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

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
ISHARES TR (IJH) 1,470,545 -94,681 $407,562
     IJH1,470,545-94,681$407,562
ISHARES TR (IWB) 1,547,720 -80,198 $405,905
     IWB1,547,720-80,198$405,905
ISHARES TR (USMV) 3,577,133 -4,999 $279,124
     USMV3,577,133-4,999$279,124
ISHARES TR (IWM) 1,320,393 -237,076 $265,016
     IWM1,320,393-237,076$265,016
VANGUARD INTL EQUITY INDEX F (VWO) 6,002,949 +70,548 $246,721
     VWO6,002,949+70,548$246,721
SPDR S&P 500 ETF TR (SPY) 510,691 +98,474 $242,737
     SPY510,691+98,474$242,737
ISHARES TR (IJR) 1,812,439 -312,384 $196,197
     IJR1,812,439-312,384$196,197
VANGUARD INDEX FDS (VOO) 238,203 -23,009 $104,047
     VOO238,203-23,009$104,047
ISHARES TR (INDA) 1,960,463 -308,976 $95,690
     INDA1,960,463-308,976$95,690
VANGUARD INDEX FDS (VV) 435,581 -32,276 $95,022
     VV435,581-32,276$95,022
VANGUARD INDEX FDS (VO) 367,442 -29,089 $85,482
     VO367,442-29,089$85,482
DIMENSIONAL ETF TRUST (DFAC) 2,865,643 -79,789 $83,763
     DFAC2,865,643-79,789$83,763
VANGUARD INDEX FDS (VNQ) 911,439 -188,321 $80,535
     VNQ911,439-188,321$80,535
VANGUARD INDEX FDS (VB) 304,104 -23,055 $64,875
     VB304,104-23,055$64,875
ISHARES TR (IWR) 664,220 -53,172 $51,630
     IWR664,220-53,172$51,630
ISHARES TR (EWU) 1,513,446 -160,073 $50,019
     EWU1,513,446-160,073$50,019
ISHARES INC (EWJ) 768,040 -19,848 $49,262
     EWJ768,040-19,848$49,262
ISHARES TR (IQLT) 1,291,678 -198,106 $48,515
     IQLT1,291,678-198,106$48,515
ISHARES INC (EWT) 1,016,634 -68,206 $46,796
     EWT1,016,634-68,206$46,796
DIMENSIONAL ETF TRUST (DFAE) 1,594,086 +156,199 $38,433
     DFAE1,594,086+156,199$38,433
DIMENSIONAL ETF TRUST (DFIC) 1,475,301 +156,777 $37,664
     DFIC1,475,301+156,777$37,664
ISHARES TR (QUAL) 221,106 -17,681 $32,534
     QUAL221,106-17,681$32,534
DIMENSIONAL ETF TRUST (DUHP) 1,043,052 -56,782 $29,842
     DUHP1,043,052-56,782$29,842
ISHARES INC (EWL) 467,504 -66,758 $22,566
     EWL467,504-66,758$22,566
ISHARES TR (EMB) 224,199 +224,199 $19,967
     EMB224,199+224,199$19,967
ISHARES INC (EWW) 243,537 -25,875 $16,524
     EWW243,537-25,875$16,524
ISHARES INC (EWZ) 470,558 -59,393 $16,451
     EWZ470,558-59,393$16,451
WISDOMTREE TR 384,523 -53,793 $15,765
     EPI384,523-53,793$15,765
ISHARES INC (EWC) 429,477 -32,589 $15,753
     EWC429,477-32,589$15,753
ISHARES INC (EWA) 641,238 -108,758 $15,608
     EWA641,238-108,758$15,608
ISHARES INC (EWH) 686,232 +128,716 $11,920
     EWH686,232+128,716$11,920
ISHARES INC (EWS) 519,016 +102,373 $9,706
     EWS519,016+102,373$9,706
SELECT SECTOR SPDR TR (XLB) 102,123 -48,255 $8,736
     XLB102,123-48,255$8,736
ISHARES INC (EWQ) 211,033 -15,130 $8,268
     EWQ211,033-15,130$8,268
ISHARES INC (EWP) 259,367 -33,361 $7,942
     EWP259,367-33,361$7,942
VANGUARD INTL EQUITY INDEX F (VGK) 93,268 -13,241 $6,014
     VGK93,268-13,241$6,014
ISHARES INC (THD) 88,525 +12,458 $5,653
     THD88,525+12,458$5,653
ISHARES INC (EZA) 134,839 -3,618 $5,635
     EZA134,839-3,618$5,635
ISHARES INC (EWM) 200,477 -29,875 $4,260
     EWM200,477-29,875$4,260
VANGUARD INDEX FDS (VOE) 26,170 -11,229 $3,795
     VOE26,170-11,229$3,795
VANECK ETF TRUST (GDXJ) 99,125 +99,125 $3,758
     GDXJ99,125+99,125$3,758
ISHARES INC (TUR) 111,274 -10,126 $3,592
     TUR111,274-10,126$3,592
VANECK ETF TRUST (GDX) 114,949 +114,949 $3,565
     GDX114,949+114,949$3,565
SELECT SECTOR SPDR TR (XLE) 33,276 +13,159 $2,790
     XLE33,276+13,159$2,790
ISHARES TR (ESGU) 21,555 +17,672 $2,262
     ESGU21,555+17,672$2,262
SELECT SECTOR SPDR TR (XLI) 19,116 -24,968 $2,179
     XLI19,116-24,968$2,179
SELECT SECTOR SPDR TR (XLU) 33,039 +33,039 $2,092
     XLU33,039+33,039$2,092
ISHARES INC (FM) 75,081 +15,474 $1,975
     FM75,081+15,474$1,975
SCHWAB STRATEGIC TR 72,050 +6,333 $1,492
     SCHH72,050+6,333$1,492
ISHARES TR (ESGD) 14,277 +14,277 $1,078
     ESGD14,277+14,277$1,078
ISHARES TR (MCHI) 16,732 +399 $682
     MCHI16,732+399$682
ISHARES INC (ESGE) 17,821 +2,433 $571
     ESGE17,821+2,433$571
ISHARES INC (EEMS) 8,693 +181 $503
     EEMS8,693+181$503
VANGUARD INTL EQUITY INDEX F (VNQI) 11,698 +6,558 $498
     VNQI11,698+6,558$498
ISHARES TR (IFRA) 10,425 +6,253 $420
     IFRA10,425+6,253$420
ISHARES TR (SUSL) 3,126 +3,126 $264
     SUSL3,126+3,126$264
ISHARES INC (PICK) 5,019 +5,019 $216
     PICK5,019+5,019$216
INVESCO EXCHANGE TRADED FD T (PHO) 3,128 +3,128 $190
     PHO3,128+3,128$190
FARMLAND PARTNERS INC 14,702 -3,166 $183
     FPI14,702-3,166$183
CBOE GLOBAL MKTS INC 1,005 -226 $179
     CBOE1,005-226$179
FLEXSHARES TR (NFRA) 3,231 +3,231 $173
     NFRA3,231+3,231$173
INTERCONTINENTAL EXCHANGE IN (ICE) 1,332 -7 $171
     ICE1,332-7$171
GLADSTONE LD CORP 11,674 -390 $169
     LAND11,674-390$169
CME GROUP INC 708 -112 $149
     CME708-112$149
SPDR SER TR (WIP) 3,395 +1,961 $142
     WIP3,395+1,961$142
DBX ETF TR (USSG) 2,638 -3,130 $117
     USSG2,638-3,130$117
GLOBAL X FDS 3,690 +3,690 $105
     SIL3,690+3,690$105
LINDE PLC 237 -24 $97
     LIN237-24$97
INVESCO EXCH TRADED FD TR II (CGW) 1,743 +1,743 $92
     CGW1,743+1,743$92
ISHARES TR (WOOD) 1,030 +1,030 $84
     WOOD1,030+1,030$84
AIR PRODS & CHEMS INC 274 -7 $75
     APD274-7$75
SPDR INDEX SHS FDS (GII) 1,151 +1,151 $62
     GII1,151+1,151$62
PNM RES INC 1,430 -60 $59
     PNM1,430-60$59
PROSHARES TR (TOLZ) 1,262 +981 $58
     TOLZ1,262+981$58
VANECK ETF TRUST (MOO) 586 -101 $45
     MOO586-101$45
BWX TECHNOLOGIES INC 557 -104 $43
     BWXT557-104$43
SCHNITZER STEEL INDS INC 1,280 +86 $42
     SCHN1,280+86$42
ECOLAB INC 205 -33 $41
     ECL205-33$41
PUBLIC SVC ENTERPRISE GRP IN 629 -178 $38
     PEG629-178$38
ENTERGY CORP NEW 369 -93 $37
     ETR369-93$37
PG&E CORP 2,072 -650 $37
     PCG2,072-650$37
TETRA TECH INC NEW 213 -32 $36
     TTEK213-32$36
WASTE MGMT INC DEL 202 -29 $36
     WM202-29$36
REPUBLIC SVCS INC 213 -42 $35
     RSG213-42$35
FUELCELL ENERGY INC 21,099 -391 $34
     FCEL21,099-391$34
DOMINION ENERGY INC 693 -165 $33
     D693-165$33
DARLING INGREDIENTS INC 659 +60 $33
     DAR659+60$33
RELIANCE STEEL & ALUMINUM CO 119 -6 $33
     RS119-6$33
TORO CO 344 -19 $33
     TTC344-19$33
WORTHINGTON ENTERPRISES INC 576 +206 $33
     WOR576+206$33
FIRST TR EXCHANGE TRADED FD (LEGR) 773 -161 $32
     LEGR773-161$32
GIBRALTAR INDS INC 406 -5 $32
     ROCK406-5$32
BLOOM ENERGY CORP 2,010 -461 $30
     BE2,010-461$30
SUNCOKE ENERGY INC 2,828 -167 $30
     SXC2,828-167$30
DONALDSON INC 442 -7 $29
     DCI442-7$29
LIVENT CORP 1,483 +327 $27
     LTHM1,483+327$27
INVESCO EXCH TRADED FD TR II (PIO) 679 +521 $27
     PIO679+521$27
PLUG POWER INC 6,028 +2,190 $27
     PLUG6,028+2,190$27
STERIS PLC 124 +9 $27
     STE124+9$27
COMMERCIAL METALS CO 515 +42 $26
     CMC515+42$26
WEYERHAEUSER CO MTN BE 753 -78 $26
     WY753-78$26
ATI INC 560 -12 $25
     ATI560-12$25
CLEAN HARBORS INC 143 -8 $25
     CLH143-8$25
CASELLA WASTE SYS INC 289 -68 $25
     CWST289-68$25
ENERGY RECOVERY INC 1,310 -69 $25
     ERII1,310-69$25
WARRIOR MET COAL INC 405 -212 $25
     HCC405-212$25
POTLATCHDELTIC CORPORATION 518 -88 $25
     PCH518-88$25
TRONOX HOLDINGS PLC 1,750 -80 $25
     TROX1,750-80$25
ROPER TECHNOLOGIES INC 44 -6 $24
     ROP44-6$24
TIMKENSTEEL CORPORATION 1,029 +16 $24
     TMST1,029+16$24
TENNANT CO 255 -42 $24
     TNC255-42$24
UNITED STATES STL CORP NEW 502 -43 $24
     X502-43$24
MP MATERIALS CORP 1,159 +155 $23
     MP1,159+155$23
NUCOR CORP 131 -5 $23
     NUE131-5$23
ABM INDS INC 495 -67 $22
     ABM495-67$22
RAYONIER INC 671 -231 $22
     RYN671-231$22
STEEL DYNAMICS INC 186 -23 $22
     STLD186-23$22
CARPENTER TECHNOLOGY CORP 295 -64 $21
     CRS295-64$21
INTERNATIONAL PAPER CO 590 -62 $21
     IP590-62$21
PILGRIMS PRIDE CORP 744 -29 $21
     PPC744-29$21
RYERSON HLDG CORP 603 +15 $21
     RYI603+15$21
STERICYCLE INC 418 -82 $21
     SRCL418-82$21
TYSON FOODS INC 399 -8 $21
     TSN399-8$21
BUNGE GLOBAL SA 202 +6 $20
     BG202+6$20
URANIUM ENERGY CORP 3,171 -1,996 $20
     UEC3,171-1,996$20
ARCHER DANIELS MIDLAND CO 261 -23 $19
     ADM261-23$19
AMER STATES WTR CO 241 -33 $19
     AWR241-33$19
ATLANTICA SUSTAINABLE INFR P 901 -139 $19
     AY901-139$19
BALCHEM CORP 131 -7 $19
     BCPC131-7$19
CLEVELAND CLIFFS INC NEW 924 -156 $19
     CLF924-156$19
DUKE ENERGY CORP NEW 198 -36 $19
     DUK198-36$19
GENERAL ELECTRIC CO 147 -20 $19
     GE147-20$19
IDEX CORP 86 -2 $19
     IEX86-2$19
SJW GROUP 289 -79 $19
     SJW289-79$19
WATERS CORP 57 -13 $19
     WAT57-13$19
WESTROCK CO 462 -175 $19
     WRK462-175$19
ZOETIS INC 96 -6 $19
     ZTS96-6$19
ARCOSA INC 219 -2 $18
     ACA219-2$18
CALIFORNIA WTR SVC GROUP 353 -85 $18
     CWT353-85$18
DANAHER CORPORATION 77 -1 $18
     DHR77-1$18
SYLVAMO CORP 362 -78 $18
     SLVM362-78$18
BADGER METER INC 110 +3 $17
     BMI110+3$17
CECO ENVIRONMENTAL CORP 854 -414 $17
     CECO854-414$17
FRANKLIN ELEC INC 175 UNCH $17
     FELE175UNCH$17
HEXCEL CORP NEW 236 -4 $17
     HXL236-4$17
ALLIANT ENERGY CORP 332 -63 $17
     LNT332-63$17
PIEDMONT LITHIUM INC 619 +193 $17
     PLL619+193$17
ESSENTIAL UTILS INC 466 -100 $17
     WTRG466-100$17
ALTUS POWER INC 2,313 +163 $16
     AMPS2,313+163$16
SMITH A O CORP 194 -35 $16
     AOS194-35$16
CF INDS HLDGS INC 199 +11 $16
     CF199+11$16
MERCER INTL INC 1,702 -311 $16
     MERC1,702-311$16
MUELLER INDS INC 339 +132 $16
     MLI339+132$16
MIDDLESEX WTR CO 241 -31 $16
     MSEX241-31$16
MUELLER WTR PRODS INC 1,081 -68 $16
     MWA1,081-68$16
OWENS CORNING NEW 108 -13 $16
     OC108-13$16
CORTEVA INC 317 -15 $15
     CTVA317-15$15
DEERE & CO 38 +1 $15
     DE38+1$15
LINDSAY CORP 113 -7 $15
     LNN113-7$15
PENTAIR PLC 211 -14 $15
     PNR211-14$15
WATTS WATER TECHNOLOGIES INC 73 -14 $15
     WTS73-14$15
XYLEM INC 132 -28 $15
     XYL132-28$15
AMERICAN WTR WKS CO INC NEW 105 -43 $14
     AWK105-43$14
FIRST SOLAR INC 83 -6 $14
     FSLR83-6$14
ITRON INC 182 -22 $14
     ITRI182-22$14
VALMONT INDS INC 59 -6 $14
     VMI59-6$14
AGCO CORP 103 +3 $13
     AGCO103+3$13
ARIS WATER SOLUTIONS INC 1,588 +1,588 $13
     ARIS1,588+1,588$13
CANADIAN SOLAR INC 502 +34 $13
     CSIQ502+34$13
FMC CORP 201 +14 $13
     FMC201+14$13
NEXTERA ENERGY INC 213 -49 $13
     NEE213-49$13
NEOGEN CORP 668 +70 $13
     NEOG668+70$13
ADVANCED DRAIN SYS INC DEL 91 -6 $13
     WMS91-6$13
ZURN ELKAY WATER SOLNS CORP 436 -46 $13
     ZWS436-46$13
ELANCO ANIMAL HEALTH INC 830 -171 $12
     ELAN830-171$12
ENPHASE ENERGY INC 90 -1 $12
     ENPH90-1$12
MAXEON SOLAR TECHNOLOGIES LT 1,641 +1,038 $12
     MAXN1,641+1,038$12
MONTROSE ENVIRONMENTAL GROUP 351 -10 $11
     MEG351-10$11
SUNRUN INC 566 -58 $11
     RUN566-58$11
ARRAY TECHNOLOGIES INC 572 +138 $10
     ARRY572+138$10
SIREN ETF TR (BLCN) 389 +389 $10
     BLCN389+389$10
HANNON ARMSTRONG SUST INFR C 375 -152 $10
     HASI375-152$10
MOSAIC CO NEW 271 -6 $10
     MOS271-6$10
SUNNOVA ENERGY INTL INC. 681 -65 $10
     NOVA681-65$10
SOLAREDGE TECHNOLOGIES INC 111 +42 $10
     SEDG111+42$10
SHOALS TECHNOLOGIES GROUP IN 632 +65 $10
     SHLS632+65$10
VERTEX ENERGY INC 3,022 +373 $10
     VTNR3,022+373$10
PURECYCLE TECHNOLOGIES INC 2,217 +821 $9
     PCT2,217+821$9
SUNPOWER CORP 1,811 +355 $9
     SPWR1,811+355$9
BEYOND MEAT INC 913 +226 $8
     BYND913+226$8
FIRST TR EXCHANGE TRADED FD $0 (exited)
     FAN0-528$0
LI CYCLE HOLDINGS CORP $0 (exited)
     LICY0-3,161$0
ISHARES TR $0 (exited)
     TIP0-27,814$0
TPI COMPOSITES INC $0 (exited)
     TPIC0-1,614$0
GLOBAL X FDS 0 -5,487 $0 (exited)
     URA0-5,487$0

See Summary: Millburn Ridgefield Corp Top Holdings
See Details: Top 10 Stocks Held By Millburn Ridgefield Corp

EntityShares/Amount
Change
Position Value
Change
EMB +224,199+$19,967
GDXJ +99,125+$3,758
GDX +114,949+$3,565
XLU +33,039+$2,092
ESGD +14,277+$1,078
SUSL +3,126+$264
PICK +5,019+$216
PHO +3,128+$190
NFRA +3,231+$173
SIL +3,690+$105
EntityShares/Amount
Change
Position Value
Change
TIP -27,814-$2,885
URA -5,487-$148
LICY -3,161-$11
FAN -528-$8
TPIC -1,614-$4
EntityShares/Amount
Change
Position Value
Change
DFIC +156,777+$6,876
DFAE +156,199+$5,980
EWH +128,716+$2,359
EWS +102,373+$2,061
SPY +98,474+$66,522
VWO +70,548+$14,112
ESGU +17,672+$1,897
FM +15,474+$430
XLE +13,159+$972
THD +12,458+$900
EntityShares/Amount
Change
Position Value
Change
IJR -312,384-$4,238
INDA -308,976-$4,665
IWM -237,076-$10,251
IQLT -198,106-$1,557
VNQ -188,321-$2,673
EWU -160,073-$2,931
EWA -108,758-$524
IJH -94,681+$17,273
IWB -80,198+$23,491
Size ($ in 1000's)
At 12/31/2023: $3,264,388
At 09/30/2023: $3,083,989

Millburn Ridgefield Corp holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Millburn Ridgefield Corp 13F filings. Link to 13F filings: SEC filings

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