CORP.0.5825,4677,180,420UNCHANGED0.00
MCOMOODY'S CORP.1.6451,34420,179,700REDUCED-1.35
MEDPMEDPACE HOLDINGS, INC.0.298,9143,602,590REDUCED-19.66
METAMETA PLATFORMS, INC.0.225,5582,698,850ADDED0.07
MGYMAGNOLIA OIL & GAS CORP. CL A0.2094,0772,441,300ADDED4.43
MKTXMARKETAXESS HOLDINGS, INC.0.063,388742,828ADDED3.45
MODMODINE MANUFACTURING CO.0.1417,6841,683,340NEW
MPMP MATERIALS CORP.0.0653,918771,027ADDED4.42
MPWRMONOLITHIC POWER SYSTEMS, INC.0.000.000.00SOLD OFF-100
MRKMERCK & CO., INC.2.92273,09636,035,000REDUCED-1.27
MSFTMICROSOFT CORP.7.08207,61487,347,400REDUCED-2.06
MTDRMATADOR RESOURCES CO.0.1119,8301,324,050ADDED3.21
MTZMASTEC, INC.0.2228,6072,667,600ADDED2.65
NKENIKE, INC. CLASS B0.1114,0651,321,830REDUCED-16.27
NOCNORTHROP GRUMMAN CORP.0.000.000.00SOLD OFF-100
NSCNORFOLK SOUTHERN CORPORATION0.199,1652,335,880UNCHANGED0.00
NVDANVIDIA CORP.0.222,9742,687,190REDUCED-0.57
NVEENV5 GLOBAL, INC.0.1418,1551,779,370ADDED2.4
OLLIOLLIE'S BARGAIN OUTLET HOLDING0.1319,7971,575,250ADDED3.24
ONTOONTO INNOVATION, INC.0.2818,9883,438,350ADDED2.43
ORCLORACLE SYSTEMS0.065,546696,633NEW
ORLYO REILLY AUTOMOTIVE0.06600677,328UNCHANGED0.00
PCRXPACIRA BIOSCIENCES, INC.0.0835,5781,039,590ADDED4.45
PEPPEPSICO, INC.0.139,4541,654,540UNCHANGED0.00
PFEPFIZER, INC.0.000.000.00SOLD OFF-100
PGPROCTER & GAMBLE CO.0.064,150673,338UNCHANGED0.00
PLUSEPLUS, INC.0.2132,4502,548,620ADDED33.91
POOLPOOL CORP.0.164,9391,992,890ADDED1.23
PRFTPERFICIENT, INC.0.0817,8871,006,860ADDED3.79
PTCPTC, INC.0.1811,6232,196,050ADDED2.39
RMBSRAMBUS INTERNATIONAL, INC.0.1222,9631,419,340NEW
RTXRTX CORP.1.92243,07123,706,700REDUCED-0.99
SBUXSTARBUCKS CORP.0.1114,5781,332,280REDUCED-0.4
SPGIS&P GLOBAL, INC.0.8524,75910,533,700REDUCED-1.44
SPYSPDR TR UNIT SER 10.000.000.00SOLD OFF-100
SUPNSUPERNUS PHARMACEUTICALS, INC.0.1243,5351,484,980ADDED2.72
SYKSTRYKER CORP.3.41117,57542,076,600REDUCED-1.26
TELTE CONNECTIVITY LTD. REGULAR S2.42205,48729,844,900REDUCED-0.77
TJXTHE TJX COMPANIES, INC.0.1316,2211,645,130REDUCED-0.26
TMOTHERMO FISHER SCIENTIFIC, INC.0.132,7991,626,810REDUCED-0.36
TMUST-MOBILE US, INC.0.107,3891,206,030ADDED39.84
TXNTEXAS INSTRUMENTS, INC.1.95138,33124,098,700REDUCED-0.86
UNHUNITEDHEALTH GROUP2.4260,24529,803,200REDUCED-0.4
VVISA, INC. CLASS A3.16139,66338,977,200REDUCED-1.43
VITLVITAL FARMS, INC.0.1265,1991,515,880NEW
VRNTVERINT SYSTEMS, INC.0.0727,040896,376ADDED4.00
VRTXVERTEX PHARMACEUTICALS, INC.0.061,773741,132REDUCED-0.51
XOMEXXONMOBIL CORP.0.055,383625,720UNCHANGED0.00
ZTSZOETIS, INC.0.8159,27110,029,200ADDED0.46
FISERV, INC.0.2620,2123,230,280REDUCED-0.2