Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
MICROSOFT CORP | 78,135 | -666 | $32,873 |
MSFT | 78,135 | -666 | $32,873 |
ISHARES CORE S P TOTAL US STOC (ITOT) | 273,332 | -17,480 | $31,515 |
ITOT | 273,332 | -17,480 | $31,515 |
APPLE INC | 154,632 | -4,533 | $26,516 |
AAPL | 154,632 | -4,533 | $26,516 |
NVIDIA CORP | 25,336 | -224 | $22,892 |
NVDA | 25,336 | -224 | $22,892 |
AMAZON.COM INC | 95,955 | -812 | $17,309 |
AMZN | 95,955 | -812 | $17,309 |
META PLATFORMS INC | 23,443 | -191 | $11,383 |
META | 23,443 | -191 | $11,383 |
ALPHABET INC | 62,865 | -548 | $9,488 |
GOOGL | 62,865 | -548 | $9,488 |
ALPHABET INC | 53,418 | -625 | $8,133 |
GOOG | 53,418 | -625 | $8,133 |
BERKSHIRE HATHAWAY INC. | $7,765 | ||
BRK.B | 18,465 | -120 | $7,765 |
ELI LILLY CO | 8,898 | -65 | $6,922 |
LLY | 8,898 | -65 | $6,922 |
JP MORGAN CHASE CO | 30,546 | -315 | $6,118 |
JPM | 30,546 | -315 | $6,118 |
BROADCOM INC | 4,592 | -33 | $6,086 |
AVGO | 4,592 | -33 | $6,086 |
TESLA INC | 29,409 | -224 | $5,170 |
TSLA | 29,409 | -224 | $5,170 |
EXXON MOBIL CORP | 42,317 | -799 | $4,919 |
XOM | 42,317 | -799 | $4,919 |
UNITEDHEALTH GROUP INC | 9,834 | -81 | $4,865 |
UNH | 9,834 | -81 | $4,865 |
VISA INC CLASS A SHARES (V) | 16,848 | -199 | $4,702 |
V | 16,848 | -199 | $4,702 |
FIVE CORNERS FND TR II SERIES 144A | $4,607 | ||
Call | 5,275,000 | +1,000,000 | $4,607 |
MASTERCARD INC | 8,802 | -81 | $4,239 |
MA | 8,802 | -81 | $4,239 |
HOME DEPOT INC | 10,572 | -79 | $4,056 |
HD | 10,572 | -79 | $4,056 |
JOHNSON JOHNSON | 25,574 | -110 | $4,046 |
JNJ | 25,574 | -110 | $4,046 |
PROCTER GAMBLE CO | 24,906 | -199 | $4,041 |
PG | 24,906 | -199 | $4,041 |
MERCK CO INC | 26,906 | -183 | $3,550 |
MRK | 26,906 | -183 | $3,550 |
COSTCO WHOLESALE CORP | 4,699 | -27 | $3,443 |
COST | 4,699 | -27 | $3,443 |
ABBVIE INC | 18,704 | -127 | $3,406 |
ABBV | 18,704 | -127 | $3,406 |
ADVANCED MICRO DEVICES INC | 17,020 | -113 | $3,072 |
AMD | 17,020 | -113 | $3,072 |
SALESFORCE INC COM | 9,982 | -169 | $3,006 |
CRM | 9,982 | -169 | $3,006 |
CHEVRON CORP | 18,339 | -180 | $2,892 |
CVX | 18,339 | -180 | $2,892 |
BANK OF AMERICA CORP | 73,374 | -523 | $2,782 |
BAC | 73,374 | -523 | $2,782 |
NETFLIX INC | 4,546 | -82 | $2,761 |
NFLX | 4,546 | -82 | $2,761 |
WALMART INC | 45,584 | +30,265 | $2,743 |
WMT | 45,584 | +30,265 | $2,743 |
ROYAL BANK OF CANADA | 26,238 | +51 | $2,649 |
RY | 26,238 | +51 | $2,649 |
PEPSICO INC | 14,552 | -97 | $2,547 |
PEP | 14,552 | -97 | $2,547 |
COCA COLA CO THE | 41,531 | -297 | $2,541 |
KO | 41,531 | -297 | $2,541 |
ADOBE SYSTEMS INC | 4,789 | -97 | $2,417 |
ADBE | 4,789 | -97 | $2,417 |
LINDE PLC | 5,127 | -46 | $2,381 |
LIN | 5,127 | -46 | $2,381 |
THERMO FISHER SCIENTIFIC INC | 4,095 | -16 | $2,380 |
TMO | 4,095 | -16 | $2,380 |
WALT DISNEY COMPANY THE | 19,392 | -83 | $2,373 |
DIS | 19,392 | -83 | $2,373 |
ACCENTURE LTD CL A | 6,690 | -40 | $2,319 |
ACN | 6,690 | -40 | $2,319 |
WELLS FARGO COMPANY | 38,211 | -870 | $2,215 |
WFC | 38,211 | -870 | $2,215 |
MCDONALD S CORP | 7,745 | -31 | $2,184 |
MCD | 7,745 | -31 | $2,184 |
CISCO SYSTEMS INC | 42,909 | -307 | $2,142 |
CSCO | 42,909 | -307 | $2,142 |
ABBOTT LABORATORIES | 18,365 | -107 | $2,087 |
ABT | 18,365 | -107 | $2,087 |
ORACLE CORP | 16,547 | -110 | $2,078 |
ORCL | 16,547 | -110 | $2,078 |
GENERAL ELECTRIC CO | 11,478 | -86 | $2,015 |
GE | 11,478 | -86 | $2,015 |
QUALCOMM INC | 11,852 | -64 | $2,006 |
QCOM | 11,852 | -64 | $2,006 |
CATERPILLER INC | 5,401 | -51 | $1,979 |
CAT | 5,401 | -51 | $1,979 |
INTEL CORP | 44,639 | -368 | $1,972 |
INTC | 44,639 | -368 | $1,972 |
UBS GROUP AG | 61,655 | -205 | $1,898 |
UBS | 61,655 | -205 | $1,898 |
INTUIT INC | 2,913 | -14 | $1,894 |
INTU | 2,913 | -14 | $1,894 |
VERIZON COMMUNICATIONS | 44,505 | -419 | $1,867 |
VZ | 44,505 | -419 | $1,867 |
See Full List: All Stocks Held By Cigna Investments Inc. New
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Cigna Investments Inc. New
Size ($ in 1000's)
At 03/31/2024: $531,443 At 12/31/2023: $486,383 Combined Holding Report Includes:
Cigna Investments Inc. New holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Cigna Investments Inc. New 13F filings. Link to 13F filings: SEC filings |