Entity | Amount | Change
12/31/2023 to 03/31/2024 |
Position Size ($ in 1000's) |
---|---|---|---|
Microsoft Corporation | 25,050 | -250 | $10,539 |
MSFT | 25,050 | -250 | $10,539 |
Apple Inc | 40,975 | -1,120 | $7,026 |
AAPL | 40,975 | -1,120 | $7,026 |
Eli Lilly & Company | 4,565 | -5 | $3,551 |
LLY | 4,565 | -5 | $3,551 |
Amazon.Com Inc | 19,410 | +5 | $3,501 |
AMZN | 19,410 | +5 | $3,501 |
UnitedHealth Group Inc | 7,075 | -10 | $3,500 |
UNH | 7,075 | -10 | $3,500 |
Home Depot Inc | 8,755 | +120 | $3,358 |
HD | 8,755 | +120 | $3,358 |
J P Morgan Chase & Company | 15,770 | -90 | $3,159 |
JPM | 15,770 | -90 | $3,159 |
NVIDIA Corp | 3,445 | -300 | $3,113 |
NVDA | 3,445 | -300 | $3,113 |
Meta Platforms Inc | 6,330 | -175 | $3,074 |
META | 6,330 | -175 | $3,074 |
AMGEN Inc | 9,645 | -25 | $2,742 |
AMGN | 9,645 | -25 | $2,742 |
Johnson & Johnson | 15,020 | -200 | $2,376 |
JNJ | 15,020 | -200 | $2,376 |
Chevron Corporation | 14,315 | +10 | $2,258 |
CVX | 14,315 | +10 | $2,258 |
Exxon Mobil Corporation | 19,315 | -225 | $2,245 |
XOM | 19,315 | -225 | $2,245 |
Alphabet Inc Class A | 14,340 | -90 | $2,164 |
GOOGL | 14,340 | -90 | $2,164 |
Williams Companies Inc | 54,369 | -476 | $2,119 |
WMB | 54,369 | -476 | $2,119 |
Blackrock Inc | 2,506 | -10 | $2,089 |
BLK | 2,506 | -10 | $2,089 |
The Blackstone Group | 15,455 | -50 | $2,030 |
BX | 15,455 | -50 | $2,030 |
Wal Mart Stores Inc | 30,915 | +20,750 | $1,860 |
WMT | 30,915 | +20,750 | $1,860 |
Union Pacific Corporation | 7,550 | UNCH | $1,857 |
UNP | 7,550 | UNCH | $1,857 |
McDonalds Corporation | 6,480 | -30 | $1,827 |
MCD | 6,480 | -30 | $1,827 |
The Walt Disney Company | 14,835 | -85 | $1,815 |
DIS | 14,835 | -85 | $1,815 |
Caterpillar Inc | 4,875 | -15 | $1,786 |
CAT | 4,875 | -15 | $1,786 |
Kinder Morgan Inc | 95,650 | -383 | $1,754 |
KMI | 95,650 | -383 | $1,754 |
Enterprise Products Partners L | 59,807 | -666 | $1,745 |
EPD | 59,807 | -666 | $1,745 |
ONEOK Inc | 21,632 | UNCH | $1,734 |
OKE | 21,632 | UNCH | $1,734 |
Goldman Sachs Group Inc | 3,785 | -30 | $1,581 |
GS | 3,785 | -30 | $1,581 |
Deere & Company | 3,833 | -15 | $1,574 |
DE | 3,833 | -15 | $1,574 |
Visa Inc Class A | 5,335 | +10 | $1,489 |
V | 5,335 | +10 | $1,489 |
Costco Wholesale Corp | 2,000 | UNCH | $1,465 |
COST | 2,000 | UNCH | $1,465 |
Oracle Corporation | 11,145 | -300 | $1,400 |
ORCL | 11,145 | -300 | $1,400 |
CISCO Systems Inc | 27,500 | -325 | $1,373 |
CSCO | 27,500 | -325 | $1,373 |
Texas Instruments Inc | 7,830 | -90 | $1,364 |
TXN | 7,830 | -90 | $1,364 |
Automatic Data Processing Inc | 5,250 | -15 | $1,311 |
ADP | 5,250 | -15 | $1,311 |
ConocoPhillips | 10,125 | -500 | $1,289 |
COP | 10,125 | -500 | $1,289 |
Intel Corporation | 28,979 | -296 | $1,280 |
INTC | 28,979 | -296 | $1,280 |
Merck & Company Inc | 9,480 | -45 | $1,251 |
MRK | 9,480 | -45 | $1,251 |
Berkshire Hathaway Inc | $1,217 | ||
BRK.B | 2,895 | UNCH | $1,217 |
International Business Machine | 6,310 | -25 | $1,205 |
IBM | 6,310 | -25 | $1,205 |
Procter & Gamble Co | 6,620 | -15 | $1,074 |
PG | 6,620 | -15 | $1,074 |
Genuine Parts Company | 6,610 | +50 | $1,024 |
GPC | 6,610 | +50 | $1,024 |
Norfolk Southern Corporation | 3,945 | -15 | $1,005 |
NSC | 3,945 | -15 | $1,005 |
Honeywell International Inc | 4,755 | UNCH | $976 |
HON | 4,755 | UNCH | $976 |
Pepsico Inc | 5,430 | +25 | $950 |
PEP | 5,430 | +25 | $950 |
Verizon Communications | 22,300 | -300 | $936 |
VZ | 22,300 | -300 | $936 |
Abbott Laboratories Inc | 8,180 | -75 | $930 |
ABT | 8,180 | -75 | $930 |
Qualcomm Inc | 5,335 | -25 | $903 |
QCOM | 5,335 | -25 | $903 |
Alphabet Inc Class C | 5,895 | -40 | $898 |
GOOG | 5,895 | -40 | $898 |
Boeing Company Inc | 4,620 | -30 | $892 |
BA | 4,620 | -30 | $892 |
Intuit Inc | 1,320 | UNCH | $858 |
INTU | 1,320 | UNCH | $858 |
United Parcel Service Class B | 5,440 | +245 | $809 |
UPS | 5,440 | +245 | $809 |
See Full List: All Stocks Held By Pinnacle West Asset Management Inc.
— Including:
Biggest new positions
Biggest exits
Biggest increased positions
Biggest decreased positions
See Details: Top 10 Stocks Held By Pinnacle West Asset Management Inc.
Size ($ in 1000's)
At 03/31/2024: $125,993 At 12/31/2023: $116,645 Pinnacle West Asset Management Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Pinnacle West Asset Management Inc. 13F filings. Link to 13F filings: SEC filings |