Ticker | $ Bought |
---|---|
rtx corporation | 23,349,800 |
abbvie inc | 16,482,900 |
ollies bargain outlet holdings | 12,547,100 |
atlassian corporation cl a | 10,952,600 |
alkami technology inc | 9,178,840 |
cisco systems inc | 8,804,660 |
kyndryl holdings inc common st | 7,144,600 |
intl business machines | 1,026,220 |
Ticker | % Inc. |
---|---|
vanguard mid-cap etf | 52.82 |
sherwin williams co | 46.2 |
corcept therapeutics inc | 23.69 |
encompass health corp | 17.44 |
vanguard s&p 500 etf | 14.54 |
goldman sachs group inc | 14.31 |
tg therapeutics inc | 13.51 |
mcdonalds corp | 12.91 |
Ticker | % Reduced |
---|---|
dycom industries inc | -95.37 |
verra mobility corp cl a stoc | -83.26 |
draftkings inc cl a | -74.99 |
thermo fisher scientific inc | -59.64 |
arista networks inc | -47.6 |
celsius holdings inc new | -43.86 |
uber technologies inc | -39.11 |
new york times co cl a | -37.27 |
Ticker | $ Sold |
---|---|
onto innovation inc | -18,189,700 |
manhattan associates inc | -25,216,400 |
marriott intl inc cl a | -23,958,200 |
danaher corporation | -19,423,600 |
eaton corp plc | -16,830,500 |
morgan stanley | -4,452,880 |
lamar advertising co cl a | -245,306 |
consumer discretionary select | -220,536 |
BRAUN STACEY ASSOCIATES INC has about 27.9% of it's holdings in Technology sector.
Sector | % |
---|---|
Technology | 27.9 |
Financial Services | 12 |
Healthcare | 11.6 |
Consumer Cyclical | 9 |
Communication Services | 7.9 |
Others | 7.4 |
Industrials | 7.4 |
Consumer Defensive | 6.6 |
Energy | 3.7 |
Utilities | 2.9 |
Real Estate | 2.3 |
Basic Materials | 1.3 |
BRAUN STACEY ASSOCIATES INC has about 81.9% of it's portfolio invested in the large-cap and mega-cap stocks.
Category | % |
---|---|
MEGA-CAP | 43.1 |
LARGE-CAP | 38.8 |
MID-CAP | 10.2 |
UNALLOCATED | 7.9 |
About 84.3% of the stocks held by BRAUN STACEY ASSOCIATES INC either belong to S&P 500 or RUSSELL 2000 index.
Index | % |
---|---|
S&P 500 | 76.7 |
Others | 15.8 |
RUSSELL 2000 | 7.6 |
This heatmap illustrates the top 50 positions within the fund's portfolio.
BRAUN STACEY ASSOCIATES INC has 116 stocks in it's portfolio. About 31.9% of the portfolio is in top 10 stocks. NVDA proved to be the most loss making stock for the portfolio. CORT was the most profitable stock for BRAUN STACEY ASSOCIATES INC last quarter.
Last Reported on: 29 Apr, 2025Ticker | Namesorted descending | % Portfolio | Shares Held | $ Value | Type | % Change | Options | |
---|---|---|---|---|---|---|---|---|
AAPL | apple inc | 5.65 | 622,396 | 138,253,000 | reduced | -1.43 | ||
Historical Trend of APPLE INC Position Held By BRAUN STACEY ASSOCIATES INCWhat % of Portfolio is AAPL?:Number of AAPL shares held:Change in No. of Shares Held: | ||||||||
NVDA | nvidia corporation | 5.22 | 1,176,980 | 127,561,000 | reduced | -0.77 | ||
MSFT | microsoft corp | 4.99 | 324,854 | 121,947,000 | reduced | -0.93 | ||
AMZN | amazon.com inc | 3.64 | 467,771 | 88,998,100 | reduced | -4.75 | ||
META | meta platforms inc cl a | 3.02 | 127,942 | 73,740,600 | reduced | -0.22 | ||
GOOG | alphabet inc cap stock cl a | 2.09 | 330,232 | 51,067,100 | reduced | -0.99 | ||
JPM | jpmorgan chase & co | 1.90 | 189,649 | 46,520,900 | reduced | -3.02 | ||
HWM | howmet aerospace inc | 1.86 | 350,162 | 45,426,500 | reduced | -3.15 | ||
XOM | exxon mobile corp | 1.86 | 381,813 | 45,409,000 | reduced | -1.38 | ||
CORT | corcept therapeutics inc | 1.71 | 366,619 | 41,875,200 | added | 23.69 | ||
berkshire hathaway inc cl b ne | 1.70 | 78,220 | 41,658,400 | added | 2.48 | |||
LLY | eli lilly & co | 1.70 | 50,323 | 41,562,300 | reduced | -3.33 | ||
AVGO | broadcom inc | 1.70 | 248,050 | 41,531,000 | added | 1.08 | ||
APP | applovin corp cl a | 1.49 | 137,735 | 36,495,600 | reduced | -25.5 | ||
WELL | welltower inc | 1.47 | 234,401 | 35,912,600 | reduced | -5.63 | ||
MA | mastercard incorporated cl a | 1.44 | 64,345 | 35,268,800 | reduced | -2.14 | ||
TMUS | t-mobile us inc | 1.44 | 132,211 | 35,262,000 | reduced | -5.46 | ||
TRV | travelers companies inc | 1.29 | 119,652 | 31,643,200 | added | 6.63 | ||
GOOG | alphabet inc cap stock cl c | 1.27 | 198,163 | 30,959,000 | reduced | -6.1 | ||
WFC | wells fargo co | 1.23 | 417,280 | 29,956,500 | added | 1.8 | ||