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Latest EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC Stock Portfolio

$753Million

Equity Portfolio Value
Last Reported on: 12 Feb, 2024

About EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC reported an equity portfolio of $753.9 Millions as of 31 Dec, 2023.

The top stock holdings of EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC are , , PYPL. The fund has invested 4.3% of it's portfolio in BERKSHIRE HATHAWAY INC DEL and 4% of portfolio in BROOKFIELD CORP.

The fund managers got completely rid off FORTREA HLDGS INC, ALTRIA GROUP INC (MO) and NIKE INC (NKE) stocks. They significantly reduced their stock positions in ISHARES TR (AGG), MICROSOFT CORP (MSFT) and MCKESSON CORP (MCK). EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC opened new stock positions in ISHARES TR (AGG), SELECT SECTOR SPDR TR (XLB) and HONEYWELL INTL INC (HON). The fund showed a lot of confidence in some stocks as they added substantially to CARMAX INC (KMX), PAYPAL HLDGS INC (PYPL) and ZIMMER BIOMET HOLDINGS INC (ZBH).

New Buys

Ticker$ Bought
ISHARES TR221,000
SELECT SECTOR SPDR TR213,000
CATERPILLAR INC208,000
HONEYWELL INTL INC208,000

New stocks bought by EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC

Additions

Ticker% Inc.
CARMAX INC46.33
PAYPAL HLDGS INC41.77
ZIMMER BIOMET HOLDINGS INC18.28
MEDTRONIC PLC12.29
INVESCO QQQ TR10.27
KENVUE INC10.25
BOEING CO5.37
APPLE INC3.34

Additions to existing portfolio by EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC

Reductions

Ticker% Reduced
ISHARES TR-64.21
MICROSOFT CORP-26.05
MCKESSON CORP-18.32
AMERICAN INTL GROUP INC-15.21
CISCO SYS INC-6.14
ISHARES TR-5.39
ALPHABET INC-4.07
CHEVRON CORP NEW-3.29

EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC reduced stake in above stock

Sold off

Ticker$ Sold
FORTREA HLDGS INC-1,717,000
ALTRIA GROUP INC-272,000
NIKE INC-247,000

EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC got rid off the above stocks

Current Stock Holdings of EUBEL BRADY & SUTTMAN ASSET MANAGEMENT INC

Last Reported on: 12 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC0.186,9851,345,000ADDED3.34
AAXJISHARES TR1.05154,9427,945,000REDUCED-0.37
ABCCENCORA INC2.3486,03017,669,000REDUCED-0.5
ABNBAIRBNB INC0.726,000,0005,389,000UNCHANGED0.00
ABTABBOTT LABS0.096,115673,000UNCHANGED0.00
AFKVANECK ETF TRUST0.8474,2576,302,000ADDED0.95
AGGISHARES TR0.123,339925,000REDUCED-1.21
AGGISHARES TR0.106,743730,000REDUCED-5.39
AGGISHARES TR0.05781373,000REDUCED-64.21
AGGISHARES TR0.044,000303,000UNCHANGED0.00
AGGISHARES TR0.032,120221,000NEW
AIGAMERICAN INTL GROUP INC2.24249,64016,913,000REDUCED-15.21
AMEDAMEDISYS INC0.032,588246,000UNCHANGED0.00
BABOEING CO0.071,963512,000ADDED5.37
BKBANK NEW YORK MELLON CORP0.079,493494,000REDUCED-0.26
BSYBENTLEY SYS INC0.665,000,0004,941,000UNCHANGED0.00
CCITIGROUP INC1.64239,84212,337,000REDUCED-1.83
CATCATERPILLAR INC0.03704208,000NEW
CEIXCONSOL ENERGY INC NEW1.2594,1229,462,000REDUCED-0.59
CHGGCHEGG INC0.373,000,0002,762,000UNCHANGED0.00
CHGGCHEGG INC0.333,000,0002,490,000UNCHANGED0.00
CNXCNX RES CORP1.50564,65411,293,000ADDED0.47
COFCAPITAL ONE FINL CORP0.179,9041,299,000UNCHANGED0.00
CSCOCISCO SYS INC3.11464,61423,472,000REDUCED-6.14
CVXCHEVRON CORP NEW0.094,611688,000REDUCED-3.29
DISDISNEY WALT CO3.29275,06324,835,000ADDED0.4
DISHDISH NETWORK CORPORATION0.334,000,0002,480,000UNCHANGED0.00
DISHDISH NETWORK CORPORATION0.262,000,0001,980,000UNCHANGED0.00
DOCUDOCUSIGN INC0.796,000,0005,970,000UNCHANGED0.00
EMREMERSON ELEC CO0.107,546734,000REDUCED-1.2
ENVENVESTNET INC0.685,500,0005,121,000UNCHANGED0.00
ETSYETSY INC2.91270,89321,956,000ADDED0.94
ETSYETSY INC0.424,000,0003,202,000UNCHANGED0.00
ETSYETSY INC0.343,000,0002,552,000UNCHANGED0.00
FFORD MTR CO DEL0.665,000,0004,975,000UNCHANGED0.00
FTVFORTIVE CORP2.46251,69918,533,000ADDED1.38
GEGENERAL ELECTRIC CO0.042,103268,000REDUCED-1.73
GOOGALPHABET INC3.66197,29227,560,000REDUCED-2.02
GOOGALPHABET INC0.126,577927,000REDUCED-4.07
GSGOLDMAN SACHS GROUP INC2.7854,22520,918,000ADDED0.52
GWREGUIDEWIRE SOFTWARE INC0.735,000,0005,483,000UNCHANGED0.00
HDHOME DEPOT INC0.04873303,000UNCHANGED0.00
HONHONEYWELL INTL INC0.03990208,000NEW
IFFINTERNATIONAL FLAVORS&FRAGRA3.56331,20426,818,000REDUCED-0.71
JBTJOHN BEAN TECHNOLOGIES CORP0.605,000,0004,512,000UNCHANGED0.00
JCIJOHNSON CTLS INTL PLC0.0810,766621,000REDUCED-0.36
JNJJOHNSON & JOHNSON2.18104,98816,456,000ADDED0.07
JPMJPMORGAN CHASE & CO0.135,8921,002,000REDUCED-1.02
KMXCARMAX INC3.33327,51925,134,000ADDED46.33
KRKROGER CO2.10346,46315,837,000ADDED0.74
LLOEWS CORP2.96320,78422,323,000REDUCED-0.93
LHLABORATORY CORP AMER HLDGS2.0367,28115,292,000ADDED1.34
LMTLOCKHEED MARTIN CORP2.4440,64018,420,000ADDED0.96
LNCLINCOLN NATL CORP IND0.0615,673423,000UNCHANGED0.00
MAMASTERCARD INCORPORATED0.03577246,000UNCHANGED0.00
MCDMCDONALDS CORP0.061,657491,000REDUCED-2.41
MCKMCKESSON CORP1.7127,83712,888,000REDUCED-18.32
MDTMEDTRONIC PLC3.68336,79927,746,000ADDED12.29
MOALTRIA GROUP INC0.000.000.00SOLD OFF-100
MRKMERCK & CO INC0.074,758519,000ADDED2.28
MSFTMICROSOFT CORP2.9158,34121,938,000REDUCED-26.05
NKENIKE INC0.000.000.00SOLD OFF-100
NVDANVIDIA CORPORATION0.04579287,000UNCHANGED0.00
PATKPATRICK INDS INC0.755,000,0005,675,000UNCHANGED0.00
PEPPEPSICO INC0.052,409409,000UNCHANGED0.00
PGPROCTER AND GAMBLE CO0.136,800996,000ADDED0.01
PMPHILIP MORRIS INTL INC0.032,630247,000ADDED0.31
PRKPARK NATL CORP0.4022,8233,032,000UNCHANGED0.00
PSECPROSPECT CAP CORP0.433,272,0003,262,000UNCHANGED0.00
PYPLPAYPAL HLDGS INC3.71454,90327,936,000ADDED41.77
QQQINVESCO QQQ TR0.04773317,000ADDED10.27
RWTREDWOOD TRUST INC0.655,000,0004,900,000UNCHANGED0.00
SFBSSERVISFIRST BANCSHARES INC0.2932,9502,195,000UNCHANGED0.00
SHELSHELL PLC0.033,222212,000UNCHANGED0.00
TRIPTRIPADVISOR INC0.706,000,0005,258,000UNCHANGED0.00
UNHUNITEDHEALTH GROUP INC0.05719379,000UNCHANGED0.00
UNPUNION PAC CORP0.051,557382,000UNCHANGED0.00
VIGVANGUARD SPECIALIZED FUNDS0.135,660964,000UNCHANGED0.00
VNTVONTIER CORPORATION3.21699,60424,171,000REDUCED-0.53
WBAWALGREENS BOOTS ALLIANCE INC2.64762,61619,912,000REDUCED-2.61
WBDWARNER BROS DISCOVERY INC3.222,132,74024,271,000REDUCED-0.16
WFCWELLS FARGO CO NEW2.82431,64221,245,000ADDED0.2
WMWASTE MGMT INC DEL0.041,654296,000ADDED0.18
XLBSELECT SECTOR SPDR TR0.035,665213,000NEW
XOMEXXON MOBIL CORP0.096,639664,000UNCHANGED0.00
ZBHZIMMER BIOMET HOLDINGS INC3.62224,36027,305,000ADDED18.28
BERKSHIRE HATHAWAY INC DEL4.3391,45532,618,000ADDED0.42
BROOKFIELD CORP4.05760,35430,505,000ADDED0.04
KENVUE INC2.68937,09020,176,000ADDED10.25
SPOTIFY USA INC0.706,000,0005,280,000UNCHANGED0.00
ARES CAPITAL CORP0.272,000,0002,059,000UNCHANGED0.00
VITESSE ENERGY INC0.1448,7191,066,000REDUCED-1.51
FORTREA HLDGS INC0.000.000.00SOLD OFF-100