Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
Nvidia Corp | 129,208 | -33,140 | $116,747 |
NVDA | 129,208 | -33,140 | $116,747 |
Microsoft | 196,118 | +158 | $82,511 |
MSFT | 196,118 | +158 | $82,511 |
SPDR S&P 500 ETF (SPY) | 155,604 | -2,021 | $81,392 |
SPY | 155,604 | -2,021 | $81,392 |
Apple Inc | 452,257 | +3,629 | $77,553 |
AAPL | 452,257 | +3,629 | $77,553 |
Amazon | 357,318 | +4,458 | $64,453 |
AMZN | 357,318 | +4,458 | $64,453 |
Alphabet Inc. Class A | 310,068 | +1,182 | $46,799 |
GOOGL | 310,068 | +1,182 | $46,799 |
Costco Wholesale Co | 58,511 | -387 | $42,867 |
COST | 58,511 | -387 | $42,867 |
JPMorgan Chase | 213,593 | +2,259 | $42,783 |
JPM | 213,593 | +2,259 | $42,783 |
Blackstone Group Inc | 302,249 | -1,965 | $39,706 |
BX | 302,249 | -1,965 | $39,706 |
Merck & Co. Inc. | 292,384 | +1,777 | $38,580 |
MRK | 292,384 | +1,777 | $38,580 |
Vulcan Materials | 140,815 | -441 | $38,431 |
VMC | 140,815 | -441 | $38,431 |
Accenture PLC Class A | 108,997 | +1,132 | $37,780 |
ACN | 108,997 | +1,132 | $37,780 |
Salesforce | 113,820 | +215 | $34,280 |
CRM | 113,820 | +215 | $34,280 |
Vanguard Short Term Cor BD ETF (VCSH) | 407,349 | -12,503 | $31,492 |
VCSH | 407,349 | -12,503 | $31,492 |
Thermo Fisher Scientific | 53,657 | +670 | $31,186 |
TMO | 53,657 | +670 | $31,186 |
Iqvia Holdings Inc | 118,684 | +707 | $30,014 |
IQV | 118,684 | +707 | $30,014 |
McDonald s | 105,384 | +636 | $29,713 |
MCD | 105,384 | +636 | $29,713 |
Visa Inc Class A | 105,418 | +1,020 | $29,420 |
V | 105,418 | +1,020 | $29,420 |
Intercontinental Exc | 212,295 | +1,955 | $29,176 |
ICE | 212,295 | +1,955 | $29,176 |
Graphic Packaging HL | 993,158 | +17,452 | $28,980 |
GPK | 993,158 | +17,452 | $28,980 |
Leidos Holdings Inc | 216,803 | +2,465 | $28,421 |
LDOS | 216,803 | +2,465 | $28,421 |
Fedex Corp | 96,577 | +1,100 | $27,982 |
FDX | 96,577 | +1,100 | $27,982 |
iShares US Technology ETF (IYW) | 204,293 | -4,239 | $27,592 |
IYW | 204,293 | -4,239 | $27,592 |
Coca Cola | 391,881 | +7,389 | $23,975 |
KO | 391,881 | +7,389 | $23,975 |
SPDR S&P Biotech ETF (XBI) | 229,655 | +5,431 | $21,792 |
XBI | 229,655 | +5,431 | $21,792 |
Aptargroup Inc | 130,889 | +1,269 | $18,834 |
ATR | 130,889 | +1,269 | $18,834 |
SPDR S&P Aerospace Def ETF (XAR) | 129,650 | +129,650 | $18,217 |
XAR | 129,650 | +129,650 | $18,217 |
Nextera Energy Inc | 282,265 | +8,825 | $18,040 |
NEE | 282,265 | +8,825 | $18,040 |
Palo Alto Networks | 62,751 | +62,751 | $17,829 |
PANW | 62,751 | +62,751 | $17,829 |
Hershey Company | 88,864 | +2,145 | $17,284 |
HSY | 88,864 | +2,145 | $17,284 |
Zoetis Inc Class A | 102,059 | +1,732 | $17,269 |
ZTS | 102,059 | +1,732 | $17,269 |
Alphabet Inc. Class C | 63,696 | -1,490 | $9,698 |
GOOG | 63,696 | -1,490 | $9,698 |
SPDR Select Sector Health Care ETF (XLV) | 51,738 | -412 | $7,643 |
XLV | 51,738 | -412 | $7,643 |
iShares US Financial Ser ETF (IYG) | 108,426 | +72,020 | $7,189 |
IYG | 108,426 | +72,020 | $7,189 |
iShares Biotechnology ETF (IBB) | 44,182 | -269 | $6,063 |
IBB | 44,182 | -269 | $6,063 |
SPDR Fund Consumer Staples ETF (XLP) | 78,087 | +1,088 | $5,963 |
XLP | 78,087 | +1,088 | $5,963 |
SPDR Fund Consumer Discre Sel ETF (XLY) | 24,986 | -817 | $4,595 |
XLY | 24,986 | -817 | $4,595 |
Invesco QQQ Trust | 6,568 | +10 | $2,916 |
QQQ | 6,568 | +10 | $2,916 |
Philip Morris Intl | 31,374 | UNCH | $2,874 |
PM | 31,374 | UNCH | $2,874 |
Johnson & Johnson | 16,618 | +100 | $2,629 |
JNJ | 16,618 | +100 | $2,629 |
Select Sector Industrial SPDR ETF (XLI) | 19,333 | -1,721 | $2,435 |
XLI | 19,333 | -1,721 | $2,435 |
Hudson Pac PPTYS Inc REIT | 373,412 | UNCH | $2,409 |
HPP | 373,412 | UNCH | $2,409 |
Berkshire Hathaway Class B | $2,319 | ||
BRK.B | 5,514 | +606 | $2,319 |
American Express Co | 8,615 | UNCH | $1,962 |
AXP | 8,615 | UNCH | $1,962 |
ExxonMobil | 15,924 | +2 | $1,851 |
XOM | 15,924 | +2 | $1,851 |
SPDR Communication SVS SLCT Sec ETF (XLC) | 22,090 | -1,765 | $1,804 |
XLC | 22,090 | -1,765 | $1,804 |
Altria Group Inc | 41,184 | UNCH | $1,796 |
MO | 41,184 | UNCH | $1,796 |
Financial Select Sector SPDR Fund (XLF) | 41,975 | -1,050 | $1,768 |
XLF | 41,975 | -1,050 | $1,768 |
Qualcomm Inc | 10,425 | UNCH | $1,765 |
QCOM | 10,425 | UNCH | $1,765 |
Oaktree Specialty | 80,041 | UNCH | $1,574 |
OCSL | 80,041 | UNCH | $1,574 |
See Full List: All Stocks Held By Howard Capital Management Group LLC
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Howard Capital Management Group LLC
Size ($ in 1000's)
At 03/31/2024: $1,297,540 At 12/31/2023: $1,153,983 Howard Capital Management Group LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Howard Capital Management Group LLC 13F filings. Link to 13F filings: SEC filings |