HoldingsChannel.com
Requisite Capital Management LLC Top Holdings
As of  03/31/2019

   EntityAmountChange
 12/31/2018 to 03/31/2019
Position Size
($ in 1000's)
iShares Core S&P 500 ETF (IVV) 164,662 +7,360 $46,856
     IVV164,662+7,360$46,856
MR Cooper Group Inc 2,601,355 -128 $24,947
     COOP2,601,355-128$24,947
iShares S&P 500 Value ETF (IVE) 123,631 +11,489 $13,938
     IVE123,631+11,489$13,938
iShares SHRT Maturity Muni (MEAR) 268,578 -12,660 $13,442
     MEAR268,578-12,660$13,442
iShares Edge MSCI Min Vol US (USMV) 211,067 +15,615 $12,411
     USMV211,067+15,615$12,411
iShares Edge MSCI USA Moment (MTUM) 106,541 +6,691 $11,952
     MTUM106,541+6,691$11,952
Ally Financial Inc 402,600 UNCH $11,067
     ALLY402,600UNCH$11,067
Carvana Co 181,075 -1,575,893 $10,513
     CVNA181,075-1,575,893$10,513
iShares Core S&P Mid Cap ETF (IJH) 54,002 +1,319 $10,228
     IJH54,002+1,319$10,228
Elevate Credit Inc 2,265,783 +2,265,783 $9,833
     ELVT2,265,783+2,265,783$9,833
iShares Short Maturity Bond (NEAR) 172,558 +37,594 $8,669
     NEAR172,558+37,594$8,669
iShares Core MSCI Emerging (IEMG) 123,867 +1,141 $6,405
     IEMG123,867+1,141$6,405
AT&T 202,000 -1,000 $6,335
     T202,000-1,000$6,335
Vereit Incorporated REIT 715,000 +325,150 $6,083
     VER715,000+325,150$6,083
iShares Edge MSCI Min Vol Em (EEMV) 99,622 +6,174 $5,905
     EEMV99,622+6,174$5,905
Santander Consumer USA Holdi 275,141 +8,776 $5,814
     SC275,141+8,776$5,814
iShares Core S&P Small Cap E (IJR) 62,134 -180 $4,794
     IJR62,134-180$4,794
Madison Square Garden Co A 12,000 UNCH $3,518
     MSG12,000UNCH$3,518
Viper Energy Partners LP 105,150 +24,500 $3,487
     VNOM105,150+24,500$3,487
Vanguard S&P 500 ETF (VOO) 13,409 +3,757 $3,480
     VOO13,409+3,757$3,480
Range Res Corporation 296,314 +19,468 $3,331
     RRC296,314+19,468$3,331
Microsoft 23,631 +5,965 $2,787
     MSFT23,631+5,965$2,787
Apple Inc 10,226 +5,254 $1,943
     AAPL10,226+5,254$1,943
Amazon.Com Inc 1,010 +1,010 $1,799
     AMZN1,010+1,010$1,799
Iovance Biotherapeutics Inc 145,000 -5,000 $1,379
     IOVA145,000-5,000$1,379
Alibaba Group Holding SP ADR 7,000 -630 $1,277
     BABA7,000-630$1,277
New Residential Invt Corporation Com New REIT 75,243 -200 $1,272
     NRZ75,243-200$1,272
Apache Corporation 36,447 UNCH $1,263
     APA36,447UNCH$1,263
Mastercard Inc A 4,700 +1,700 $1,107
     MA4,700+1,700$1,107
Targa Res Corporation 22,464 +11,500 $933
     TRGP22,464+11,500$933
Delta Air Lines Inc. 17,000 +17,000 $878
     DAL17,000+17,000$878
Blackstone Group L P Com Unit LTD 25,000 +25,000 $874
     BX25,000+25,000$874
JPMorgan Chase 8,471 +6 $858
     JPM8,471+6$858
Western Midstream Partners LP Com Unit LP Int 26,418 +16,718 $828
     WES26,418+16,718$828
Qualcomm Incorporated 13,900 +12,750 $793
     QCOM13,900+12,750$793
Bristol Myers Squibb Company 16,000 +16,000 $763
     BMY16,000+16,000$763
Allergan PLC 5,205 +5,205 $762
     AGN5,205+5,205$762
Black Stone Minerals LP 38,402 UNCH $677
     BSM38,402UNCH$677
Kinder Morgan Inc 33,706 UNCH $674
     KMI33,706UNCH$674
CNX Midstream Partners LP Com Unit Repst 43,158 +25,000 $656
     CNXM43,158+25,000$656
Trade Desk Inc The Class A 3,000 +3,000 $594
     TTD3,000+3,000$594
Tocagen Inc 52,040 +3,000 $566
     TOCA52,040+3,000$566
Lonestar Res US Incorporated Class A VTG 140,700 UNCH $564
     LONE140,700UNCH$564
Plains GP Holdings LP CL A 22,212 UNCH $554
     PAGP22,212UNCH$554
Call CVNA 50.0 Exp Aug 16 2019      $544
     Call40,000+40,000$544
Servicenow Inc 2,000 UNCH $493
     NOW2,000UNCH$493
Starwood Property TR Incorporated REIT 20,000 UNCH $457
     STWD20,000UNCH$457
General Electric 40,653 +10,653 $406
     GE40,653+10,653$406
Kraneshares CSI China Intern (KWEB) 7,500 UNCH $353
     KWEB7,500UNCH$353
Enterprise Products Partners L P 12,100 UNCH $352
     EPD12,100UNCH$352

See Full List: All Stocks Held By Requisite Capital Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Requisite Capital Management LLC

Size ($ in 1000's)
At 03/31/2019: $260,570
At 12/31/2018: $255,515

Requisite Capital Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Requisite Capital Management LLC 13F filings. Link to 13F filings: SEC filings

Requisite Capital Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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