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Latest CCM INVESTMENT ADVISERS LLC Stock Portfolio

$836Million

Equity Portfolio Value
Last Reported on: 17 May, 2024

About CCM INVESTMENT ADVISERS LLC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, CCM INVESTMENT ADVISERS LLC reported an equity portfolio of $836.2 Millions as of 31 Mar, 2024.

The top stock holdings of CCM INVESTMENT ADVISERS LLC are NVDA, MSFT, AMZN. The fund has invested 3.8% of it's portfolio in NVIDIA CORP. and 3.4% of portfolio in MICROSOFT CORP.

The fund managers got completely rid off BRISTOL MYERS SQUIBB (BMY), RTX CORP (RTX) and AMERICAN ELECTRIC POWER (AEP) stocks. They significantly reduced their stock positions in CVS HEALTH CORP. (CVS), OMNICOM GROUP INC. (OMC) and TYSON FOODS, INC. (TSN). CCM INVESTMENT ADVISERS LLC opened new stock positions in VERTEX PHARMCTLS INC. (VRTX), EQUINIX INC (EQIX) and EXXON MOBIL CORP. (XOM). The fund showed a lot of confidence in some stocks as they added substantially to ELI LILLY & CO (LLY), NETFLIX INC (NFLX) and PROCTER & GAMBLE (PG).

New Buys

Ticker$ Bought
VERTEX PHARMCTLS INC.12,199,600
EQUINIX INC7,454,380
EXXON MOBIL CORP.209,545

New stocks bought by CCM INVESTMENT ADVISERS LLC

Additions to existing portfolio by CCM INVESTMENT ADVISERS LLC

Reductions

Ticker% Reduced
CVS HEALTH CORP.-97.16
OMNICOM GROUP INC.-93.79
TYSON FOODS, INC.-92.63
REALTY INCOME CORP.-91.6
GILEAD SCIENCES INC.-91.49
ALLSTATE-39.55
STANDARD & POORS DEPOSITORY RE-36.76
TESLA INC.-30.08

CCM INVESTMENT ADVISERS LLC reduced stake in above stock

Sold off

Ticker$ Sold
BRISTOL MYERS SQUIBB-821,469
RTX CORP-357,931
AMERICAN ELECTRIC POWER-261,528

CCM INVESTMENT ADVISERS LLC got rid off the above stocks

Current Stock Holdings of CCM INVESTMENT ADVISERS LLC

Last Reported on: 17 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC.2.66129,79422,257,200REDUCED-1.89
ABBVABBVIE INC.1.9388,39116,096,000REDUCED-5.89
ABTABBOTT LABORATORIES1.75128,52214,607,800ADDED0.23
ACNACCENTURE LTD1.6940,75114,124,700REDUCED-3.51
ADBEADOBE SYSTEMS1.5826,17113,206,400REDUCED-4.25
AEPAMERICAN ELECTRIC POWER0.000.000.00SOLD OFF-100
ALLALLSTATE0.094,134715,223REDUCED-39.55
AMATAPPLIED MATERIALS INC.2.1185,69317,672,600REDUCED-14.95
AMTAMERICAN TOWER CORP.0.2811,7302,317,730REDUCED-29.79
AMZNAMAZON.COM INC.3.18147,66426,635,600REDUCED-5.06
AVGOBROADCOM INC2.6716,87522,367,000REDUCED-16.56
BACBANK OF AMERICA CORP.1.43314,34611,920,000REDUCED-6.48
BKNGBOOKING HOLDINGS INC.2.084,80317,426,500REDUCED-8.9
BMYBRISTOL MYERS SQUIBB0.000.000.00SOLD OFF-100
CATCATERPILLAR INC DEL2.6560,54022,184,000REDUCED-9.5
CBCHUBB LIMITED1.6051,54813,357,900REDUCED-7.72
COFCAPITAL ONE FINANCIAL1.5486,25512,842,600REDUCED-3.83
CRMSALESFORCE INC.2.3364,59819,455,600REDUCED-10.03
CSCOCISCO SYSTEMS1.63273,41813,646,300REDUCED-5.58
CVSCVS HEALTH CORP.0.054,897390,584REDUCED-97.16
CVXCHEVRON CORP.1.2968,16310,752,200ADDED0.44
DALDELTA AIR LINES1.88328,07415,704,900REDUCED-2.64
DISWALT DISNEY CO.1.4196,36111,790,800REDUCED-3.14
DUKDUKE ENERGY CORP.0.2420,4891,981,570REDUCED-7.35
EQIXEQUINIX INC0.899,0327,454,380NEW
ETNEATON CORP.2.5969,35821,687,100REDUCED-23.01
EVREVERCORE INC.1.8379,52615,316,100REDUCED-9.15
FEFIRST ENERGY CORP.1.33287,47311,102,200ADDED6.81
GILDGILEAD SCIENCES INC.0.1112,130888,522REDUCED-91.49
GOOGALPHABET INC. CLASS A3.00166,01925,057,200REDUCED-1.51
HDHOME DEPOT INC.2.3150,41419,339,000REDUCED-4.81
HUMHUMANA INC.0.03736255,185REDUCED-5.76
JBLJABIL CIRCUIT, INC.2.26140,80318,860,600REDUCED-10.51
JPMJ. P. MORGAN2.1790,71918,171,200REDUCED-5.6
LLYELI LILLY & CO1.3614,60511,362,100ADDED1,263
LOWLOWE'S COMPANIES INC.0.092,780708,149REDUCED-5.76
LRCXLAM RESEARCH0.574,9114,771,380REDUCED-20.47
METAMETA PLATFORMS INC.2.6645,73622,208,500ADDED0.36
MPCMARATHON PETE CORP.1.8677,17915,551,700REDUCED-15.54
MRKMERCK & CO.2.00127,02716,761,300REDUCED-6.55
MSFTMICROSOFT CORP.3.3666,80728,107,200REDUCED-4.59
NFLXNETFLIX INC1.9426,75016,246,100ADDED28.43
NKENIKE INC. CL B1.38122,37811,501,100ADDED7.59
NUENUCOR CORP.1.4260,02111,878,300REDUCED-7.23
NVDANVIDIA CORP.3.8135,26831,867,200REDUCED-14.23
NVRNVR INC.0.0330.00242,998UNCHANGED0.00
OREALTY INCOME CORP.0.0711,540624,314REDUCED-91.6
OMCOMNICOM GROUP INC.0.129,958963,536REDUCED-93.79
ORLYO'REILLY AUTOMOTIVE INC.0.128981,013,730REDUCED-23.18
PEPPEPSICO INC.1.3664,80711,342,000ADDED9.8
PGPROCTER & GAMBLE1.3368,31111,083,500ADDED10.78
PLDPROLOGIS INC1.0164,9678,460,000REDUCED-0.94
PSXPHILLIPS 661.5981,28613,277,300REDUCED-14.96
QCOMQUALCOMM INC.0.9647,5168,044,550REDUCED-15.13
RTXRTX CORP0.000.000.00SOLD OFF-100
SHWSHERWIN-WILLIAMS CO.1.6038,49313,369,900REDUCED-5.02
SOSOUTHERN COMPANY1.18138,0079,900,620REDUCED-1.28
SPGSIMON PPTY GROUP0.2513,4402,103,220REDUCED-5.25
SPYSTANDARD & POORS DEPOSITORY RE0.04559292,396REDUCED-36.76
STXSEAGATE TECHNOLOGY HOLDINGS1.47132,40212,320,000REDUCED-2.67
STZCONSTELLATION BRANDS INC-A1.0532,2718,769,970ADDED3.81
TAT&T PFD0.0412,000293,160UNCHANGED0.00
TJXTJX COS. INC.0.5041,2104,179,520REDUCED-16.26
TMOTHERMO FISHER SCIENTIFIC2.0128,87016,779,600REDUCED-2.34
TSLATESLA INC.0.7636,2416,370,800REDUCED-30.08
TSNTYSON FOODS, INC.0.068,260485,109REDUCED-92.63
UNHUNITEDHEALTH GROUP INC.1.8130,66815,171,700REDUCED-3.38
UPSUNITED PARCEL SERVICE1.1765,5899,748,540ADDED2.15
USBUS BANCORP PFD0.0312,000226,200UNCHANGED0.00
VVISA INC.1.8655,81315,576,400REDUCED-6.32
VRTXVERTEX PHARMCTLS INC.1.4629,18512,199,600NEW
WMTWAL MART STORES1.44200,72612,077,700ADDED2.39
XOMEXXON MOBIL CORP.0.031,802209,545NEW
FISERV INC.1.8496,23415,380,200REDUCED-7.07
BERKSHIRE HATHAWAY INC. CL B1.7033,80714,216,500REDUCED-1.03
INVESCO GOLD & SPECIAL MNRLS0.0518,147425,745UNCHANGED0.00
PUBLIC STORAGE PFD0.0312,000257,880UNCHANGED0.00
BANK OF AMERICA PFD0.0310,000206,300UNCHANGED0.00