HoldingsChannel.com



All Stocks Held By Principal Street Partners LLC
As of  12/31/2023, we find all stocks held by Principal Street Partners LLC to be as follows, presented in the table below with each row detailing each Principal Street Partners LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Principal Street Partners LLC 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 Principal Street Partners LLC as of the latest filing.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
ISHARES S&P 500 GROWTH ETF (IVW) 277,297 -273,939 $20,825
     IVW277,297-273,939$20,825
ZOOMINFO TECHNOLIGIES INC. 1,115,486 -1,115,486 $20,625
     ZI1,115,486-1,115,486$20,625
APPLE INC. 107,028 -106,746 $20,606
     AAPL107,028-106,746$20,606
SPDR S&P 500 ETF (SPY) 28,725 -28,637 $13,653
     SPY28,725-28,637$13,653
MICROSOFT CORP 27,331 +171 $10,278
     MSFT27,331+171$10,278
AMAZON.COM INC 67,181 -799 $10,208
     AMZN67,181-799$10,208
BROADCOM INC COM 7,065 -285 $7,886
     AVGO7,065-285$7,886
ALLY FINANCIAL INC 176,850 -2,672 $6,176
     ALLY176,850-2,672$6,176
NRG ENERGY INC 117,294 -8,194 $6,064
     NRG117,294-8,194$6,064
INTERNATIONAL BUSINESS MACHINE 36,964 -785 $6,046
     IBM36,964-785$6,046
JPMORGAN CHASE & CO 35,486 -4,098 $6,036
     JPM35,486-4,098$6,036
ABBVIE INC 38,304 -2,397 $5,936
     ABBV38,304-2,397$5,936
HOME DEPOT INC 16,974 -100 $5,882
     HD16,974-100$5,882
COMERICA INC 104,676 +104,676 $5,842
     CMA104,676+104,676$5,842
CLEARWAY ENERGY INC CL C 212,573 +36,908 $5,831
     CWEN212,573+36,908$5,831
META PLATFORMS INC. 16,403 -15,791 $5,806
     META16,403-15,791$5,806
ALPHABET INC CAP STOCK CL A 41,270 -267 $5,765
     GOOGL41,270-267$5,765
MORGAN STANLEY 61,437 -4,631 $5,729
     MS61,437-4,631$5,729
VERIZON COMMUNICATIONS INC 145,542 +12,932 $5,487
     VZ145,542+12,932$5,487
ZIONS BANCORPORATION 124,171 -22,901 $5,447
     ZION124,171-22,901$5,447
STATE STREET CORP 70,179 +4,802 $5,436
     STT70,179+4,802$5,436
NETAPP INC 60,431 -3,311 $5,328
     NTAP60,431-3,311$5,328
BERKSHIRE HATHAWAY INC.      $5,322
     BRK.A8-8$4,341
     BRK.B2,750-2,750$981
SMUCKER J M CO 41,639 +7,186 $5,262
     SJM41,639+7,186$5,262
TEXAS INSTRUMENTS INC 30,852 -1,145 $5,259
     TXN30,852-1,145$5,259
PEPSICO INC 30,892 -284 $5,247
     PEP30,892-284$5,247
JOHNSON & JOHNSON 33,139 -152 $5,194
     JNJ33,139-152$5,194
EASTMAN CHEM CO 57,712 +2,974 $5,184
     EMN57,712+2,974$5,184
AT&T INC 307,337 -16,551 $5,157
     T307,337-16,551$5,157
LOCKHEED MARTIN CORP 11,279 -95 $5,112
     LMT11,279-95$5,112
MID AMERICA APARTMENT COMMUNITIES INC. 37,889 -37,881 $5,095
     MAA37,889-37,881$5,095
AMGEN INC 17,624 -3,577 $5,076
     AMGN17,624-3,577$5,076
DUKE ENERGY CORP 52,169 +129 $5,062
     DUK52,169+129$5,062
CUMMINS INC 21,035 -198 $5,039
     CMI21,035-198$5,039
COCA COLA CO 85,012 -468 $5,010
     KO85,012-468$5,010
GILEAD SCIENCES INC 61,261 -621 $4,963
     GILD61,261-621$4,963
DOW INC 89,955 -1,885 $4,933
     DOW89,955-1,885$4,933
INTERPUBLIC GROUP COS INC 147,913 +3,674 $4,828
     IPG147,913+3,674$4,828
PACKAGING CORP AMERICA 29,325 -9,258 $4,777
     PKG29,325-9,258$4,777
ENTERGY CORP 47,038 +47,038 $4,760
     ETR47,038+47,038$4,760
SNAP ON INC 16,293 -101 $4,706
     SNA16,293-101$4,706
CHEVRON CORP 31,538 -283 $4,704
     CVX31,538-283$4,704
BEST BUY INC 59,485 +1,036 $4,657
     BBY59,485+1,036$4,657
CONAGRA FOODS INC 160,929 +22,046 $4,612
     CAG160,929+22,046$4,612
EOG RESOURCES INC 37,551 -1,136 $4,542
     EOG37,551-1,136$4,542
UNITED PARCEL SERVICE INC CL B 27,336 -1,604 $4,298
     UPS27,336-1,604$4,298
ALTRIA GROUP INC 103,252 -6,281 $4,165
     MO103,252-6,281$4,165
BRISTOL MYERS SQUIBB CO 80,906 +1,175 $4,151
     BMY80,906+1,175$4,151
HF SINCLAIR CORPORATION COM 71,822 +71,822 $3,991
     DINO71,822+71,822$3,991
TAPESTRY INC 91,598 +91,598 $3,372
     TPR91,598+91,598$3,372
NVIDIA CORP 5,405 +103 $2,677
     NVDA5,405+103$2,677
SPDR S&P DIVIDEND ETF (SDY) 17,220 -16,952 $2,152
     SDY17,220-16,952$2,152
VANGUARD DIVIDEND APPRECIATION ETF (VIG) 12,084 -11,834 $2,059
     VIG12,084-11,834$2,059
NETFLIX INC. 4,174 -4,060 $2,032
     NFLX4,174-4,060$2,032
WESTROCK COFFEE CO. 195,800 -192,894 $1,999
     WEST195,800-192,894$1,999
ALPHABET INC. CLASS C 13,593 -13,593 $1,916
     GOOG13,593-13,593$1,916
VERTIV HOLDINGS CO CL A 32,760 -2,697 $1,573
     VRT32,760-2,697$1,573
VISA INC CL A 5,904 -110 $1,537
     V5,904-110$1,537
ELI LILLY & CO 2,597 -205 $1,514
     LLY2,597-205$1,514
VANGUARD S&P 500 ETF (VOO) 3,329 -3,275 $1,454
     VOO3,329-3,275$1,454
MASTERCARD INC CL A 3,113 -158 $1,328
     MA3,113-158$1,328
TESLA INC. 5,151 -5,337 $1,280
     TSLA5,151-5,337$1,280
SERVICENOW INC 1,656 +379 $1,170
     NOW1,656+379$1,170
NOVO NORDISK A S 10,759 -10,759 $1,113
     NVO10,759-10,759$1,113
PALO ALTO NETWORKS INC 3,772 -684 $1,112
     PANW3,772-684$1,112
CHENIERE ENERGY INC 6,133 -445 $1,047
     LNG6,133-445$1,047
MERCK & CO INC 9,537 -214 $1,040
     MRK9,537-214$1,040
GENESIS ENERGY LP 89,313 -3,078 $1,034
     GEL89,313-3,078$1,034
SPDR FINANCIAL SELECT SECTOR ETF (XLF) 26,951 -26,689 $1,013
     XLF26,951-26,689$1,013
EXXON MOBIL CORP. 9,571 -9,727 $957
     XOM9,571-9,727$957
T MOBILE US INC 5,688 -650 $912
     TMUS5,688-650$912
VERTEX PHARMACEUTICALS INC 2,233 -102 $909
     VRTX2,233-102$909
VANECK VECTORS AGRIBUSINESS ETF (MOO) 11,598 -11,356 $884
     MOO11,598-11,356$884
SPDR GOLD ETF (GLD) 4,500 -4,500 $860
     GLD4,500-4,500$860
BLACKSTONE SECURED LENDING FUND (BXSL) 29,651 -29,651 $820
     BXSL29,651-29,651$820
LOWES COS INC 3,607 -107 $803
     LOW3,607-107$803
SALESFORCE.COM INC 3,047 -221 $802
     CRM3,047-221$802
VANGUARD RUSSELL 1000 GROWTH ETF (VONG) 10,177 -10,177 $794
     VONG10,177-10,177$794
UNITEDHEALTH GROUP INC. 1,424 -1,360 $750
     UNH1,424-1,360$750
CONOCOPHILLIPS 6,233 -294 $723
     COP6,233-294$723
LVMH MOET HENNESSY LOUIS VUITTON SE      $701
     Common stock4,316-4,316$701
CHIPOTLE MEXICAN GRILL INC CL 303 -35 $693
     CMG303-35$693
ACCENTURE PLC 1,955 -2,025 $686
     ACN1,955-2,025$686
SAP SE 4,407 -4,475 $681
     SAP4,407-4,475$681
DIMENSIONAL US EQUITY ETF (DFUS) 12,834 -12,718 $665
     DFUS12,834-12,718$665
AUTODESK INC 2,723 -241 $663
     ADSK2,723-241$663
KKR & CO INC CL A 7,956 -1,667 $659
     KKR7,956-1,667$659
CENTENE CORP 8,841 -517 $656
     CNC8,841-517$656
GOLDMAN SACHS GROUP INC 1,699 -26 $655
     GS1,699-26$655
GENERAC HOLDINGS INC 5,022 +1,577 $649
     GNRC5,022+1,577$649
COSTCO WHOLESALE CORP. 968 -968 $639
     COST968-968$639
MARTIN MARIETTA MATERIALS INC 1,269 -181 $633
     MLM1,269-181$633
BAE SYSTEMS PLC 10,923 -10,923 $632
     BAESY10,923-10,923$632
MONSTER BEVERAGE CORP 10,869 -120 $626
     MNST10,869-120$626
O REILLY AUTOMOTIVE INC 656 -26 $623
     ORLY656-26$623
VANGUARD RUSSELL 1000 VALUE ETF (VONV) 8,548 -8,548 $620
     VONV8,548-8,548$620
COCA COLA EUROPACIFIC PARTNERS PLC 9,134 -9,010 $610
     CCEP9,134-9,010$610
WASTE MANAGEMENT INC 3,392 -147 $608
     WM3,392-147$608
VISTRA ENERGY CORP 15,373 -699 $592
     VST15,373-699$592
ASTRAZENECA PLC 8,701 -9,369 $586
     AZN8,701-9,369$586
STARBUCKS CORP. 6,016 -5,992 $578
     SBUX6,016-5,992$578
FEDEX CORP 2,281 -149 $577
     FDX2,281-149$577
SHELL PLC      $558
     SHEL5,281-5,281$347
     Common stock6,437-6,437$211
VANGUARD RUSSELL 3000 ETF (VTHR) 2,624 -2,624 $558
     VTHR2,624-2,624$558
SCHLUMBERGER LTD 10,613 -721 $552
     SLB10,613-721$552
HITACHI LTD.      $550
     Common stock3,803-3,767$550
ADVANCED MICRO DEVICES INC 3,723 -367 $549
     AMD3,723-367$549
FISERV INC 4,131 +4,131 $549
     FI4,131+4,131$549
METLIFE INC 8,248 -243 $545
     MET8,248-243$545
DELTA AIR LINES INC 13,157 -458 $529
     DAL13,157-458$529
RAYMOND JAMES FINANCIAL INC 4,747 -81 $529
     RJF4,747-81$529
SKYWORKS SOLUTIONS INC 4,692 -103 $527
     SWKS4,692-103$527
REPUBLIC SERVICES INC 3,184 -122 $525
     RSG3,184-122$525
VOYA FINANCIAL INC 7,106 -117 $518
     VOYA7,106-117$518
STELLANTIS NV 22,133 -22,133 $516
     STLA22,133-22,133$516
ADOBE INC. 858 -792 $512
     ADBE858-792$512
CF INDUSTRIES HOLDINGS INC 6,397 -343 $509
     CF6,397-343$509
NEXTERA ENERGY INC 8,236 +432 $500
     NEE8,236+432$500
ROYAL BANK OF CANADA 4,926 -4,796 $498
     RY4,926-4,796$498
PROCTER & GAMBLE CO. 3,358 -3,434 $492
     PG3,358-3,434$492
L OREAL SA      $485
     Common stock4,875-4,615$485
GARMIN LTD. 3,744 -3,698 $481
     GRMN3,744-3,698$481
ENERGY TRANSFER LP 33,961 -777 $469
     ET33,961-777$469
ARISTA NETWORKS INC 1,959 +410 $461
     ANET1,959+410$461
CISCO SYSTEMS INC 9,123 -861 $461
     CSCO9,123-861$461
CBOE GLOBAL MARKETS INC. 2,502 -2,486 $447
     CBOE2,502-2,486$447
AUTOLIV INC 4,028 -4,028 $444
     ALV4,028-4,028$444
ISHARES TR DJ US TELECOM (IYZ) 19,172 +19,172 $436
     IYZ19,172+19,172$436
SAMSUNG ELECTRONICS CO. LTD.      $431
     Common stock288-288$431
ENTERPRISE PRODUCTS PARTNERS L 15,886 -375 $419
     EPD15,886-375$419
FS KKR CAPITAL CORP. 20,902 -20,902 $417
     FSK20,902-20,902$417
KIRBY CORP 5,284 +1,048 $415
     KEX5,284+1,048$415
NESTLE SA 3,517 -4,425 $407
     NSRGY3,517-4,425$407
DEERE & CO. 1,002 -1,070 $401
     DE1,002-1,070$401
SELECT SECTOR SPDR TR SBI CONS (XLP) 5,539 +5,539 $399
     XLP5,539+5,539$399
APOLLO GLOBAL MANAGEMENT INC. 4,219 -4,219 $393
     APO4,219-4,219$393
CORNING INC 12,786 -129,403 $389
     GLW12,786-129,403$389
CADENCE DESIGN SYSTEMS INC. 1,418 -1,418 $386
     CDNS1,418-1,418$386
TESCO PLC      $384
     Common stock34,436-34,436$384
KROGER CO 8,295 -199 $379
     KR8,295-199$379
ABB LTD.      $376
     Common stock8,485+8,485$376
DIAGEO PLC 2,559 -2,695 $373
     DEO2,559-2,695$373
UNILEVER PLC 7,660 -7,660 $371
     UL7,660-7,660$371
STERLING CONSTRUCTION CO INC 4,210 +732 $370
     STRL4,210+732$370
TOTAL SE 5,432 -5,392 $366
     TTE5,432-5,392$366
RELX PLC SPONSORED ADR 9,170 -9,170 $364
     RELX9,170-9,170$364
EQUINIX INC 447 +10 $360
     EQIX447+10$360
BLACKROCK INC 437 -53 $355
     BLK437-53$355
PG&E CORP 19,365 -1,164 $349
     PCG19,365-1,164$349
PLAINS GP HOLDINGS 21,419 -1,177 $342
     PAGP21,419-1,177$342
TARGA RESOURCES CORP 3,912 -200 $340
     TRGP3,912-200$340
FERRARI NV 960 -960 $325
     RACE960-960$325
MCDONALD S CORP. 1,092 -1,992 $324
     MCD1,092-1,992$324
SYNOPSYS INC. 621 -621 $320
     SNPS621-621$320
QUANTA SERVICES INC 1,457 -1,688 $314
     PWR1,457-1,688$314
THOMSON REUTERS CORP. 2,136 -2,136 $312
     TRI2,136-2,136$312
RTX CORPORATION COM 3,656 -211 $308
     RTX3,656-211$308
PHILLIPS 66 2,304 -2,304 $307
     PSX2,304-2,304$307
CIGNA CORP. 1,000 -988 $299
     CI1,000-988$299
NVENT ELECTRIC PLC 4,966 -4,966 $293
     NVT4,966-4,966$293
AIR PRODUCTS & CHEMICALS INC. 1,068 -1,068 $292
     APD1,068-1,068$292
BP PLC 8,116 -8,062 $287
     BP8,116-8,062$287
EXELON CORP 7,988 +121 $287
     EXC7,988+121$287
KINDER MORGAN INC 16,239 -610 $286
     KMI16,239-610$286
BUNGE GLOBAL SA COM 2,799 -432 $283
     BG2,799-432$283
SUMITOMO MITSUI FINLGROUP INC SPONSORED ADR 29,134 -28,764 $282
     SMFG29,134-28,764$282
DISNEY WALT CO DISNEY 3,097 -3,685 $280
     DIS3,097-3,685$280
ROCHE HOLDING LTD. 7,731 -7,731 $280
     RHHBY7,731-7,731$280
SHIN ETSU CHEMICAL CO. LTD.      $280
     Common stock13,384-13,384$280
INTUIT INC. 446 -438 $279
     INTU446-438$279
IQVIA HOLDINGS INC 1,199 -1,400 $277
     IQV1,199-1,400$277
CITIGROUP INC 5,262 +5,262 $271
     C5,262+5,262$271
RIO TINTO PLC 3,602 -3,318 $268
     RIO3,602-3,318$268
SELECT SECTOR SPDR TR SBI INDU (XLI) 2,315 +2,315 $264
     XLI2,315+2,315$264
REGIONS FINANCIAL CORP 13,496 -240,037 $262
     RF13,496-240,037$262
PRIMORIS SERVICES CORP 7,844 -450 $260
     PRIM7,844-450$260
COLOPLAST A S      $257
     Common stock22,277-22,277$257
AIR LIQUIDE SA 6,366 -5,766 $248
     AIQUY6,366-5,766$248
DTE ENERGY CO 2,228 +75 $246
     DTE2,228+75$246
KERING SA      $241
     Common stock5,446-5,446$241
MSCI INC. 426 -420 $241
     MSCI426-420$241
CRH PLC 3,393 +3,393 $235
     CRH3,393+3,393$235
MPLX LP 6,390 -6,390 $235
     MPLX6,390-6,390$235
FERGUSON PLC NEW SHS 1,212 +1,212 $234
     FERG1,212+1,212$234
OTIS WORLDWIDE CORP. 2,619 -2,551 $234
     OTIS2,619-2,551$234
S&P GLOBAL INC. 529 +529 $233
     SPGI529+529$233
LOGITECH INTERNATIONAL SA 2,431 +2,431 $231
     LOGI2,431+2,431$231
CAMECO CORP 5,336 +5,336 $230
     CCJ5,336+5,336$230
TENARIS SA 6,578 -6,578 $229
     TS6,578-6,578$229
SELECT SECTOR SPDR TR SBI TECH (XLK) 1,183 +1,183 $228
     XLK1,183+1,183$228
INTERNATIONAL PAPER CO 6,260 +6,260 $226
     IP6,260+6,260$226
NATIONAL GRID PLC 3,316 -3,612 $225
     NGG3,316-3,612$225
SELECT SECTOR SPDR TR SBI HEAL (XLV) 1,635 +1,635 $223
     XLV1,635+1,635$223
WALMART INC. 1,395 -1,141 $220
     WMT1,395-1,141$220
NISOURCE INC 8,226 +8,226 $218
     NI8,226+8,226$218
CSX CORP. 6,172 +6,172 $214
     CSX6,172+6,172$214
TJX COMPANIES INC. 2,286 -2,286 $214
     TJX2,286-2,286$214
CONSTELLATION ENERGY CORP 1,784 +1,784 $209
     CEG1,784+1,784$209
ILLINOIS TOOL WORKS INC. 793 +793 $208
     ITW793+793$208
GENERAL DYNAMICS CORP. 795 +795 $207
     GD795+795$207
ENEL SPA      $204
     Common stock27,615-27,615$204
REGENERON PHARMACEUTICALS INC. 232 +232 $204
     REGN232+232$204
NOVARTIS AG 1,989 +1,989 $201
     NVS1,989+1,989$201
EDP ENERGIAS DE PORTUGAL SA      $187
     Common stock37,205-37,205$187
PEARSON PLC SPONS ADR 14,794 -14,636 $182
     PSO14,794-14,636$182
INFRASTRUTTURE WIRELESS ITALIANE SPA      $178
     Common stock14,074-14,074$178
KDDI CORP.      $170
     Common stock10,782-10,782$170
ENERSIS CHILE SA SP ADR 42,124 -1,733 $136
     ENIC42,124-1,733$136
AEGON NV 22,469 -22,135 $129
     AEG22,469-22,135$129
BANCO BILBAO VISCAYA ARGENTARIA SA 12,164 -12,164 $111
     BBVA12,164-12,164$111
MITSUBISHI UFJ FINL GROUP INC SPONSORED 11,193 +11,193 $96
     MUFG11,193+11,193$96
PROSUS NV      $87
     Common stock14,631-13,901$87
MIZUHO FINANCIAL GROUP INC SPONSORED ADR 24,988 +24,988 $86
     MFG24,988+24,988$86
SUPER GROUP LTD. 18,766 -5,288 $59
     SGHC18,766-5,288$59
TELEFONICA SA 11,554 +11,554 $45
     TEF11,554+11,554$45
POLESTAR AUTOMOTIVE HOLDING UK PLC 12,549 +12,549 $28
     PSNY12,549+12,549$28
CAIXABANK S A UNSPONSORD ADR 10,803 -10,803 $15
     Common stock10,803-10,803$15
ABB LTD. $0 (exited)
     ABB0-16,970$0
AES CORP $0 (exited)
     AES0-10,986$0
ALGONQUIN POWER & UTILITIES CORP. $0 (exited)
     AQN0-21,998$0
ARK INNOVATION ETF $0 (exited)
     ARKK0-14,080$0
CANADIAN PACIFIC KANSAS CITY C $0 (exited)
     CP0-6,846$0
ENBRIDGE INC $0 (exited)
     ENB0-8,202$0
EXTREME NETWORKS INC $0 (exited)
     EXTR0-8,562$0
FISERV INC $0 (exited)
     FISV0-4,331$0
HASBRO INC $0 (exited)
     HAS0-3,827$0
SPDR S&P REGIONAL BANKING ETF $0 (exited)
     KRE0-30,324$0
MEDTRONIC PLC $0 (exited)
     MDT0-5,790$0
MITSUBISHI CORP ORD $0 (exited)
     Common stock0-16,600$0
MARSH & MCLENNAN COMPANIES INC. $0 (exited)
     MMC0-2,110$0
MATCH GROUP INC $0 (exited)
     MTCH0-6,078$0
OGE ENERGY CORP $0 (exited)
     OGE0-118,397$0
PFIZER INC $0 (exited)
     PFE0-133,806$0
PRUDENTIAL FINANCIAL INC $0 (exited)
     PRU0-2,697$0
THERMO FISHER SCIENTIFIC INC. $0 (exited)
     TMO0-1,204$0
WELLS FARGO & CO. $0 (exited)
     WFC0-9,886$0
ZOETIS INC. 0 -2,322 $0 (exited)
     ZTS0-2,322$0

See Summary: Principal Street Partners LLC Top Holdings
See Details: Top 10 Stocks Held By Principal Street Partners LLC

EntityShares/Amount
Change
Position Value
Change
CMA +104,676+$5,842
ETR +47,038+$4,760
DINO +71,822+$3,991
TPR +91,598+$3,372
FI +4,131+$549
IYZ +19,172+$436
XLP +5,539+$399
ABB LTD. +8,485+$376
C +5,262+$271
XLI +2,315+$264
EntityShares/Amount
Change
Position Value
Change
PFE -133,806-$4,438
OGE -118,397-$3,946
KRE -30,324-$1,267
MITSUBISHI CORP ORD -16,600-$793
TMO -1,204-$609
ABB -16,970-$604
ARKK -14,080-$559
CP -6,846-$509
FISV -4,331-$489
MDT -5,790-$454
EntityShares/Amount
Change
Position Value
Change
CWEN +36,908+$2,114
CAG +22,046+$804
VZ +12,932+$1,189
SJM +7,186+$1,027
STT +4,802+$1,058
IPG +3,674+$694
EMN +2,974+$985
GNRC +1,577+$274
BMY +1,175-$477
KEX +1,048+$64
EntityShares/Amount
Change
Position Value
Change
ZI -1,115,486-$15,963
IVW -273,939-$16,891
RF -240,037-$4,099
WEST -192,894-$1,445
GLW -129,403-$3,943
AAPL -106,746-$15,994
MAA -37,881-$4,653
EDP ENERGIAS DE PORTUGAL SA -37,205-$123
TESCO PLC -34,436-$278
Size ($ in 1000's)
At 12/31/2023: $414,496
At 09/30/2023: $504,736

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

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