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Latest Columbia Asset Management Stock Portfolio

$493Million

Equity Portfolio Value
Last Reported on: 09 Feb, 2024

About Columbia Asset Management and it’s 13F Hedge Fund Stock Holdings

Columbia Asset Management is a hedge fund based in Ann Arbor, MI. On 06-Apr-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $794.8 Millions. In it's latest 13F Holdings report, Columbia Asset Management reported an equity portfolio of $493.2 Millions as of 31 Dec, 2023.

The top stock holdings of Columbia Asset Management are AAPL, MSFT, ERIE. The fund has invested 9.3% of it's portfolio in APPLE COMPUTER INC and 7.5% of portfolio in MICROSOFT CORP.

The fund managers got completely rid off KINDER MORGAN INC (KMI), META PLATFORMS INC CLASS A (META) and KELLOGG COMPANY (K) stocks. They significantly reduced their stock positions in FORD MOTOR COMPANY (GD), F D X CORPORATION (FDX) and STANLEY WORKS (SWK). Columbia Asset Management opened new stock positions in SEALED AIR CORP NEW (SEE), ENPHASE ENERGY INC (ENPH) and ROWE T PRICE GROUP INC (TROW). The fund showed a lot of confidence in some stocks as they added substantially to CLOROX COMPANY (CLX), JPMORGAN EQUITY PREMIUM INCOME ETF (BBAX) and TARGET CORPORATION (TGT).

New Buys

Ticker$ Bought
SEALED AIR CORP NEW1,447,000
ENPHASE ENERGY INC897,000
ROWE T PRICE GROUP INC274,000
WATERS CORP232,000
INVESCO NASDAQ 100 ETF229,000
VERTEX PHARMACEUTICALS218,000

New stocks bought by Columbia Asset Management

Additions

Ticker% Inc.
CLOROX COMPANY77.44
JPMORGAN EQUITY PREMIUM INCOME ETF20.00
TARGET CORPORATION14.45
EXPEDIA INC11.98
MEDTRONIC INC10.4
SONOS INC9.82
COLGATE-PALMOLIVE CO9.09
THE CHARLES SCHWAB CORP8.1

Additions to existing portfolio by Columbia Asset Management

Reductions

Ticker% Reduced
FORD MOTOR COMPANY-57.97
F D X CORPORATION-41.1
STANLEY WORKS-39.09
AIR PROD & CHEMICALS INC-31.52
MOHAWK INDUSTRIES INC-25.00
WALGREENS BOOTS ALLIANC-23.04
AIRBNB INC-20.29
COMERICA INCORPORATED-19.08

Columbia Asset Management reduced stake in above stock

Sold off


Columbia Asset Management got rid off the above stocks

Current Stock Holdings of Columbia Asset Management

Last Reported on: 09 Feb, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE COMPUTER INC9.34239,37346,087,000REDUCED-2.17
ABBVABBVIE INC1.2740,3656,255,000REDUCED-0.18
ABNBAIRBNB INC0.082,769377,000REDUCED-20.29
ABTABBOTT LABORATORIES0.135,641621,000UNCHANGED0.00
ADBEADOBE SYSTEMS INC1.9115,7829,416,000REDUCED-2.08
ADPAUTO DATA PROCESSING0.091,804420,000UNCHANGED0.00
AEPAMER ELECTRIC PWR CO INC0.148,786714,000ADDED1.48
AGGISHARES RUSSELL MIDCAP0.1711,063860,000ADDED0.02
AGGISHARES CORE S&P0.08803384,000UNCHANGED0.00
AGGISHARES TR RUSSELL0.05810246,000UNCHANGED0.00
AGGISHARES RUSSELL 1000 VAL0.051,435237,000UNCHANGED0.00
AMGNAMGEN INCORPORATED1.2421,1696,097,000REDUCED-0.01
AMTAMERN TOWER CORP CLASS A0.224,9751,074,000ADDED2.66
AMZNAMAZON COM INC2.9896,62414,681,000REDUCED-1.67
APDAIR PROD & CHEMICALS INC0.264,7581,303,000REDUCED-31.52
ASMLASML HOLDING NV0.362,3531,781,000REDUCED-7.36
AVGOBROADCOM INC1.777,8268,736,000REDUCED-4.09
AXPAMERICAN EXPRESS COMPANY0.5113,5392,536,000ADDED0.85
AZNASTRAZENECA PLC ADR0.129,094612,000REDUCED-4.28
BABOEING CO0.112,007523,000REDUCED-0.25
BABINVESCO NASDAQ 100 ETF0.051,360229,000NEW
BACBANK OF AMERICA CORP0.2029,664999,000REDUCED-12.88
BBAXJPMORGAN EQUITY PREMIUM INCOME ETF0.076,000330,000ADDED20.00
BGLDMORGAN J P & CO INC1.4541,9107,129,000REDUCED-0.83
BGLDFIRST TRUST INTERNET0.082,110394,000UNCHANGED0.00
BGRYW1/100 BERKSHIRE HTWY CLA0.222001,085,000UNCHANGED0.00
BKBANK OF NEW YORK CO INC0.2725,6451,335,000ADDED1.38
BLKBLACKROCK INC0.231,3821,122,000REDUCED-13.52
BMYBRISTOL-MYERS SQUIBB CO0.076,690343,000REDUCED-0.59
BPBP AMOCO PLC ADR0.74102,3603,624,000REDUCED-0.65
CCITIGROUP INC0.3836,8161,894,000REDUCED-14.07
CARRCARRIER GLOBAL CORP0.1412,003690,000UNCHANGED0.00
CATCATERPILLAR INC1.1218,7595,546,000REDUCED-1.08
CBCHUBB CORPORATION0.153,320750,000REDUCED-1.95
CICIGNA CORP0.132,079623,000REDUCED-0.34
CLCOLGATE-PALMOLIVE CO0.084,800383,000ADDED9.09
CLXCLOROX COMPANY0.165,545791,000ADDED77.44
CMACOMERICA INCORPORATED0.1210,606592,000REDUCED-19.08
CMCSACOMCAST CORP NEW CL A0.1010,678468,000ADDED7.83
COSTCOSTCO WHSL CORP NEW0.604,4462,935,000ADDED1.14
CSCOCISCO SYSTEMS INC1.15112,5755,687,000REDUCED-2.2
CVSC V S CORP DEL0.3018,9971,500,000ADDED2.85
CVXCHEVRON1.0334,2215,104,000ADDED2.85
DALDEERE & CO0.8510,5114,203,000ADDED0.39
DDOGDATADOG INC0.073,050370,000REDUCED-2.4
DECKDECKERS OUTDOOR CORP0.795,8383,902,000REDUCED-1.6
DEODIAGEO PLC NEW ADR0.123,923571,000REDUCED-7.1
DISDISNEY WALT HLDG CO0.8244,9174,056,000REDUCED-8.23
DOWDOW CHEMICAL COMPANY0.2926,2221,438,000ADDED1.81
DTED T E ENERGY COMPANY0.3113,8151,523,000REDUCED-14.92
DUKDUKE ENERGY CORPORATION0.2713,7091,330,000REDUCED-4.74
EDCONSOLIDATED EDISON INC0.052,645241,000UNCHANGED0.00
EMREMERSON ELECTRIC CO0.2110,4891,021,000REDUCED-6.66
ENPHENPHASE ENERGY INC0.186,785897,000NEW
ERIEERIE INDEMNITY CO CL A6.1189,97830,136,000REDUCED-8.61
ETNEATON CORPORATION0.091,748421,000UNCHANGED0.00
EXPEEXPEDIA INC0.227,0101,064,000ADDED11.98
FDXF D X CORPORATION0.081,522385,000REDUCED-41.1
GDFORD MOTOR COMPANY0.5659,4602,754,000REDUCED-57.97
GEGENERAL ELECTRIC COMPANY0.093,348427,000UNCHANGED0.00
GILDGILEAD SCIENCES INC0.063,910317,000ADDED1.3
GISGENERAL MILLS INC0.3728,2051,837,000ADDED1.53
GLDSTREETRACKS GOLD TRUST0.153,841734,000UNCHANGED0.00
GLWCORNING INC0.0915,004457,000REDUCED-3.22
GOOGALPHABET INC CLASS A2.5489,75312,538,000REDUCED-2.37
GOOGALPHABET INC CLASS C1.1339,4145,555,000REDUCED-0.83
GPCGENUINE PARTS CO0.155,262729,000UNCHANGED0.00
GSGOLDMAN SACHS GROUP INC0.172,120818,000UNCHANGED0.00
GSKGLAXOSMITHKLINE0.068,330309,000REDUCED-16.37
HDHOME DEPOT INC1.2517,8426,183,000REDUCED-2.74
HONHONEYWELL INTERNATIONAL0.6515,3903,227,000REDUCED-1.45
HSYHERSHEY COMPANY0.102,535473,000UNCHANGED0.00
IBCEISHARES CORE MSCI EAFE0.1611,155785,000REDUCED-13.22
IBMINTL BUSINESS MACHINES1.4343,0837,046,000ADDED0.77
INTCINTEL CORP1.17114,9945,778,000REDUCED-1.82
INTUINTUIT INC0.08600375,000UNCHANGED0.00
IRMIRON MOUNTAIN INC NEW0.1812,564879,000REDUCED-6.46
ITWILLINOIS TOOL WORKS INC0.468,7242,285,000ADDED0.17
JNJJOHNSON & JOHNSON1.8458,0559,100,000REDUCED-0.93
KKELLOGG COMPANY0.000.000.00SOLD OFF-100
KMBKIMBERLY-CLARK CORP0.072,960360,000REDUCED-1.5
KMIKINDER MORGAN INC0.000.000.00SOLD OFF-100
KOCOCA COLA COMPANY0.9881,7484,817,000REDUCED-2.31
LLYLILLY ELI & COMPANY1.079,0505,275,000ADDED2.81
LOWLOWES COMPANIES INC0.071,538342,000REDUCED-12.36
LRCXLAM RESEARCH CORPORATION0.07450352,000ADDED2.27
LULULULULEMON ATHLETICA INC0.989,4734,843,000REDUCED-2.44
MARMARRIOTT INTL INC CL A0.051,075242,000UNCHANGED0.00
MASMASCO CORP0.075,000335,000UNCHANGED0.00
MCDMC DONALDS CORP1.1519,1275,671,000REDUCED-1.19
MCHPMICROCHIP TECHNOLOGY INC0.147,660691,000UNCHANGED0.00
MDLZMONDELEZ INTL INC CL A0.2013,8421,003,000UNCHANGED0.00
MDTMEDTRONIC INC0.5532,9402,714,000ADDED10.4
METAMETA PLATFORMS INC CLASS A0.000.000.00SOLD OFF-100
MHKMOHAWK INDUSTRIES INC0.083,900404,000REDUCED-25.00
MMMMINNESOTA MINING & MFG0.6328,3203,096,000REDUCED-10.21
MOALTRIA (PHILLIP MORRIS)0.1215,080608,000REDUCED-7.94
MRKMERCK & CO INC3.10140,02015,265,000REDUCED-0.91
MSFTMICROSOFT CORP7.5298,56037,062,000REDUCED-0.82
MTDMETTLER TOLEDO INTL INCF0.09375455,000UNCHANGED0.00
MUMICRON TECHNOLOGY INC0.074,055346,000REDUCED-10.98
NFGNESTLE S A REG B ADR0.083,322384,000REDUCED-2.21
NFLXNETFLIX INC0.323,2701,592,000REDUCED-1.21
NKENIKE INC CLASS B1.8383,0329,015,000REDUCED-1.34
NVDANVIDIA CORP0.201,982981,000ADDED1.02
ODFLOLD DOMINION FREIGHT0.141,735703,000UNCHANGED0.00
OLEDUNIVERSAL DISPLAY CORP0.051,308250,000UNCHANGED0.00
ORCLORACLE CORPORATION0.167,550796,000UNCHANGED0.00
ORLYO REILLY AUTOMOTIVE NEW0.15775736,000UNCHANGED0.00
PEPPEPSICO INCORPORATED0.8725,1664,274,000REDUCED-0.26
PFEPFIZER INCORPORATED0.87148,3934,272,000REDUCED-9.58
PGPROCTER & GAMBLE CO1.3946,8696,868,000REDUCED-1.45
PMPHILIP MORRIS INTL INC0.126,100574,000REDUCED-1.21
PSAPUBLIC STORAGE0.264,1801,275,000REDUCED-6.9
PSXPHILLIPS0.051,878250,000UNCHANGED0.00
PYPLPAYPAL HOLDINGS INCO0.086,434395,000REDUCED-17.49
QCOMQUALCOMM INC0.5619,1602,771,000ADDED0.66
QQQNASDAQ 100 SHARES0.06721295,000ADDED5.87
QTECFIRST TST NASDAQ0.061,800316,000UNCHANGED0.00
RACEFERRARI N V0.101,400474,000UNCHANGED0.00
REGNREGENERON PHARMS INC0.05295259,000REDUCED-9.23
RIORIO TINTO ADR0.2616,9961,265,000REDUCED-17.36
SBUXSTARBUCKS CORP1.7690,2948,669,000REDUCED-1.03
SCHWTHE CHARLES SCHWAB CORP0.2417,4261,199,000ADDED8.1
SEESEALED AIR CORP NEW0.2939,6201,447,000NEW
SHELSHELL PLC ADR0.6447,9373,154,000ADDED0.71
SHWSHERWIN WILLIAMS CO0.223,5431,105,000REDUCED-7.93
SOTHE SOUTHERN COMPANY0.1812,818899,000REDUCED-6.02
SOFISONOS INC0.0411,185192,000ADDED9.82
SONYSONY GROUP CORP0.4222,0752,090,000REDUCED-10.9
SPYS P D R TRUST UNIT SR1.4214,7807,025,000REDUCED-5.54
SWKSTANLEY WORKS0.115,375527,000REDUCED-39.09
SYKSTRYKER CORP1.0116,6634,990,000ADDED0.03
SYYSYSCO CORPORATION0.053,600263,000UNCHANGED0.00
TAT&T INC0.42122,8502,061,000REDUCED-1.69
TGTTARGET CORPORATION0.9532,9454,692,000ADDED14.45
TJXT J X COS INC0.062,922274,000REDUCED-7.88
TROWROWE T PRICE GROUP INC0.062,545274,000NEW
TSLATESLA MOTORS INC0.163,216799,000REDUCED-0.89
TXNTEXAS INSTRUMENTS INC0.051,373234,000REDUCED-5.18
ULUNILEVER PLC ADR NEW0.2019,845962,000ADDED2.72
UNHUNITEDHEALTH GROUP INC0.08724381,000REDUCED-14.12
UNPUNION PACIFIC CORP1.2224,5836,038,000REDUCED-2.3
UPSUNITED PARCEL SERVICE B0.9830,6904,825,000REDUCED-9.06
USBU S BANCORP DEL NEW0.5157,6672,496,000REDUCED-10.62
VVISA3.1259,18215,408,000REDUCED-0.53
VAWVANGUARD HEALTH CARE0.05900226,000UNCHANGED0.00
VEUVANGUARD EMERGING MARKET0.1213,926572,000ADDED2.15
VIGVANGUARD DIV APPREC ETF0.7020,1913,441,000ADDED2.87
VOOVANGUARD MID CAP0.479,9282,310,000REDUCED-6.32
VOOVANGUARD SMALL CAP0.4510,3812,215,000REDUCED-6.78
VOOVANGUARD SHORT-TERM BOND ETF0.4425,5772,185,000UNCHANGED0.00
VOOVANGUARD GROWTH0.335,2081,619,000REDUCED-9.63
VOOVANGUARD SMALL-CAP VALUE ETF0.051,408253,000UNCHANGED0.00
VRTXVERTEX PHARMACEUTICALS0.04537218,000NEW
VXUSVANGUARD TOTAL INTL ETF0.3227,0071,565,000ADDED1.24
VZVERIZON0.89116,0734,376,000ADDED6.97
WATWATERS CORP0.05705232,000NEW
WBAWALGREENS BOOTS ALLIANC0.2242,5251,110,000REDUCED-23.04
WMWASTE MANAGEMENT0.349,3291,671,000UNCHANGED0.00
WMTWAL-MART STORES INC0.092,846449,000UNCHANGED0.00
WPCW P CAREY & CO L L C0.075,125332,000REDUCED-17.74
YETIYETI HOLDINGS INCORPORAT0.1413,605704,000REDUCED-0.37
BERKSHIRE HATHAWAY CL B2.7738,28213,654,000REDUCED-1.28
KRAFT HEINZ COMPANY0.2533,3321,233,000REDUCED-6.78
CR SUISSE ASSET MGMT FD0.0340,000125,000UNCHANGED0.00
PUTNAM PREMIER INC TR0.0120,00071,000UNCHANGED0.00