HoldingsChannel.com
All Stocks Held By Bridges Investment Management Inc.
As of  12/31/2023, we find all stocks held by Bridges Investment Management Inc. to be as follows, presented in the table below with each row detailing each Bridges Investment Management Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Bridges Investment Management Inc. table shows the entity held in the first column (click any entity to explore other funds holding positions), the share amount held, the share count change between the last two reporting periods, and finally the position size for all stocks held by Bridges Investment Management Inc. as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
BERKSHIRE HATHAWAY INC CLASS A      $263,592
     BRK.A329-5$178,524
     BRK.B238,513-2,923$85,068
APPLE INC 958,322 -4,827 $184,506
     AAPL958,322-4,827$184,506
MICROSOFT CORP COM 417,576 -18,079 $157,025
     MSFT417,576-18,079$157,025
ISHARES CORE S&P MID CAP ETF (IJH) 492,122 -25,649 $136,392
     IJH492,122-25,649$136,392
ALPHABET INC CL A 763,014 -15,934 $106,585
     GOOGL763,014-15,934$106,585
AMAZON.COM INC 697,460 -7,996 $105,972
     AMZN697,460-7,996$105,972
BRIDGES INVESTMENT FUND      $105,867
     MFU1,133,724+1,133,724$105,867
VANGUARD FTSE DEVELOPED MARKET (VEA) 2,139,770 -10,993 $102,495
     VEA2,139,770-10,993$102,495
ISHARES CORE S&P SMALL CAP ETF (IJR) 864,403 -74,719 $93,572
     IJR864,403-74,719$93,572
MASTERCARD 219,350 -8,723 $93,555
     MA219,350-8,723$93,555
VANGUARD FTSE EMERGING MARKETS (VWO) 2,095,075 -421,827 $86,108
     VWO2,095,075-421,827$86,108
UNION PACIFIC CORP COM 259,703 +6,803 $63,788
     UNP259,703+6,803$63,788
UNITEDHEALTH GROUP INC COM 108,509 -663 $57,127
     UNH108,509-663$57,127
VISA INC. CLASS A 214,916 -9,158 $55,953
     V214,916-9,158$55,953
NVIDIA CORPORATION 112,146 -3,926 $55,537
     NVDA112,146-3,926$55,537
OLD DOMINION FREIGHT LINE INC 135,264 -3,020 $54,827
     ODFL135,264-3,020$54,827
PALO ALTO NETWORKS INC COM 179,082 -12,332 $52,808
     PANW179,082-12,332$52,808
ISHARES RUSSELL 1000 GROWTH ET (IWF) 174,087 -2,607 $52,778
     IWF174,087-2,607$52,778
ALPHABET INC CL C 300,868 -7,133 $42,401
     GOOG300,868-7,133$42,401
JPMORGAN CHASE & CO COM 243,728 -12,251 $41,458
     JPM243,728-12,251$41,458
ADOBE INC COM 67,565 -1,755 $40,309
     ADBE67,565-1,755$40,309
HOME DEPOT INC COM 112,913 +1,646 $39,130
     HD112,913+1,646$39,130
ISHARES RUSSELL 1000 VALUE ETF (IWD) 234,914 -27,084 $38,820
     IWD234,914-27,084$38,820
VANGUARD FTSE ALL WORLD EX US (VEU) 654,829 -12,279 $36,762
     VEU654,829-12,279$36,762
BLACKROCK INC. 44,098 -729 $35,799
     BLK44,098-729$35,799
S & P GLOBAL INC 79,189 -639 $34,884
     SPGI79,189-639$34,884
ISHARES CORE S&P 500 ETF (IVV) 72,120 -7,232 $34,447
     IVV72,120-7,232$34,447
PROGRESSIVE CORP 208,350 -18,154 $33,186
     PGR208,350-18,154$33,186
META PLATFORMS INC 91,717 -2,349 $32,464
     META91,717-2,349$32,464
SERVICENOW INC COM 44,134 -961 $31,180
     NOW44,134-961$31,180
LOWES COMPANIES COM 131,706 -470 $29,311
     LOW131,706-470$29,311
THERMO FISHER SCIENTIFIC 52,840 -770 $28,047
     TMO52,840-770$28,047
CASEYS GEN STORES COM 86,111 -1,872 $23,658
     CASY86,111-1,872$23,658
ALCON AG ORD SHS 294,830 -6,419 $23,032
     ALC294,830-6,419$23,032
INTUITIVE SURGICAL INC. 63,840 +4,914 $21,537
     ISRG63,840+4,914$21,537
INTERCONTINENTAL EXCHANGE INC. (ICE) 160,110 -5,310 $20,563
     ICE160,110-5,310$20,563
CHEMED CORP COM 34,508 -425 $20,179
     CHE34,508-425$20,179
EOG RESOURCES INC. 160,892 -5,790 $19,460
     EOG160,892-5,790$19,460
ISHARES CORE MSCI EMERGING MKT (IEMG) 367,010 +331,251 $18,563
     IEMG367,010+331,251$18,563
ULTA SALON COSMETICS & FRAGRAN 35,271 -837 $17,282
     ULTA35,271-837$17,282
LITHIA MTRS INC CL A 52,368 +117 $17,244
     LAD52,368+117$17,244
PEPSICO INC COM 101,243 +6,571 $17,195
     PEP101,243+6,571$17,195
BWX TECHNOLOGIES INC 215,829 -47,064 $16,561
     BWXT215,829-47,064$16,561
COPART INC 334,159 +4,444 $16,374
     CPRT334,159+4,444$16,374
PAYPAL HOLDINGS INC 266,234 -40,845 $16,349
     PYPL266,234-40,845$16,349
MCDONALDS CORP COM 51,392 +2,156 $15,238
     MCD51,392+2,156$15,238
APTARGROUP INC 123,026 -4,123 $15,208
     ATR123,026-4,123$15,208
AMERICAN TOWER CORP COM 68,650 -6,315 $14,820
     AMT68,650-6,315$14,820
CHEVRON CORP COM 89,068 +1,850 $13,285
     CVX89,068+1,850$13,285
EDWARDS LIFESCIENCES CORP COM 171,138 -42,775 $13,049
     EW171,138-42,775$13,049
ABBVIE INC 82,435 +2,279 $12,775
     ABBV82,435+2,279$12,775
CINTAS CORP COM 20,801 +15,199 $12,536
     CTAS20,801+15,199$12,536
ZOETIS INC 62,870 +4,968 $12,409
     ZTS62,870+4,968$12,409
SHERWIN WILLIAMS CO COM 38,828 -3,721 $12,110
     SHW38,828-3,721$12,110
CABLE ONE INC 20,603 -3,700 $11,467
     CABO20,603-3,700$11,467
GENERAC HOLDINGS INC 85,649 -4,127 $11,069
     GNRC85,649-4,127$11,069
ABBOTT LABS COM 91,645 +10,183 $10,087
     ABT91,645+10,183$10,087
BROADCOM INC 8,844 -709 $9,872
     AVGO8,844-709$9,872
POOL CORP 22,943 +1,285 $9,148
     POOL22,943+1,285$9,148
JOHNSON & JOHNSON COM 55,658 +2,640 $8,724
     JNJ55,658+2,640$8,724
FLEXSHARES QUALITY DIVIDEND IN (QDF) 136,161 UNCH $8,378
     QDF136,161UNCH$8,378
COSTCO WHOLESALE CORP 12,557 +339 $8,289
     COST12,557+339$8,289
AMGEN INC COM 28,223 -2,100 $8,129
     AMGN28,223-2,100$8,129
ING GROEP NV ADR 522,095 UNCH $7,842
     ING522,095UNCH$7,842
ACCENTURE PLC F CLASS A 21,206 -1,326 $7,441
     ACN21,206-1,326$7,441
FIRST NATL NEB INC COM 543 -1 $6,950
     COM543-1$6,950
TARGET CORP COM 45,455 -572 $6,474
     TGT45,455-572$6,474
EXXON MOBIL CORP COM 60,336 UNCH $6,032
     XOM60,336UNCH$6,032
LILLY ELI & CO COM 9,967 -59 $5,810
     LLY9,967-59$5,810
TEXAS INSTRUMENTS INC COM 31,115 -262 $5,304
     TXN31,115-262$5,304
HONEYWELL INTERNATIONAL INC CO 25,116 +850 $5,267
     HON25,116+850$5,267
MERCK & CO INC COM 46,763 +1,698 $5,098
     MRK46,763+1,698$5,098
LOCKHEED MARTIN CORP COM 10,873 -241 $4,928
     LMT10,873-241$4,928
PHILIP MORRIS INTERNATIONAL IN 49,374 -1,050 $4,645
     PM49,374-1,050$4,645
BOEING CO COM 17,817 +486 $4,644
     BA17,817+486$4,644
COMCAST CORP CL A 104,318 -8,434 $4,574
     CMCSA104,318-8,434$4,574
ISHARES MSCI EMERGING MKTS ETF (EEM) 102,723 +145 $4,130
     EEM102,723+145$4,130
AUTOMATIC DATA PROCESSING COM 16,948 -314 $3,948
     ADP16,948-314$3,948
LINDE PLC 9,443 -69 $3,878
     LIN9,443-69$3,878
NIKE INC CL B 34,697 -2,908 $3,767
     NKE34,697-2,908$3,767
PROCTER & GAMBLE CO COM 25,184 +3,262 $3,690
     PG25,184+3,262$3,690
STRYKER CORP COM 11,901 -59 $3,564
     SYK11,901-59$3,564
ISHARES RUSSELL MID CAP ETF (IWR) 45,398 -1,871 $3,529
     IWR45,398-1,871$3,529
KLA CORP COM 5,979 -469 $3,476
     KLAC5,979-469$3,476
WALMART INC 21,765 +2,333 $3,431
     WMT21,765+2,333$3,431
U.S. BANCORP COM NEW 77,182 -1,250 $3,340
     USB77,182-1,250$3,340
TEXAS PACIFIC LAND CORP 2,115 -168 $3,326
     TPL2,115-168$3,326
ISHARES RUSSELL MID CAP VALUE (IWS) 26,927 -61,553 $3,131
     IWS26,927-61,553$3,131
DEERE & CO COM 7,802 +1,842 $3,120
     DE7,802+1,842$3,120
FIRST TRUST MLP & ENERGY INCOM (FEI) 338,055 UNCH $2,897
     FEI338,055UNCH$2,897
ISHARES RUSSELL 2000 VALUE ETF (IWN) 18,636 UNCH $2,895
     IWN18,636UNCH$2,895
EATON CORP PLC 11,715 -325 $2,821
     ETN11,715-325$2,821
INTUIT INC 4,436 -554 $2,773
     INTU4,436-554$2,773
VANGUARD MID CAP INDEX FUND E (VO) 11,829 -30 $2,752
     VO11,829-30$2,752
TESLA INC 10,835 +337 $2,692
     TSLA10,835+337$2,692
VANGUARD SMALL CAP INDEX FUND (VB) 12,577 UNCH $2,683
     VB12,577UNCH$2,683
ROPER TECHNOLOGIES INC 4,889 -301 $2,665
     ROP4,889-301$2,665
PROLOGIS INC COM 17,941 +5,161 $2,392
     PLD17,941+5,161$2,392
ALTRIA GROUP INC 58,790 +1,083 $2,372
     MO58,790+1,083$2,372
TRANSUNION 33,731 -200,015 $2,318
     TRU33,731-200,015$2,318
ZURICH INSURANCE GROUP AG 4,378 -592 $2,288
     ZFSVF4,378-592$2,288
BOOZ ALLEN HAMILTON HOLDINGS 17,342 +5,666 $2,218
     BAH17,342+5,666$2,218
RTX CORPORATION COM 25,178 +2,399 $2,118
     RTX25,178+2,399$2,118
ISHARES S&P SMALL CAP 600 VALU (IJS) 20,054 UNCH $2,067
     IJS20,054UNCH$2,067
ORACLE CORP COM 19,479 -720 $2,054
     ORCL19,479-720$2,054
TJX COMPANIES INC 20,757 +150 $1,947
     TJX20,757+150$1,947
FLEXSHARES MORNINGSTAR US MARK (TILT) 10,496 UNCH $1,915
     TILT10,496UNCH$1,915
BECTON DICKINSON & CO COM 7,445 UNCH $1,815
     BDX7,445UNCH$1,815
QUALCOMM INC COM 12,362 -630 $1,788
     QCOM12,362-630$1,788
HERSHEY COMPANY 9,390 +164 $1,751
     HSY9,390+164$1,751
INTERNATIONAL BUS MACH COM 10,652 -5,396 $1,742
     IBM10,652-5,396$1,742
DISNEY WALT 18,331 -723 $1,655
     DIS18,331-723$1,655
ROLLINS INC 37,166 +37,166 $1,623
     ROL37,166+37,166$1,623
FISERV INC WISCONSIN COM 12,108 +12,108 $1,608
     FI12,108+12,108$1,608
ENTERPRISE PRODUCTS PARTNERS L 60,945 UNCH $1,606
     EPD60,945UNCH$1,606
GRACO INC COM 18,268 +1,574 $1,585
     GGG18,268+1,574$1,585
VERIZON COMMUNICATIONS COM 41,775 +7,333 $1,575
     VZ41,775+7,333$1,575
COCA COLA CO COM 26,650 UNCH $1,570
     KO26,650UNCH$1,570
CISCO SYS INC COM 28,227 -1,200 $1,426
     CSCO28,227-1,200$1,426
CAPITAL ONE FINANCIAL COM 10,275 -300 $1,347
     COF10,275-300$1,347
CATERPILLAR INC DEL COM 4,535 +2,000 $1,341
     CAT4,535+2,000$1,341
PFIZER INC COM 46,400 -3,500 $1,336
     PFE46,400-3,500$1,336
NEXTERA ENERGY INC 20,165 -340 $1,225
     NEE20,165-340$1,225
VANGUARD REAL ESTATE ETF (VNQ) 13,847 UNCH $1,224
     VNQ13,847UNCH$1,224
PLAINS ALL AMERICAN PIPELINE L 77,861 UNCH $1,180
     PAA77,861UNCH$1,180
AMERIPRISE FINANCIAL INC COM 3,105 -50 $1,179
     AMP3,105-50$1,179
ENERGY TRANSFER LP 85,260 UNCH $1,177
     ET85,260UNCH$1,177
ISHARES S&P 500 GROWTH INDEX F (IVW) 15,463 -107 $1,161
     IVW15,463-107$1,161
FLEXSHARES MSTAR DEVELOPED MAR (TLTD) 16,993 UNCH $1,160
     TLTD16,993UNCH$1,160
CARRIER GLOBAL CORP 18,895 UNCH $1,086
     CARR18,895UNCH$1,086
GENERAL ELECTRIC CO 8,255 UNCH $1,054
     GE8,255UNCH$1,054
ISHARES S&P 500 VALUE INDEX FU (IVE) 6,001 -49 $1,044
     IVE6,001-49$1,044
MOODY&apos S CORP 2,600 UNCH $1,015
     MCO2,600UNCH$1,015
EMERSON ELEC CO COM 9,875 UNCH $961
     EMR9,875UNCH$961
ESTEE LAUDER COMPANY COM 6,422 -2,178 $939
     EL6,422-2,178$939
COLGATE PALMOLIVE CO COM 11,637 -1,000 $928
     CL11,637-1,000$928
BOOKING HOLDINGS INC 261 -72 $926
     BKNG261-72$926
MONDELEZ INTERNATIONAL INC CL 12,743 UNCH $923
     MDLZ12,743UNCH$923
VANECK BDC INCOME ETF (BIZD) 57,350 +12,686 $920
     BIZD57,350+12,686$920
INVESCO S&P 500 EQUAL WEIGHT E 5,820 UNCH $918
     RSP5,820UNCH$918
TRUIST FINANCIAL CORPORATION 24,650 +24,650 $910
     TFC24,650+24,650$910
AMPHENOL CORP CL A 9,092 -153 $901
     APH9,092-153$901
TRAVELERS COMPANIES INC COM 4,315 UNCH $822
     TRV4,315UNCH$822
OTIS WORLDWIDE CORP 9,140 UNCH $818
     OTIS9,140UNCH$818
SALESFORCE.COM INC 3,038 -136 $799
     CRM3,038-136$799
ISHARES MORTGAGE REAL ESTATE E (REM) 32,177 +2,200 $759
     REM32,177+2,200$759
ECOLAB INC 3,741 +561 $742
     ECL3,741+561$742
AT&T INC COM 43,143 UNCH $724
     T43,143UNCH$724
VANGUARD S&P 500 ETF (VOO) 1,649 -209 $720
     VOO1,649-209$720
LEGGETT & PLATT INC COM 25,300 -200 $662
     LEG25,300-200$662
BRISTOL MYERS SQUIBB COM 12,729 UNCH $653
     BMY12,729UNCH$653
MCCORMICK & COMPANY INC. 9,440 UNCH $646
     MKC9,440UNCH$646
STATE STREET CORP COM 8,325 -175 $645
     STT8,325-175$645
VALMONT INDS INC COM 2,725 +108 $636
     VMI2,725+108$636
MARRIOTT INTL INC CL A 2,766 UNCH $624
     MAR2,766UNCH$624
TE CONNECTIVITY LTD 4,400 UNCH $618
     TEL4,400UNCH$618
CONAGRA BRANDS INC COM 21,186 -100 $607
     CAG21,186-100$607
KIMBERLY CLARK CORP COM 4,783 UNCH $581
     KMB4,783UNCH$581
WELLS FARGO & CO DEL COM 11,507 -1,307 $566
     WFC11,507-1,307$566
GENERAL MILLS INC COM 8,441 UNCH $550
     GIS8,441UNCH$550
INTEL CORP 10,950 -100 $550
     INTC10,950-100$550
WEC ENERGY GROUP INC 6,000 UNCH $505
     WEC6,000UNCH$505
ARK FINTECH INNOVATION ETF (ARKF) 17,552 -6,090 $484
     ARKF17,552-6,090$484
PAYCHEX INC 3,860 -25 $460
     PAYX3,860-25$460
MUELLER INDS INC COM 9,600 +4,800 $453
     MLI9,600+4,800$453
CLOROX CO DEL COM 3,133 -100 $447
     CLX3,133-100$447
ARK GENOMIC REVOLUTION ETF (ARKG) 13,604 -735 $446
     ARKG13,604-735$446
SPDR S&P 500 SER 1 ETF TR (SPY) 911 UNCH $433
     SPY911UNCH$433
LAMB WESTON HOLDINGS INC 4,001 UNCH $432
     LW4,001UNCH$432
UNITED PARCEL SERVICE CL B 2,633 -13,171 $414
     UPS2,633-13,171$414
AUTOZONE INC COM 158 -5 $409
     AZO158-5$409
ISHARES S&P MID CAP 400 GROWTH (IJK) 5,036 UNCH $399
     IJK5,036UNCH$399
SCHWAB US LARGE CAP VALUE ETF (SCHV) 5,320 -10 $373
     SCHV5,320-10$373
WALGREENS BOOTS ALLIANCE INC 14,287 UNCH $373
     WBA14,287UNCH$373
STARBUCKS CORP COM 3,865 -1,874 $371
     SBUX3,865-1,874$371
SHELL PLC SPON ADS 5,236 UNCH $345
     SHEL5,236UNCH$345
AIR PRODS & CHEMS INC COM 1,210 UNCH $331
     APD1,210UNCH$331
ISHARES S&P MID CAP VALUE ETF (IJJ) 2,789 UNCH $318
     IJJ2,789UNCH$318
IQVIA HOLDINGS INC 1,374 -158 $318
     IQV1,374-158$318
ISHARES S&P SMALL CAP 600 GROW (IJT) 2,474 UNCH $310
     IJT2,474UNCH$310
SOUTHERN CO COM 4,325 UNCH $303
     SO4,325UNCH$303
THOMSON REUTERS CORP COM 2,066 UNCH $302
     TRI2,066UNCH$302
JOHNSON CONTROLS INTERNATIONAL 5,142 UNCH $296
     JCI5,142UNCH$296
TRINITY INDS INC COM 10,650 -750 $283
     TRN10,650-750$283
ISHARES EDGE MSCI USA QUALITY (QUAL) 1,891 -33,810 $278
     QUAL1,891-33,810$278
FAIR ISAAC CORPORATION 232 UNCH $270
     FICO232UNCH$270
VANGUARD TOTAL STOCK MARKET (VTI) 1,117 +1,117 $265
     VTI1,117+1,117$265
L3HARRIS TECHNOLOGIES INC 1,253 -7,768 $264
     LHX1,253-7,768$264
VANGUARD GROWTH ETF (VUG) 840 +10 $261
     VUG840+10$261
BP PLC SPONS ADR 7,188 -1,300 $254
     BP7,188-1,300$254
ELEVANCE HEALTH INC 533 +533 $251
     ELV533+533$251
ALLIANT ENERGY CORP COM 4,875 UNCH $250
     LNT4,875UNCH$250
T ROWE PRICE GROUP INC 2,266 -1,780 $244
     TROW2,266-1,780$244
WASTE MANAGEMENT INC 1,349 -100 $242
     WM1,349-100$242
DUKE ENERGY CORP 2,429 UNCH $236
     DUK2,429UNCH$236
AMERICAN EXPRESS CO COM 1,250 +1,250 $234
     AXP1,250+1,250$234
ISHARES MSCI EAFE ETF (EFA) 2,999 +2,999 $226
     EFA2,999+2,999$226
AMERICAN ELEC PWR INC COM 2,620 +2,620 $213
     AEP2,620+2,620$213
ONEOK INC COM 2,966 -300 $208
     OKE2,966-300$208
ARCOSA INC COM 2,500 +2,500 $207
     ACA2,500+2,500$207
AIR NEW ZEALAND LIMITED 26,315 UNCH $11
     ANZFF26,315UNCH$11
CGTV MEDIA GROUP INC 20,000 UNCH <$1
     COM20,000UNCH$0
U.S. GLOBAL NANOSPACE INC 107,000 +0 $0
     USGA107,000UNCH$0
BRIDGES INVESTMENT FUND INC $0 (exited)
     MFU0-1,144,640$0
CRESCO LABORATORIES INC $0 (exited)
     COM0-11,443$0
FISERV INC WISCONSIN COM $0 (exited)
     FISV0-6,775$0

See Summary: Bridges Investment Management Inc. Top Holdings
See Details: Top 10 Stocks Held By Bridges Investment Management Inc.

EntityShares/Amount
Change
Position Value
Change
BRIDGES INVESTMENT FUND +1,133,724+$105,867
ROL +37,166+$1,623
FI +12,108+$1,608
TFC +24,650+$910
VTI +1,117+$265
ELV +533+$251
AXP +1,250+$234
EFA +2,999+$226
AEP +2,620+$213
ACA +2,500+$207
EntityShares/Amount
Change
Position Value
Change
BRIDGES INVESTMENT FUND INC -1,144,640-$99,263
FISV -6,775-$765
CRESCO LABORATORIES INC -11,443-$23
USGA -107,000$UNCH
EntityShares/Amount
Change
Position Value
Change
IEMG +331,251+$16,861
CTAS +15,199+$9,841
BIZD +12,686+$204
ABT +10,183+$2,197
VZ +7,333+$459
UNP +6,803+$12,290
PEP +6,571+$1,154
BAH +5,666+$942
PLD +5,161+$958
ZTS +4,968+$2,335
EntityShares/Amount
Change
Position Value
Change
VWO -421,827-$12,580
TRU -200,015-$14,463
IJR -74,719+$4,985
IWS -61,553-$6,101
BWXT -47,064-$3,151
EW -42,775-$1,771
PYPL -40,845-$1,603
QUAL -33,810-$4,427
IWD -27,084-$957
Size ($ in 1000's)
At 12/31/2023: $3,016,521
At 09/30/2023: $2,815,041

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

All Stocks Held By Bridges Investment Management Inc. | www.HoldingsChannel.com

Copyright © 2013 - 2024, All Rights Reserved Nothing in Holdings Channel is intended to be investment advice, nor does it represent the opinion of, counsel from, or recommendations by BNK Invest Inc. or any of its affiliates, subsidiaries or partners. None of the information contained herein constitutes a recommendation that any particular security, portfolio, transaction, or investment strategy is suitable for any specific person. All viewers agree that under no circumstances will BNK Invest, Inc,. its subsidiaries, partners, officers, employees, affiliates, or agents be held liable for any loss or damage caused by your reliance on information obtained. By visiting, using or viewing this site, you agree to the following Full Disclaimer & Terms of Use and Privacy Policy. Video widget and videos powered by Market News Video. Quote data delayed at least 20 minutes; data powered by Ticker Technologies, and Mergent. Contact Holdings Channel; Meet Our Editorial Staff.