HoldingsChannel.com
All Stocks Held By Howard Capital Management Group LLC
As of  06/30/2022, we find all stocks held by Howard Capital Management Group LLC to be as follows, presented in the table below with each row detailing each Howard Capital Management Group LLC position, ordered by largest to smallest position size. The all-stocks-held-by-Howard Capital Management Group 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 Howard Capital Management Group LLC as of the latest filing.

   EntityAmountChange
 03/31/2022 to 06/30/2022
Position Size
($ in 1000's)
APPLE COMPUTER INC 462,099 -5,015 $63,178
     AAPL462,099-5,015$63,178
S&P 500 EQUITY INDEX ETF SPY (SPY) 159,170 +1,553 $60,047
     SPY159,170+1,553$60,047
MICROSOFT CORP 191,312 -1,747 $49,135
     MSFT191,312-1,747$49,135
AMAZON COM INC 343,090 +326,064 $36,440
     AMZN343,090+326,064$36,440
ALPHABET INC CLASS A 15,695 -145 $34,203
     GOOGL15,695-145$34,203
ACCENTURE PLC 108,707 -1,360 $30,182
     ACN108,707-1,360$30,182
COSTCO WHOLESALE CORP NEW 62,625 -1,081 $30,015
     COST62,625-1,081$30,015
THERMO FISHER SCIENTIFIC 53,131 -786 $28,865
     TMO53,131-786$28,865
BLACKSTONE GROUP ORD SHS CLASS 313,016 -7,835 $28,556
     BX313,016-7,835$28,556
NVIDIA CORP COM 187,330 -2,485 $28,397
     NVDA187,330-2,485$28,397
MERCK AND CO INC 298,272 -2,165 $27,193
     MRK298,272-2,165$27,193
MCDONALDS CORP 109,724 -1,205 $27,089
     MCD109,724-1,205$27,089
IQVIA HOLDINGS INC 115,434 -1,840 $25,048
     IQV115,434-1,840$25,048
COCA COLA CO 386,509 -3,972 $24,315
     KO386,509-3,972$24,315
J P MORGAN CHASE AND CO 209,333 -1,765 $23,573
     JPM209,333-1,765$23,573
FEDEX CORP 93,883 -855 $21,284
     FDX93,883-855$21,284
LEIDOS HOLDINGS INC 208,790 -1,730 $21,027
     LDOS208,790-1,730$21,027
VISA INC COM CL A 106,564 -940 $20,981
     V106,564-940$20,981
VULCAN MATERIALS CO 146,200 -1,645 $20,775
     VMC146,200-1,645$20,775
DISNEY WALT CO 204,427 -405 $19,298
     DIS204,427-405$19,298
INTERCONTINENTAL EXCHANGE (ICE) 204,236 -365 $19,206
     ICE204,236-365$19,206
SALESFORCE COM INC 113,947 +2,380 $18,806
     CRM113,947+2,380$18,806
HERSHEY COMPANY 82,595 +82,595 $17,771
     HSY82,595+82,595$17,771
D R HORTON INC COM 267,945 -3,900 $17,735
     DHI267,945-3,900$17,735
ZOETIS INC 98,327 +5 $16,901
     ZTS98,327+5$16,901
INFORMATION TECHNOLOGY SECTOR 210,888 -276 $16,861
     IYW210,888-276$16,861
SPDR S&P BIOTECH XBI (XBI) 204,044 +5,086 $15,154
     XBI204,044+5,086$15,154
GRAPHIC PACKAGINING HOLDING CO 679,085 -5,675 $13,921
     GPK679,085-5,675$13,921
APTARGROUP INC 126,605 -920 $13,067
     ATR126,605-920$13,067
ALPHABET INC CLASS C 3,405 -35 $7,449
     GOOG3,405-35$7,449
HEALTHCARE SECTOR ETF XLV (XLV) 51,148 -146 $6,559
     XLV51,148-146$6,559
HUDSON PACIFIC PPTYS INC COM 374,562 UNCH $5,559
     HPP374,562UNCH$5,559
FINANCIAL SERVICES SECTOR ETF (IYG) 36,910 +602 $5,471
     IYG36,910+602$5,471
BIOTECHNOLOGY SECTOR ETF IBB (IBB) 46,085 -175 $5,421
     IBB46,085-175$5,421
CONSUMER STAPLES SECTOR ETF X (XLP) 64,636 +306 $4,665
     XLP64,636+306$4,665
INDUSTRIAL SECTOR ETF XLI (XLI) 51,660 -1,567 $4,512
     XLI51,660-1,567$4,512
CONSUMER DISCRETIONARY SPDR X (XLY) 28,678 +446 $3,943
     XLY28,678+446$3,943
PHILIP MORRIS INTL INC COM 28,030 UNCH $2,768
     PM28,030UNCH$2,768
COMM SERV SELECT SECTOR SPDR (XLC) 51,012 -833 $2,768
     XLC51,012-833$2,768
INVESCO QQQ TRUST UNIT SER 1 6,628 UNCH $1,858
     QQQ6,628UNCH$1,858
ALTRIA GROUP INC 38,569 UNCH $1,611
     MO38,569UNCH$1,611
OAKTREE SPECIALTY LENDING ORD 240,124 UNCH $1,573
     OCSL240,124UNCH$1,573
FINANCIAL SECTOR ETF XLF (XLF) 49,093 -1,315 $1,544
     XLF49,093-1,315$1,544
BERKSHIRE HATHAWAY INC CL B      $1,330
     BRK.B4,870UNCH$1,330
TESLA MTRS INC COM 1,951 +75 $1,314
     TSLA1,951+75$1,314
QUALCOMM INC 10,225 UNCH $1,306
     QCOM10,225UNCH$1,306
AMGEN INC 5,074 UNCH $1,235
     AMGN5,074UNCH$1,235
AMERICAN EXPRESS COMPANY 8,615 UNCH $1,194
     AXP8,615UNCH$1,194
MONDELEZ INTERNATIONAL INC. 17,801 UNCH $1,105
     MDLZ17,801UNCH$1,105
JOHNSON AND JOHNSON CO 6,063 UNCH $1,076
     JNJ6,063UNCH$1,076
EXXON MOBIL CORP 11,362 +2 $973
     XOM11,362+2$973
STANDARD & POORS GROWTH INDEX (IVW) 16,021 -2,194 $967
     IVW16,021-2,194$967
PROCTER AND GAMBLE CO 6,158 UNCH $885
     PG6,158UNCH$885
WATER INFRASTRUCTURE SECTOR ET 15,415 -345 $712
     PHO15,415-345$712
CISCO SYSTEMS INC 16,387 -100 $699
     CSCO16,387-100$699
BANK OF AMERICA CORP 20,330 UNCH $633
     BAC20,330UNCH$633
SOUTHERN CO 8,698 UNCH $620
     SO8,698UNCH$620
PROSHARES ULTRAPRO S&P 500 (UPRO) 16,606 -1,504 $579
     UPRO16,606-1,504$579
WAL MART STORES INC 4,508 UNCH $548
     WMT4,508UNCH$548
AMERICAN TOWER CORPORATION 1,968 UNCH $503
     AMT1,968UNCH$503
ORACLE CORP 6,827 UNCH $477
     ORCL6,827UNCH$477
PEPSICO INC 2,822 UNCH $470
     PEP2,822UNCH$470
PFIZER INC 8,938 UNCH $469
     PFE8,938UNCH$469
UNION PACIFIC CORP 2,199 -225 $469
     UNP2,199-225$469
INTUITIVE SURGICAL INC COM 2,287 -25 $459
     ISRG2,287-25$459
AT&T 19,973 UNCH $419
     T19,973UNCH$419
VANGUARD GROWTH AND INCOME MUT      $419
     MUT1,200UNCH$419
HONEYWELL INTL INC 2,371 UNCH $412
     HON2,371UNCH$412
NORFOLK SOUTHERN CORP COM 1,798 UNCH $409
     NSC1,798UNCH$409
ISHARES TRUST S&P 500 INDEX FU (IVV) 1,071 -15 $406
     IVV1,071-15$406
AMERIPRISE FINL INC COM 1,609 UNCH $382
     AMP1,609UNCH$382
STARBUCKS CORP 4,671 +5 $357
     SBUX4,671+5$357
HOME DEPOT INC 1,227 UNCH $337
     HD1,227UNCH$337
S&P 400 MIDCAP SPDRS (MDY) 800 -30 $331
     MDY800-30$331
CROWN CASTLE INTERNATIONAL REI 1,928 UNCH $325
     CCI1,928UNCH$325
NEXTERA ENERGY INC COM 4,125 UNCH $320
     NEE4,125UNCH$320
SAP SPONSORED ADR 3,400 UNCH $308
     SAP3,400UNCH$308
ELI LILLY & CO 948 UNCH $307
     LLY948UNCH$307
BRISTOL MYERS SQUIBB 3,924 UNCH $302
     BMY3,924UNCH$302
SEALED AIR CORP NEW 5,000 UNCH $289
     SEE5,000UNCH$289
XYLEM INC 3,675 -198 $287
     XYL3,675-198$287
TECH NETWORKING HARDWARE ETF (IGN) 4,810 -695 $283
     IGN4,810-695$283
ALLSTATE CORP 2,169 UNCH $275
     ALL2,169UNCH$275
DANAHER CORP 1,068 UNCH $271
     DHR1,068UNCH$271
INTERNATIONAL BUSINESS MACHINE 1,851 UNCH $261
     IBM1,851UNCH$261
DEERE & CO COM 865 UNCH $259
     DE865UNCH$259
CHEVRON CORP 1,735 UNCH $251
     CVX1,735UNCH$251
META PLATFORMS ORD SHS CLASS A 1,540 -116,836 $248
     FB1,540-116,836$248
WEYERHAEUSER CO 6,995 UNCH $232
     WY6,995UNCH$232
KRAFT HEINZ CO 5,966 UNCH $228
     KHC5,966UNCH$228
ABBVIE INC. 1,345 UNCH $206
     ABBV1,345UNCH$206
RAYTHEON TECHNOLOGIES CORP 2,121 UNCH $204
     RTX2,121UNCH$204
ALLY FINANCIAL INC 6,050 -464,940 $203
     ALLY6,050-464,940$203
ISHARES GLOBAL CLEAN ENERGY (ICLN) 10,000 UNCH $191
     ICLN10,000UNCH$191
VANGUARD CORE BOND FUND CL INV      $178
     MUT19,048+109$178
FIGS INC CL A 10,913 +10,913 $99
     FIGS10,913+10,913$99
BION ENVIRNMNTL TECH 42,914 UNCH $51
     COM42,914UNCH$51
IRELAND INC COM NEW 55,000 UNCH <$1
     COM55,000UNCH$0
MAX SOUND CORP. 165,000 UNCH <$1
     COM165,000UNCH$0
SAPPHIRE IND CORP UTS ESCROW      <$1
     ESC39,000UNCH$0
SEARCHLIGHT MINERALS COM NEW 28,100 +0 $0
     COM28,100UNCH$0
AUTODESK INC COM $0 (exited)
     ADSK0-1,114$0
BOEING CO $0 (exited)
     BA0-1,284$0
CUBESMART $0 (exited)
     CUBE0-3,946$0
EMERSON ELECTRIC CO $0 (exited)
     EMR0-2,198$0
EQUINIX INC $0 (exited)
     EQIX0-390$0
FIRST INDUSTRIAL REALTY TRUST $0 (exited)
     FR0-3,688$0
INTEL CORP $0 (exited)
     INTC0-4,459$0
INVESCO ETF TRUST WNDRHLL CLN $0 (exited)
     PBW0-3,500$0
PARKER HANNIFIN CORP $0 (exited)
     PH0-89,233$0
S&P GLOBAL INC COM $0 (exited)
     SPGI0-598$0
SQUARE INC 0 -1,683 $0 (exited)
     SQ0-1,683$0

See Summary: Howard Capital Management Group LLC Top Holdings
See Details: Top 10 Stocks Held By Howard Capital Management Group LLC

EntityShares/Amount
Change
Position Value
Change
HSY +82,595+$17,771
FIGS +10,913+$99
EntityShares/Amount
Change
Position Value
Change
PH -89,233-$25,321
EQIX -390-$289
BA -1,284-$246
SPGI -598-$245
ADSK -1,114-$239
SQ -1,683-$228
PBW -3,500-$228
FR -3,688-$228
INTC -4,459-$221
EMR -2,198-$216
EntityShares/Amount
Change
Position Value
Change
AMZN +326,064-$19,064
XBI +5,086-$2,728
CRM +2,380-$4,882
SPY +1,553-$11,139
IYG +602-$1,076
XLY +446-$1,280
XLP +306-$217
VANGUARD CORE BOND FUND CL INV +109-$10
TSLA +75-$708
ZTS +5-$1,642
EntityShares/Amount
Change
Position Value
Change
ALLY -464,940-$20,276
FB -116,836-$26,074
BX -7,835-$12,173
GPK -5,675+$198
AAPL -5,015-$18,385
KO -3,972+$105
DHI -3,900-$2,520
NVDA -2,485-$23,396
IVW -2,194-$424
Size ($ in 1000's)
At 06/30/2022: $851,797
At 03/31/2022: $1,099,490

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

All Stocks Held By Howard Capital Management Group LLC | www.HoldingsChannel.com

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