HoldingsChannel.com
All Stocks Held By Riggs Asset Managment Co. Inc.
As of  03/31/2024, we find all stocks held by Riggs Asset Managment Co. Inc. to be as follows, presented in the table below with each row detailing each Riggs Asset Managment Co. Inc. position, ordered by largest to smallest position size. The all-stocks-held-by-Riggs Asset Managment Co. 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 Riggs Asset Managment Co. Inc. as of the latest filing.

   EntityAmountChange
 12/31/2023 to 03/31/2024
Position Size
($ in 1000's)
GLOBAL X FDS 445,815 +589 $17,748
     PAVE445,815+589$17,748
ISHARES TR (ITB) 117,502 -493 $13,603
     ITB117,502-493$13,603
SPDR GOLD TR (GLD) 62,063 -21,408 $12,768
     GLD62,063-21,408$12,768
ISHARES TR (IGV) 146,504 +116,438 $12,492
     IGV146,504+116,438$12,492
NVIDIA CORPORATION 12,885 -3,065 $11,642
     NVDA12,885-3,065$11,642
FIRST TR EXCHANGE TRADED FD (AIRR) 170,296 +98,065 $11,466
     AIRR170,296+98,065$11,466
ISHARES TR (IJH) 181,542 +148,014 $11,027
     IJH181,542+148,014$11,027
VISA INC 36,096 -82 $10,074
     V36,096-82$10,074
SELECT SECTOR SPDR TR (XLE) 98,189 +1,846 $9,270
     XLE98,189+1,846$9,270
ALPS ETF TR (AMLP) 195,128 +2,880 $9,261
     AMLP195,128+2,880$9,261
APPLE INC 48,736 -2,789 $8,357
     AAPL48,736-2,789$8,357
ASML HOLDING N V 8,173 -1,505 $7,932
     ASML8,173-1,505$7,932
MICROSOFT CORP 18,611 +1,043 $7,830
     MSFT18,611+1,043$7,830
ALPHABET INC 46,567 -211 $7,090
     GOOG46,567-211$7,090
VANECK ETF TRUST (SLX) 91,019 +977 $6,610
     SLX91,019+977$6,610
AMAZON COM INC 35,930 +469 $6,481
     AMZN35,930+469$6,481
ISHARES TR (IBB) 46,778 +46,778 $6,419
     IBB46,778+46,778$6,419
ISHARES TR (IHI) 108,597 +108,597 $6,363
     IHI108,597+108,597$6,363
BROADCOM INC 4,788 -1,187 $6,346
     AVGO4,788-1,187$6,346
MCDONALDS CORP 21,578 -83 $6,084
     MCD21,578-83$6,084
GLOBAL X FDS 210,798 +4,404 $6,077
     URA210,798+4,404$6,077
TRANSDIGM GROUP INC 4,690 +2,492 $5,776
     TDG4,690+2,492$5,776
INTERNATIONAL BUSINESS MACHS 29,846 -9,002 $5,699
     IBM29,846-9,002$5,699
STERLING INFRASTRUCTURE INC 51,666 -15,995 $5,699
     STRL51,666-15,995$5,699
SPDR SER TR (XME) 94,225 +4,273 $5,680
     XME94,225+4,273$5,680
NOVO NORDISK A S 44,016 -2,327 $5,652
     NVO44,016-2,327$5,652
WALMART INC 90,364 +60,508 $5,437
     WMT90,364+60,508$5,437
PALO ALTO NETWORKS INC 18,022 -415 $5,121
     PANW18,022-415$5,121
ISHARES TR (IWM) 24,160 +20,713 $5,081
     IWM24,160+20,713$5,081
SPDR SER TR (JNK) 52,342 -1,149 $4,983
     JNK52,342-1,149$4,983
SPDR SER TR (CWB) 65,174 -2,300 $4,760
     CWB65,174-2,300$4,760
ARISTA NETWORKS INC 14,142 -624 $4,101
     ANET14,142-624$4,101
VANGUARD INDEX FDS (VUG) 9,993 -930 $3,440
     VUG9,993-930$3,440
INVESCO QQQ TR 7,700 -2,540 $3,419
     QQQ7,700-2,540$3,419
INVESCO EXCHANGE TRADED FD T (PPA) 32,175 +4 $3,268
     PPA32,175+4$3,268
CROWDSTRIKE HLDGS INC 9,983 -237 $3,200
     CRWD9,983-237$3,200
AMERICAN EXPRESS CO 13,973 +13,673 $3,182
     AXP13,973+13,673$3,182
ISHARES TR (FLOT) 60,030 -1,771 $3,065
     FLOT60,030-1,771$3,065
SELECT SECTOR SPDR TR (XLK) 13,961 -640 $2,908
     XLK13,961-640$2,908
SKECHERS U S A INC 46,559 +46,559 $2,852
     SKX46,559+46,559$2,852
SPDR S&P 500 ETF TR (SPY) 5,406 -3,257 $2,828
     SPY5,406-3,257$2,828
EAGLE MATLS INC 9,954 -1,473 $2,705
     EXP9,954-1,473$2,705
INVESCO EXCH TRADED FD TR II (BKLN) 127,649 -5,860 $2,700
     BKLN127,649-5,860$2,700
SPDR SER TR (XOP) 16,987 +14,751 $2,632
     XOP16,987+14,751$2,632
MONSTER BEVERAGE CORP NEW 43,328 +731 $2,568
     MNST43,328+731$2,568
META PLATFORMS INC 5,066 +117 $2,460
     META5,066+117$2,460
ELI LILLY & CO 3,097 -134 $2,409
     LLY3,097-134$2,409
INVESCO EXCHANGE TRADED FD T (SPHQ) 38,851 -527 $2,347
     SPHQ38,851-527$2,347
MERCK & CO INC 17,453 +400 $2,303
     MRK17,453+400$2,303
NUCOR CORP 11,476 -1,097 $2,271
     NUE11,476-1,097$2,271
SELECT SECTOR SPDR TR (XLB) 24,020 -20,623 $2,231
     XLB24,020-20,623$2,231
ADVANCED MICRO DEVICES INC 12,127 -3,062 $2,189
     AMD12,127-3,062$2,189
SERVICENOW INC 2,822 +27 $2,151
     NOW2,822+27$2,151
MERCADOLIBRE INC 1,396 -12 $2,111
     MELI1,396-12$2,111
GLOBAL X FDS 59,072 +425 $2,006
     AIQ59,072+425$2,006
FREEPORT MCMORAN INC 38,948 -992 $1,831
     FCX38,948-992$1,831
ISHARES TR (MBB) 19,695 -1,514 $1,820
     MBB19,695-1,514$1,820
PALANTIR TECHNOLOGIES INC 65,962 -1,489 $1,518
     PLTR65,962-1,489$1,518
SELECT SECTOR SPDR TR (XLF) 34,706 +421 $1,462
     XLF34,706+421$1,462
CULLEN FROST BANKERS INC 9,985 -72 $1,124
     CFR9,985-72$1,124
BERKSHIRE HATHAWAY INC DEL      $1,000
     BRK.B2,377-32$1,000
TESLA INC 5,411 -147 $951
     TSLA5,411-147$951
ISHARES TR (IEI) 7,909 -508 $916
     IEI7,909-508$916
ISHARES TR (AGG) 9,322 -410 $913
     AGG9,322-410$913
ISHARES TR (LQD) 8,256 -619 $899
     LQD8,256-619$899
ISHARES GOLD TR (IAU) 17,004 -333 $714
     IAU17,004-333$714
SELECT SECTOR SPDR TR (XLI) 4,868 +16 $613
     XLI4,868+16$613
VANECK ETF TRUST (SMH) 2,636 -2,340 $593
     SMH2,636-2,340$593
VANECK ETF TRUST (OIH) 1,530 -386 $515
     OIH1,530-386$515
MIDDLEFIELD BANC CORP 18,530 -50 $442
     MBCN18,530-50$442
ISHARES TR (HYG) 5,563 -84 $432
     HYG5,563-84$432
ORACLE CORP 3,219 UNCH $404
     ORCL3,219UNCH$404
AUTOZONE INC 120 UNCH $378
     AZO120UNCH$378
SPDR S&P MIDCAP 400 ETF TR (MDY) 623 +302 $347
     MDY623+302$347
MARRIOTT INTL INC NEW 1,343 -18 $339
     MAR1,343-18$339
ISHARES TR (IEO) 3,106 +2,909 $332
     IEO3,106+2,909$332
INVESCO EXCH TRADED FD TR II (DWAS) 3,600 +3,600 $327
     DWAS3,600+3,600$327
ALPHABET INC 2,107 UNCH $318
     GOOGL2,107UNCH$318
COSTCO WHSL CORP NEW 421 +8 $308
     COST421+8$308
HOME DEPOT INC 790 -13 $303
     HD790-13$303
COMMUNITY BK SYS INC 5,378 -407 $258
     CBU5,378-407$258
CARRIER GLOBAL CORPORATION 4,399 -1,000 $256
     CARR4,399-1,000$256
HONEYWELL INTL INC 1,233 -18 $253
     HON1,233-18$253
PROCTER AND GAMBLE CO 1,448 +28 $235
     PG1,448+28$235
PEPSICO INC 1,323 +18 $232
     PEP1,323+18$232
SELECT SECTOR SPDR TR (XLY) 1,230 -2,853 $226
     XLY1,230-2,853$226
FIRST TR EXCHANGE TRADED FD (SKYY) 2,351 -147 $225
     SKYY2,351-147$225
NEXTERA ENERGY INC 3,188 UNCH $204
     NEE3,188UNCH$204
JOHNSON & JOHNSON 1,277 -175 $202
     JNJ1,277-175$202
HALLIBURTON CO 5,040 -56,880 $199
     HAL5,040-56,880$199
PEOPLES FINL SVCS CORP 4,274 UNCH $184
     PFIS4,274UNCH$184
BLACKSTONE INC 1,362 +9 $179
     BX1,362+9$179
ISHARES TR (IVV) 341 UNCH $179
     IVV341UNCH$179
DISNEY WALT CO 1,279 +28 $157
     DIS1,279+28$157
FIRST TR EXCHANGE TRADED FD (FIW) 1,539 UNCH $157
     FIW1,539UNCH$157
GLOBAL X FDS 5,065 -5,274 $151
     BUG5,065-5,274$151
EVERGY INC 2,800 UNCH $149
     EVRG2,800UNCH$149
WASHINGTON TR BANCORP INC 5,500 -150 $148
     WASH5,500-150$148
SHERWIN WILLIAMS CO 400 +1 $139
     SHW400+1$139
EXXON MOBIL CORP 1,167 +4 $136
     XOM1,167+4$136
ENERGY TRANSFER L P 7,929 UNCH $125
     ET7,929UNCH$125
JPMORGAN CHASE & CO 585 +33 $117
     JPM585+33$117
LOWES COS INC 429 -15,961 $109
     LOW429-15,961$109
UNITEDHEALTH GROUP INC 220 -25 $109
     UNH220-25$109
ABBOTT LABS 931 +6 $106
     ABT931+6$106
NORFOLK SOUTHN CORP 400 UNCH $102
     NSC400UNCH$102
AMGEN INC 350 -231 $100
     AMGN350-231$100
CONSOLIDATED EDISON INC 1,100 UNCH $100
     ED1,100UNCH$100
BANK AMERICA CORP 2,594 +20 $98
     BAC2,594+20$98
HOLOGIC INC 1,226 UNCH $96
     HOLX1,226UNCH$96
NIKE INC 1,007 -461 $95
     NKE1,007-461$95
VANGUARD INDEX FDS (VTI) 341 -133 $89
     VTI341-133$89
XCEL ENERGY INC 1,578 -13 $85
     XEL1,578-13$85
DOMINION ENERGY INC 1,612 UNCH $79
     D1,612UNCH$79
SPDR SER TR (KRE) 1,551 -7,685 $78
     KRE1,551-7,685$78
TEXAS INSTRS INC 446 +36 $78
     TXN446+36$78
LINDE PLC 162 +12 $75
     LIN162+12$75
UGI CORP NEW 3,037 UNCH $75
     UGI3,037UNCH$75
EMERSON ELEC CO 649 UNCH $74
     EMR649UNCH$74
CSX CORP 1,935 UNCH $72
     CSX1,935UNCH$72
SPDR SER TR (XHE) 805 UNCH $71
     XHE805UNCH$71
PNC FINL SVCS GROUP INC 435 UNCH $70
     PNC435UNCH$70
COMCAST CORP NEW 1,473 +44 $64
     CMCSA1,473+44$64
SCHWAB STRATEGIC TR 791 +6 $64
     SCHD791+6$64
SELECT SECTOR SPDR TR (XLV) 415 +70 $61
     XLV415+70$61
TRANE TECHNOLOGIES PLC 200 UNCH $60
     TT200UNCH$60
M & T BK CORP 404 -5 $59
     MTB404-5$59
RTX CORPORATION 596 -694 $58
     RTX596-694$58
BOEING CO 288 -11,335 $56
     BA288-11,335$56
PPL CORP 2,016 UNCH $56
     PPL2,016UNCH$56
AUTOMATIC DATA PROCESSING IN 214 +14 $53
     ADP214+14$53
REGENERON PHARMACEUTICALS 55 UNCH $53
     REGN55UNCH$53
CHEVRON CORP NEW 327 UNCH $52
     CVX327UNCH$52
ISHARES TR (MUB) 470 UNCH $51
     MUB470UNCH$51
CONOCOPHILLIPS 391 UNCH $50
     COP391UNCH$50
INVESCO EXCH TRADED FD TR II (PSCH) 1,140 UNCH $50
     PSCH1,140UNCH$50
CATERPILLAR INC 132 +10 $48
     CAT132+10$48
DARLING INGREDIENTS INC 1,000 UNCH $47
     DAR1,000UNCH$47
MORGAN STANLEY 499 +7 $47
     MS499+7$47
COCA COLA CO 760 UNCH $46
     KO760UNCH$46
SPDR SER TR (SPMD) 867 UNCH $46
     SPMD867UNCH$46
AVERY DENNISON CORP 200 UNCH $45
     AVY200UNCH$45
MASTERCARD INCORPORATED 93 +20 $45
     MA93+20$45
ABBVIE INC 243 +7 $44
     ABBV243+7$44
PFIZER INC 1,582 -17 $44
     PFE1,582-17$44
VALE S A 3,595 UNCH $44
     VALE3,595UNCH$44
KKR & CO INC 430 +12 $43
     KKR430+12$43
GENERAL DYNAMICS CORP 145 UNCH $41
     GD145UNCH$41
GENERAL ELECTRIC CO 236 +9 $41
     GE236+9$41
WYNN RESORTS LTD 391 UNCH $40
     WYNN391UNCH$40
INTEL CORP 871 +67 $38
     INTC871+67$38
MANULIFE FINL CORP 1,480 UNCH $37
     MFC1,480UNCH$37
SPDR INDEX SHS FDS (SPDW) 1,045 UNCH $37
     SPDW1,045UNCH$37
HOWMET AEROSPACE INC 513 +13 $35
     HWM513+13$35
INVESCO EXCHANGE TRADED FD T (RSPT) 1,000 UNCH $35
     RSPT1,000UNCH$35
AMEDISYS INC 374 UNCH $34
     AMED374UNCH$34
CRISPR THERAPEUTICS AG 500 +200 $34
     CRSP500+200$34
CLOUDFLARE INC 352 UNCH $34
     NET352UNCH$34
CENTENE CORP DEL 426 UNCH $33
     CNC426UNCH$33
GLOBAL X FDS 787 -3,830 $33
     COPX787-3,830$33
CONSTELLATION ENERGY CORP 171 +6 $32
     CEG171+6$32
PRINCIPAL FINANCIAL GROUP IN 372 UNCH $32
     PFG372UNCH$32
RAYMOND JAMES FINL INC 250 UNCH $32
     RJF250UNCH$32
STRYKER CORPORATION 83 +3 $30
     SYK83+3$30
SPDR SER TR (SDY) 221 +96 $29
     SDY221+96$29
SAREPTA THERAPEUTICS INC 225 +125 $29
     SRPT225+125$29
ISHARES TR (IHAK) 608 +219 $28
     IHAK608+219$28
PUBLIC SVC ENTERPRISE GRP IN 424 UNCH $28
     PEG424UNCH$28
TARGET CORP 160 UNCH $28
     TGT160UNCH$28
SHIFT4 PMTS INC 405 -107 $27
     FOUR405-107$27
VERIZON COMMUNICATIONS INC 635 -289 $27
     VZ635-289$27
NETFLIX INC 42 +6 $26
     NFLX42+6$26
TRAVELERS COMPANIES INC 115 UNCH $26
     TRV115UNCH$26
RAMBUS INC DEL 407 +7 $25
     RMBS407+7$25
DELTA AIR LINES INC DEL 493 +100 $24
     DAL493+100$24
GAMING & LEISURE PPTYS INC 494 UNCH $23
     GLPI494UNCH$23
GREEN PLAINS INC 981 +81 $23
     GPRE981+81$23
EDISON INTL 305 -3 $22
     EIX305-3$22
FLUOR CORP NEW 500 UNCH $21
     FLR500UNCH$21
KINDER MORGAN INC DEL 1,147 UNCH $21
     KMI1,147UNCH$21
ACCENTURE PLC IRELAND 58 +15 $20
     ACN58+15$20
DATADOG INC 165 +7 $20
     DDOG165+7$20
HUMANA INC 59 UNCH $20
     HUM59UNCH$20
ISHARES TR (IJR) 180 -101 $20
     IJR180-101$20
ISHARES TR (IXG) 233 UNCH $20
     IXG233UNCH$20
OTIS WORLDWIDE CORP 199 UNCH $20
     OTIS199UNCH$20
QUALCOMM INC 117 +32 $20
     QCOM117+32$20
GRAYSCALE BITCOIN TR BTC 300 +300 $19
     GBTC300+300$19
VANECK ETF TRUST (GDXJ) 495 -197 $19
     GDXJ495-197$19
HERSHEY CO 100 UNCH $19
     HSY100UNCH$19
AMPLIFY ETF TR (IPAY) 360 UNCH $19
     IPAY360UNCH$19
LOCKHEED MARTIN CORP 42 UNCH $19
     LMT42UNCH$19
VANGUARD WORLD FD (VHT) 71 UNCH $19
     VHT71UNCH$19
SPDR SER TR (XHB) 167 UNCH $19
     XHB167UNCH$19
AVANGRID INC 500 UNCH $18
     AGR500UNCH$18
DNP SELECT INCOME FD INC 1,983 UNCH $18
     DNP1,983UNCH$18
ISHARES TR (DVY) 142 +5 $18
     DVY142+5$18
ISHARES TR (ITA) 140 UNCH $18
     ITA140UNCH$18
SCHWAB CHARLES CORP 249 -40,276 $18
     SCHW249-40,276$18
FIRST TR EXCHANGE TRADED FD (CIBR) 300 UNCH $17
     CIBR300UNCH$17
DOW INC 300 UNCH $17
     DOW300UNCH$17
DEVON ENERGY CORP NEW 342 UNCH $17
     DVN342UNCH$17
INGERSOLL RAND INC 176 UNCH $17
     IR176UNCH$17
STARBUCKS CORP 181 -163 $17
     SBUX181-163$17
SIMON PPTY GROUP INC NEW 109 UNCH $17
     SPG109UNCH$17
BABCOCK & WILCOX ENTERPRISES 14,285 +14,285 $16
     BW14,285+14,285$16
DRIVEN BRANDS HLDGS INC 1,000 UNCH $16
     DRVN1,000UNCH$16
COMFORT SYS USA INC 51 -51 $16
     FIX51-51$16
VANECK ETF TRUST (GDX) 515 -6,251 $16
     GDX515-6,251$16
SAP SE 80 UNCH $16
     SAP80UNCH$16
BOOKING HOLDINGS INC 4 -5 $15
     BKNG4-5$15
PEABODY ENERGY CORP 601 -3,249 $15
     BTU601-3,249$15
DISCOVER FINL SVCS 111 UNCH $15
     DFS111UNCH$15
HILTON WORLDWIDE HLDGS INC 68 +7 $15
     HLT68+7$15
FIRST TR EXCHANGE TRADED FD (IFV) 768 UNCH $15
     IFV768UNCH$15
3M CO 146 UNCH $15
     MMM146UNCH$15
PENN ENTERTAINMENT INC 800 UNCH $15
     PENN800UNCH$15
TORONTO DOMINION BK ONT 245 UNCH $15
     TD245UNCH$15
ENBRIDGE INC 400 UNCH $14
     ENB400UNCH$14
INTUITIVE SURGICAL INC 34 +4 $14
     ISRG34+4$14
LINEAGE CELL THERAPEUTICS IN 9,600 UNCH $14
     LCTX9,600UNCH$14
GLOBAL X FDS 305 UNCH $14
     LIT305UNCH$14
NORWEGIAN CRUISE LINE HLDG L 658 +40 $14
     NCLH658+40$14
NORTHROP GRUMMAN CORP 30 UNCH $14
     NOC30UNCH$14
ROYAL CARIBBEAN GROUP 103 +3 $14
     RCL103+3$14
SEMPRA 200 UNCH $14
     SRE200UNCH$14
BAXTER INTL INC 298 UNCH $13
     BAX298UNCH$13
INVESCO EXCHANGE TRADED FD T (RSP) 75 +75 $13
     RSP75+75$13
ULTA BEAUTY INC 25 UNCH $13
     ULTA25UNCH$13
DUPONT DE NEMOURS INC 150 UNCH $12
     DD150UNCH$12
IONIS PHARMACEUTICALS INC 282 +32 $12
     IONS282+32$12
OCEANEERING INTL INC 500 +100 $12
     OII500+100$12
TOWER SEMICONDUCTOR LTD 361 UNCH $12
     TSEM361UNCH$12
SELECT SECTOR SPDR TR (XLC) 143 UNCH $12
     XLC143UNCH$12
CLEAN ENERGY FUELS CORP 4,000 UNCH $11
     CLNE4,000UNCH$11
CVS HEALTH CORP 144 UNCH $11
     CVS144UNCH$11
IONQ INC 1,149 +19 $11
     IONQ1,149+19$11
L3HARRIS TECHNOLOGIES INC 50 UNCH $11
     LHX50UNCH$11
UNION PAC CORP 45 +5 $11
     UNP45+5$11
J P MORGAN EXCHANGE TRADED F (BBUS) 111 UNCH $10
     BBUS111UNCH$10
CISCO SYS INC 202 +84 $10
     CSCO202+84$10
GOLDMAN SACHS GROUP INC 23 +3 $10
     GS23+3$10
PIMCO ETF TR (MUNI) 194 UNCH $10
     MUNI194UNCH$10
VANGUARD INDEX FDS (VO) 40 UNCH $10
     VO40UNCH$10
ALLEGION PLC 66 UNCH $9
     ALLE66UNCH$9
BLUEBIRD BIO INC 7,000 +7,000 $9
     BLUE7,000+7,000$9
THE CIGNA GROUP 26 +1 $9
     CI26+1$9
CORTEVA INC 150 UNCH $9
     CTVA150UNCH$9
SOLAREDGE TECHNOLOGIES INC 127 +7 $9
     SEDG127+7$9
ISHARES SILVER TR (SLV) 400 UNCH $9
     SLV400UNCH$9
VANGUARD INDEX FDS (VB) 40 UNCH $9
     VB40UNCH$9
WASTE MGMT INC DEL 41 +2 $9
     WM41+2$9
ISHARES TR (ACWX) 141 -74 $8
     ACWX141-74$8
VANGUARD BD INDEX FDS (BND) 110 UNCH $8
     BND110UNCH$8
DOXIMITY INC 300 UNCH $8
     DOCS300UNCH$8
ELASTIC N V 76 +76 $8
     ESTC76+76$8
ISHARES TR (WOOD) 100 UNCH $8
     WOOD100UNCH$8
ZIFF DAVIS INC 132 UNCH $8
     ZD132UNCH$8
QUEST DIAGNOSTICS INC 50 UNCH $7
     DGX50UNCH$7
EXELIXIS INC 300 UNCH $7
     EXEL300UNCH$7
GE HEALTHCARE TECHNOLOGIES I 79 +4 $7
     GEHC79+4$7
LUMINAR TECHNOLOGIES INC 3,682 UNCH $7
     LAZR3,682UNCH$7
MOTOROLA SOLUTIONS INC 20 +4 $7
     MSI20+4$7
BLOCK INC 85 UNCH $7
     SQ85UNCH$7
WELLS FARGO CO NEW 124 +14 $7
     WFC124+14$7
AVISTA CORP 165 +165 $6
     AVA165+165$6
J P MORGAN EXCHANGE TRADED F (BBIN) 98 UNCH $6
     BBIN98UNCH$6
PROSHARES TR (BITO) 200 +200 $6
     BITO200+200$6
BLACK HILLS CORP 106 +106 $6
     BKH106+106$6
COCA COLA CONS INC 8 UNCH $6
     COKE8UNCH$6
CRESCENT PT ENERGY CORP 700 UNCH $6
     CPG700UNCH$6
SALESFORCE INC 19 +19 $6
     CRM19+19$6
DRAFTKINGS INC NEW 138 +38 $6
     DKNG138+38$6
FIRST TR MLP & ENERGY INCOM (FEI) 606 +273 $6
     FEI606+273$6
FS KKR CAP CORP 301 UNCH $6
     FSK301UNCH$6
MGM RESORTS INTERNATIONAL 137 UNCH $6
     MGM137UNCH$6
MARKER THERAPEUTICS INC 1,400 -200 $6
     MRKR1,400-200$6
UIPATH INC 274 UNCH $6
     PATH274UNCH$6
SANOFI 123 UNCH $6
     SNY123UNCH$6
AT&T INC 313 UNCH $6
     T313UNCH$6
VIRTUS INVT PARTNERS INC 25 UNCH $6
     VRTS25UNCH$6
VERTEX PHARMACEUTICALS INC 14 UNCH $6
     VRTX14UNCH$6
ANALOG DEVICES INC 24 +24 $5
     ADI24+24$5
APPLIED MATLS INC 23 +23 $5
     AMAT23+23$5
ARLO TECHNOLOGIES INC 400 UNCH $5
     ARLO400UNCH$5
BIRKENSTOCK HOLDING PLC 100 UNCH $5
     BIRK100UNCH$5
CINTAS CORP 8 +2 $5
     CTAS8+2$5
EASTMAN CHEM CO 47 UNCH $5
     EMN47UNCH$5
INTUIT 7 +7 $5
     INTU7+7$5
VANECK ETF TRUST (MOO) 71 UNCH $5
     MOO71UNCH$5
PROGRESSIVE CORP 23 +10 $5
     PGR23+10$5
REGENCY CTRS CORP 82 UNCH $5
     REG82UNCH$5
ADOBE INC 8 +8 $4
     ADBE8+8$4
ASSURED GUARANTY LTD 45 +45 $4
     AGO45+45$4
AMPHENOL CORP NEW 38 +38 $4
     APH38+38$4
BERRY CORP 518 +518 $4
     BRY518+518$4
COINBASE GLOBAL INC 16 +1 $4
     COIN16+1$4
DT MIDSTREAM INC 58 +58 $4
     DTM58+58$4
FRANKLIN TEMPLETON ETF TR (FLCB) 188 UNCH $4
     FLCB188UNCH$4
ILLINOIS TOOL WKS INC 15 +8 $4
     ITW15+8$4
JOBY AVIATION INC 700 +700 $4
     JOBY700+700$4
J P MORGAN EXCHANGE TRADED F (JPIE) 84 UNCH $4
     JPIE84UNCH$4
J P MORGAN EXCHANGE TRADED F (JQUA) 69 UNCH $4
     JQUA69UNCH$4
KLA CORP 6 +6 $4
     KLAC6+6$4
LAM RESEARCH CORP 4 +4 $4
     LRCX4+4$4
NXP SEMICONDUCTORS N V 18 +18 $4
     NXPI18+18$4
RECURSION PHARMACEUTICALS IN 394 +394 $4
     RXRX394+394$4
SNOWFLAKE INC 23 +4 $4
     SNOW23+4$4
THERMO FISHER SCIENTIFIC INC 7 +7 $4
     TMO7+7$4
UBER TECHNOLOGIES INC 55 +30 $4
     UBER55+30$4
UNITIL CORP 74 +74 $4
     UTL74+74$4
MARRIOTT VACATIONS WORLDWIDE 40 UNCH $4
     VAC40UNCH$4
VILLAGE FARMS INTL INC 3,446 UNCH $4
     VFF3,446UNCH$4
SPDR SER TR (XSD) 18 -18 $4
     XSD18-18$4
C3 AI INC 100 UNCH $3
     AI100UNCH$3
ANTERO MIDSTREAM CORP 187 +187 $3
     AM187+187$3
ANTERO RESOURCES CORP 90 UNCH $3
     AR90UNCH$3
ARMOUR RESIDENTIAL REIT INC 138 +138 $3
     ARR138+138$3
BAUSCH HEALTH COS INC 249 UNCH $3
     BHC249UNCH$3
CHIPOTLE MEXICAN GRILL INC 1 +1 $3
     CMG1+1$3
CNX RES CORP 106 +106 $3
     CNX106+106$3
DANAHER CORPORATION 13 +13 $3
     DHR13+13$3
EATON CORP PLC 9 +9 $3
     ETN9+9$3
FIRST TR ENERGY INCOME & GRO (FEN) 208 UNCH $3
     FEN208UNCH$3
IRIDIUM COMMUNICATIONS INC 122 -100 $3
     IRDM122-100$3
JINKOSOLAR HLDG CO LTD 105 UNCH $3
     JKS105UNCH$3
LUCID GROUP INC 1,010 UNCH $3
     LCID1,010UNCH$3
MCKESSON CORP 5 +5 $3
     MCK5+5$3
MEDICAL PPTYS TRUST INC 613 +96 $3
     MPW613+96$3
MICRON TECHNOLOGY INC 27 +27 $3
     MU27+27$3
PROSPERITY BANCSHARES INC (PB) 46 UNCH $3
     PB46UNCH$3
PNM RES INC 72 +72 $3
     PNM72+72$3
SMUCKER J M CO 23 UNCH $3
     SJM23UNCH$3
S&P GLOBAL INC 7 +7 $3
     SPGI7+7$3
TAKEDA PHARMACEUTICAL CO LTD 221 UNCH $3
     TAK221UNCH$3
TERADATA CORP DEL 68 UNCH $3
     TDC68UNCH$3
TAIWAN SEMICONDUCTOR MFG LTD 19 UNCH $3
     TSM19UNCH$3
VITESSE ENERGY INC 125 +125 $3
     VTS125+125$3
WESTERN DIGITAL CORP. 47 UNCH $3
     WDC47UNCH$3
WATSCO INC 7 UNCH $3
     WSO7UNCH$3
AMERICAN AIRLS GROUP INC 100 UNCH $2
     AAL100UNCH$2
AMERICAN EQTY INVT LIFE HLD 33 +33 $2
     AEL33+33$2
ANAPTYSBIO INC 98 +68 $2
     ANAB98+68$2
ALIBABA GROUP HLDG LTD 31 UNCH $2
     BABA31UNCH$2
CHUBB LIMITED 6 +6 $2
     CB6+6$2
CADENCE DESIGN SYSTEM INC 8 +8 $2
     CDNS8+8$2
CME GROUP INC 9 +9 $2
     CME9+9$2
CARTERS INC 18 +18 $2
     CRI18+18$2
CRINETICS PHARMACEUTICALS IN 34 +34 $2
     CRNX34+34$2
DEERE & CO 4 -11,247 $2
     DE4-11,247$2
DELL TECHNOLOGIES INC 21 UNCH $2
     DELL21UNCH$2
DYADIC INTL INC DEL 1,000 -500 $2
     DYAI1,000-500$2
FIRST TR EXCHANGE TRADED FD (FAN) 143 UNCH $2
     FAN143UNCH$2
FISERV INC 15 +15 $2
     FI15+15$2
FNCB BANCORP INC 400 UNCH $2
     FNCB400UNCH$2
GENCO SHIPPING & TRADING LTD 111 +111 $2
     GNK111+111$2
GLOBAL PMTS INC 18 UNCH $2
     GPN18UNCH$2
INTERCONTINENTAL EXCHANGE IN (ICE) 13 +13 $2
     ICE13+13$2
INTEGER HLDGS CORP 14 +14 $2
     ITGR14+14$2
GLADSTONE LD CORP 163 +1 $2
     LAND163+1$2
LEVI STRAUSS & CO NEW 100 +20 $2
     LEVI100+20$2
MICROCHIP TECHNOLOGY INC. 26 +26 $2
     MCHP26+26$2
MASTECH DIGITAL INC 214 UNCH $2
     MHH214UNCH$2
MARVELL TECHNOLOGY INC 22 +22 $2
     MRVL22+22$2
NISOURCE INC 86 +86 $2
     NI86+86$2
NRG ENERGY INC 33 +33 $2
     NRG33+33$2
NAVIGATOR HLDGS LTD 110 UNCH $2
     NVGS110UNCH$2
PACCAR INC 13 +13 $2
     PCAR13+13$2
PRECISION DRILLING CORP 27 UNCH $2
     PDS27UNCH$2
PARKER HANNIFIN CORP 4 +4 $2
     PH4+4$2
PVH CORPORATION 11 +11 $2
     PVH11+11$2
RIVIAN AUTOMOTIVE INC 220 -163 $2
     RIVN220-163$2
ROPER TECHNOLOGIES INC 4 +4 $2
     ROP4+4$2
REPUBLIC SVCS INC 10 +10 $2
     RSG10+10$2
SYNOPSYS INC 3 +3 $2
     SNPS3+3$2
TRUIST FINL CORP 63 UNCH $2
     TFC63UNCH$2
TG THERAPEUTICS INC 100 UNCH $2
     TGTX100UNCH$2
VISTRA CORP 27 +8 $2
     VST27+8$2
WORKDAY INC 7 +7 $2
     WDAY7+7$2
ALCOA CORP 19 +19 $1
     AA19+19$1
AIRBNB INC 5 +5 $1
     ABNB5+5$1
AUTODESK INC 4 +4 $1
     ADSK4+4$1
AGIOS PHARMACEUTICALS INC 41 +41 $1
     AGIO41+41$1
FEDERAL AGRIC MTG CORP 3 +3 $1
     AGM3+3$1
AMERICAN INTL GROUP INC 12 +12 $1
     AIG12+12$1
ASSURANT INC 6 +6 $1
     AIZ6+6$1
GALLAGHER ARTHUR J & CO 2 +2 $1
     AJG2+2$1
ACADIA RLTY TR 46 +46 $1
     AKR46+46$1
AKOUSTIS TECHNOLOGIES INC 1,335 +1,128 $1
     AKTS1,335+1,128$1
ALPINE IMMUNE SCIENCES INC 16 +16 $1
     ALPN16+16$1
AMERIPRISE FINL INC 2 +2 $1
     AMP2+2$1
AMERISAFE INC 23 +23 $1
     AMSF23+23$1
ABERCROMBIE & FITCH CO 7 +7 $1
     ANF7+7$1
ARTIVION INC 24 +24 $1
     AORT24+24$1
APOLLO GLOBAL MGMT INC 10 +10 $1
     APO10+10$1
ARK ETF TR (ARKK) 11 -141 $1
     ARKK11-141$1
ATI INC 10 +10 $1
     ATI10+10$1
AEROVIRONMENT INC 5 +5 $1
     AVAV5+5$1
AVANOS MED INC 26 +26 $1
     AVNS26+26$1
AXON ENTERPRISE INC 2 +2 $1
     AXON2+2$1
BOOZ ALLEN HAMILTON HLDG COR 5 +5 $1
     BAH5+5$1
BUILDERS FIRSTSOURCE INC 3 +3 $1
     BLDR3+3$1
BLACKROCK INC 1 +1 $1
     BLK1+1$1
BLUEPRINT MEDICINES CORP 12 +12 $1
     BPMC12+12$1
BELLRING BRANDS INC 15 +15 $1
     BRBR15+15$1
BROWN & BROWN INC 11 +11 $1
     BRO11+11$1
BOSTON SCIENTIFIC CORP 17 +17 $1
     BSX17+17$1
BWX TECHNOLOGIES INC 11 +11 $1
     BWXT11+11$1
CONSENSUS CLOUD SOLUTIONS IN 44 UNCH $1
     CCSI44UNCH$1
CDW CORP 4 +4 $1
     CDW4+4$1
CENTURY ALUM CO 38 +38 $1
     CENX38+38$1
CHORD ENERGY CORPORATION 4 +4 $1
     CHRD4+4$1
CHARTER COMMUNICATIONS INC N 5 UNCH $1
     CHTR5UNCH$1
CIVITAS RESOURCES INC 16 +16 $1
     CIVI16+16$1
CELLDEX THERAPEUTICS INC NEW 19 +19 $1
     CLDX19+19$1
CNH INDL N V 48 +48 $1
     CNHI48+48$1
CONMED CORP 12 +12 $1
     CNMD12+12$1
COOPER COS INC 10 +10 $1
     COO10+10$1
CENCORA INC 4 +4 $1
     COR4+4$1
COUPANG INC 75 +75 $1
     CPNG75+75$1
COPART INC 14 +14 $1
     CPRT14+14$1
COMSTOCK RES INC 55 +55 $1
     CRK55+55$1
CARPENTER TECHNOLOGY CORP 8 +8 $1
     CRS8+8$1
CARVANA CO 6 +6 $1
     CVNA6+6$1
CURTISS WRIGHT CORP 3 +3 $1
     CW3+3$1
DECKERS OUTDOOR CORP 1 +1 $1
     DECK1+1$1
GINKGO BIOWORKS HOLDINGS INC 1,000 UNCH $1
     DNA1,000UNCH$1
DOMO INC 65 UNCH $1
     DOMO65UNCH$1
DYNAVAX TECHNOLOGIES CORP 68 +68 $1
     DVAX68+68$1
DEXCOM INC 5 +5 $1
     DXCM5+5$1
ELECTRONIC ARTS INC 6 +6 $1
     EA6+6$1
EMPLOYERS HLDGS INC 18 +18 $1
     EIG18+18$1
E L F BEAUTY INC 3 +3 $1
     ELF3+3$1
ELEVANCE HEALTH INC 2 +2 $1
     ELV2+2$1
ENTEGRIS INC 10 +10 $1
     ENTG10+10$1
EVOLUS INC 39 +39 $1
     EOLS39+39$1
EDGEWELL PERS CARE CO 24 +24 $1
     EPC24+24$1
EQUITRANS MIDSTREAM CORP 104 -396 $1
     ETRN104-396$1
FIRST AMERN FINL CORP 13 +13 $1
     FAF13+13$1
FRANKLIN TEMPLETON ETF TR (FLGV) 65 UNCH $1
     FLGV65UNCH$1
FIDELITY NATIONAL FINANCIAL 21 +21 $1
     FNF21+21$1
FORESTAR GROUP INC 21 +21 $1
     FOR21+21$1
FTAI AVIATION LTD 8 +8 $1
     FTAI8+8$1
FORTINET INC 12 +12 $1
     FTNT12+12$1
GUESS INC 19 +19 $1
     GES19+19$1
GENERAL MTRS CO 14 +14 $1
     GM14+14$1
GENMAB A S 50 UNCH $1
     GMAB50UNCH$1
GLOBUS MED INC 13 -25,675 $1
     GMED13-25,675$1
GRAINGER W W INC 1 +1 $1
     GWW1+1$1
HANESBRANDS INC 150 +150 $1
     HBI150+150$1
HECLA MNG CO 116 +116 $1
     HL116+116$1
INMODE LTD 40 UNCH $1
     INMD40UNCH$1
GARTNER INC 2 +2 $1
     IT2+2$1
JETBLUE AWYS CORP 84 UNCH $1
     JBLU84UNCH$1
KAISER ALUMINUM CORP 7 +7 $1
     KALU7+7$1
KIRBY CORP 9 +9 $1
     KEX9+9$1
CARMAX INC 6 +6 $1
     KMX6+6$1
KINIKSA PHARMACEUTICALS LTD 30 +30 $1
     KNSA30+30$1
LAMAR ADVERTISING CO NEW 8 UNCH $1
     LAMR8UNCH$1
LEMAITRE VASCULAR INC 9 +9 $1
     LMAT9+9$1
ALLIANT ENERGY CORP 11 +11 $1
     LNT11+11$1
DORIAN LPG LTD 29 +29 $1
     LPG29+29$1
LPL FINL HLDGS INC 2 +2 $1
     LPLA2+2$1
STRIDE INC 8 +8 $1
     LRN8+8$1
LULULEMON ATHLETICA INC 2 +2 $1
     LULU2+2$1
MANHATTAN ASSOCIATES INC 3 +3 $1
     MANH3+3$1
MOODYS CORP 2 +2 $1
     MCO2+2$1
MADRIGAL PHARMACEUTICALS INC 2 +2 $1
     MDGL2+2$1
MARSH & MCLENNAN COS INC 5 +5 $1
     MMC5+5$1
MONOLITHIC PWR SYS INC 2 +2 $1
     MPWR2+2$1
MATERION CORP 4 +4 $1
     MTRN4+4$1
NEOVOLTA INC 600 UNCH $1
     NEOV600UNCH$1
NETAPP INC 11 +11 $1
     NTAP11+11$1
NUTANIX INC 11 +11 $1
     NTNX11+11$1
NATERA INC 9 +9 $1
     NTRA9+9$1
NORTHWESTERN ENERGY GROUP IN 16 +16 $1
     NWE16+16$1
OBSIDIAN ENERGY LTD 76 UNCH $1
     OBE76UNCH$1
OGE ENERGY CORP 36 +36 $1
     OGE36+36$1
ON SEMICONDUCTOR CORP 14 +14 $1
     ON14+14$1
ONTO INNOVATION INC 4 +4 $1
     ONTO4+4$1
OLD REP INTL CORP 25 +25 $1
     ORI25+25$1
OREILLY AUTOMOTIVE INC 1 +1 $1
     ORLY1+1$1
ORASURE TECHNOLOGIES INC 150 UNCH $1
     OSUR150UNCH$1
PG&E CORP 40 +40 $1
     PCG40+40$1
PENUMBRA INC 4 +4 $1
     PEN4+4$1
PHATHOM PHARMACEUTICALS INC 69 +69 $1
     PHAT69+69$1
PINTEREST INC 18 +18 $1
     PINS18+18$1
PENNYMAC MTG INVT TR 92 +92 $1
     PMT92+92$1
PRIMERICA INC 3 +3 $1
     PRI3+3$1
PURE STORAGE INC 13 +13 $1
     PSTG13+13$1
ULTRAGENYX PHARMACEUTICAL IN 22 +22 $1
     RARE22+22$1
RILEY EXPLORATION PERMIAN IN 35 +35 $1
     REPX35+35$1
RESIDEO TECHNOLOGIES INC 24 UNCH $1
     REZI24UNCH$1
REGENXBIO INC 34 +34 $1
     RGNX34+34$1
RH 2 +2 $1
     RH2+2$1
RALPH LAUREN CORP 5 +5 $1
     RL5+5$1
ROCKWELL AUTOMATION INC 5 UNCH $1
     ROK5UNCH$1
RXSIGHT INC 18 +18 $1
     RXST18+18$1
SILVERBOW RES INC 27 +27 $1
     SBOW27+27$1
SANDRIDGE ENERGY INC 90 +90 $1
     SD90+90$1
SKYWARD SPECIALTY INS GROUP 30 +30 $1
     SKWD30+30$1
SUPER MICRO COMPUTER INC 1 +1 $1
     SMCI1+1$1
SYNDAX PHARMACEUTICALS INC 26 +26 $1
     SNDX26+26$1
SIRIUSPOINT LTD 73 +73 $1
     SPNT73+73$1
STEWART INFORMATION SVCS COR 18 +18 $1
     STC18+18$1
SITIO ROYALTIES CORP 50 +50 $1
     STR50+50$1
SKYWORKS SOLUTIONS INC 5 +5 $1
     SWKS5+5$1
THERAVANCE BIOPHARMA INC 117 +117 $1
     TBPH117+117$1
TE CONNECTIVITY LTD 5 +5 $1
     TEL5+5$1
TERADYNE INC 5 +5 $1
     TER5+5$1
TENET HEALTHCARE CORP 5 +5 $1
     THC5+5$1
TJX COS INC NEW 13 +13 $1
     TJX13+13$1
METALLUS INC 30 +30 $1
     TMST30+30$1
TAPESTRY INC 20 +20 $1
     TPR20+20$1
TARGA RES CORP 6 +6 $1
     TRGP6+6$1
TAYSHA GENE THERAPIES INC 198 +198 $1
     TSHA198+198$1
TEXTRON INC 8 +8 $1
     TXT8+8$1
UNITED AIRLS HLDGS INC 17 UNCH $1
     UAL17UNCH$1
URBAN EDGE PPTYS 34 +34 $1
     UE34+34$1
VIKING THERAPEUTICS INC 10 +10 $1
     VKTX10+10$1
VAREX IMAGING CORP 59 +59 $1
     VREX59+59$1
VERISK ANALYTICS INC 5 +5 $1
     VRSK5+5$1
VERTIV HOLDINGS CO 10 +10 $1
     VRT10+10$1
VITAL ENERGY INC 17 +17 $1
     VTLE17+17$1
VENTYX BIOSCIENCES INC 171 +171 $1
     VTYX171+171$1
WARNER BROS DISCOVERY INC 71 UNCH $1
     WBD71UNCH$1
WHITESTONE REIT 78 +78 $1
     COM78+78$1
WORKIVA INC 6 +6 $1
     WK6+6$1
WOODWARD INC 8 +8 $1
     WWD8+8$1
DENTSPLY SIRONA INC 37 +37 $1
     XRAY37+37$1
ZIMMER BIOMET HOLDINGS INC 4 +3 $1
     ZBH4+3$1
ZSCALER INC 3 +3 $1
     ZS3+3$1
ADAPTIVE BIOTECHNOLOGIES COR 100 UNCH <$1
     ADPT100UNCH$0
AMERICAN EAGLE OUTFITTERS IN 14 +14 <$1
     AEO14+14$0
AFLAC INC 3 +3 <$1
     AFL3+3$0
AFFIRM HLDGS INC 3 UNCH <$1
     AFRM3UNCH$0
AKERO THERAPEUTICS INC 14 +14 <$1
     AKRO14+14$0
ALPHA METALLURGICAL RESOUR I 1 +1 <$1
     AMR1+1$0
APPLOVIN CORP 6 +6 <$1
     APP6+6$0
ARCH RESOURCES INC 2 +2 <$1
     ARCH2+2$0
ARROWHEAD PHARMACEUTICALS IN 14 +14 <$1
     ARWR14+14$0
ADTALEM GLOBAL ED INC 8 +8 <$1
     ATGE8+8$0
AZZ INC 5 +5 <$1
     AZZ5+5$0
BRANDYWINE RLTY TR 67 +67 <$1
     BDN67+67$0
BRIGHT HORIZONS FAM SOL IN D 3 +3 <$1
     BFAM3+3$0
BIORA THERAPEUTICS INC 400 +100 <$1
     BIOR400+100$0
BOOT BARN HLDGS INC 5 +5 <$1
     BOOT5+5$0
BROADRIDGE FINL SOLUTIONS IN 1 +1 <$1
     BR1+1$0
BLUE RIDGE BANKSHARES INC VA (BRBS) 18 UNCH <$1
     BRBS18UNCH$0
BRP GROUP INC 14 +14 <$1
     BRP14+14$0
ANHEUSER BUSCH INBEV SA NV 6 UNCH <$1
     BUD6UNCH$0
CBIZ INC 6 +6 <$1
     CBZ6+6$0
CANOPY GROWTH CORP 2 UNCH <$1
     CGC2UNCH$0
CHARGEPOINT HOLDINGS INC 200 UNCH <$1
     CHPT200UNCH$0
CLEVELAND CLIFFS INC NEW 21 -492 <$1
     CLF21-492$0
COMMERCIAL METALS CO 5 +5 <$1
     CMC5+5$0
CMS ENERGY CORP 5 +5 <$1
     CMS5+5$0
CINEMARK HLDGS INC 24 +24 <$1
     CNK24+24$0
COLUMBIA SPORTSWEAR CO 3 +3 <$1
     COLM3+3$0
COTY INC 38 +38 <$1
     COTY38+38$0
CREDO TECHNOLOGY GROUP HOLDI 18 +18 <$1
     CRDO18+18$0
CROCS INC 3 +3 <$1
     CROX3+3$0
DOORDASH INC 3 +3 <$1
     DASH3+3$0
D R HORTON INC 2 +2 <$1
     DHI2+2$0
DUN & BRADSTREET HLDGS INC 47 +47 <$1
     DNB47+47$0
LEONARDO DRS INC 15 +15 <$1
     DRS15+15$0
89BIO INC 31 +31 <$1
     ETNB31+31$0
ENVIVA INC 77 UNCH <$1
     EVA77UNCH$0
FARMLAND PARTNERS INC 25 +25 <$1
     FPI25+25$0
GRIFFON CORP 6 +6 <$1
     GFF6+6$0
GILDAN ACTIVEWEAR INC 10 UNCH <$1
     GIL10UNCH$0
GLOBE LIFE INC 2 +2 <$1
     GL2+2$0
GRANITE RIDGE RESOURCES INC 76 +76 <$1
     GRNT76+76$0
HAEMONETICS CORP MASS 5 +5 <$1
     HAE5+5$0
WARRIOR MET COAL INC 6 +6 <$1
     HCC6+6$0
HARTFORD FINL SVCS GROUP INC 3 +3 <$1
     HIG3+3$0
HP INC 14 +14 <$1
     HPQ14+14$0
MARINEMAX INC 10 +10 <$1
     HZO10+10$0
INTERACTIVE BROKERS GROUP IN 2 +2 <$1
     IBKR2+2$0
IOVANCE BIOTHERAPEUTICS INC 29 +29 <$1
     IOVA29+29$0
IQVIA HLDGS INC 1 +1 <$1
     IQV1+1$0
JABIL INC 3 +3 <$1
     JBL3+3$0
JAMES RIV GROUP LTD 7 UNCH <$1
     JRVR7UNCH$0
KBR INC 5 +5 <$1
     KBR5+5$0
KYNDRYL HLDGS INC 10 UNCH <$1
     KD10UNCH$0
KOPPERS HOLDINGS INC 8 +8 <$1
     KOP8+8$0
KEROS THERAPEUTICS INC 5 +5 <$1
     KROS5+5$0
KONTOOR BRANDS INC 1 UNCH <$1
     KTB1UNCH$0
KYMERA THERAPEUTICS INC 7 +7 <$1
     KYMR7+7$0
LOEWS CORP 6 +6 <$1
     L6+6$0
LANDS END INC NEW 8 UNCH <$1
     LE8UNCH$0
LYELL IMMUNOPHARMA INC 150 +150 <$1
     LYEL150+150$0
MOBILEYE GLOBAL INC 11 +11 <$1
     MBLY11+11$0
MONGODB INC 1 +1 <$1
     MDB1+1$0
MEDTRONIC PLC 3 +3 <$1
     MDT3+3$0
AMPLIFY ETF TR (MJ) 92 UNCH <$1
     MJ92UNCH$0
ALTRIA GROUP INC 7 +7 <$1
     MO7+7$0
MADISON SQUARE GARDEN ENTMT 7 +7 <$1
     MSGE7+7$0
MACOM TECH SOLUTIONS HLDGS I 4 +4 <$1
     MTSI4+4$0
NEXTDECADE CORP 69 +69 <$1
     NEXT69+69$0
NORTHERN OIL & GAS INC 10 +10 <$1
     NOG10+10$0
NOKIA CORP 15 UNCH <$1
     NOK15UNCH$0
ONCOCYTE CORP 50 UNCH <$1
     OCX50UNCH$0
ORGANON & CO 21 UNCH <$1
     OGN21UNCH$0
OATLY GROUP AB 200 UNCH <$1
     OTLY200UNCH$0
OXFORD INDS INC 3 +3 <$1
     OXM3+3$0
OCCIDENTAL PETE CORP      <$1
     OXY.WT1UNCH$0
PAYCHEX INC 3 +3 <$1
     PAYX3+3$0
PARK HOTELS & RESORTS INC 25 +25 <$1
     PK25+25$0
DAVE & BUSTERS ENTMT INC 6 +6 <$1
     PLAY6+6$0
PHILIP MORRIS INTL INC 5 -44 <$1
     PM5-44$0
PINNACLE WEST CAP CORP 6 +6 <$1
     PNW6+6$0
PORTLAND GEN ELEC CO 10 +10 <$1
     POR10+10$0
PERDOCEO ED CORP 16 +16 <$1
     PRDO16+16$0
PRIME MEDICINE INC 36 +36 <$1
     PRME36+36$0
PARSONS CORP DEL 4 +4 <$1
     PSN4+4$0
PTC INC 2 +2 <$1
     PTC2+2$0
PTC THERAPEUTICS INC 11 +11 <$1
     PTCT11+11$0
QORVO INC 3 +3 <$1
     QRVO3+3$0
ARCUS BIOSCIENCES INC 19 +19 <$1
     RCUS19+19$0
REPLIMUNE GROUP INC 58 +58 <$1
     REPL58+58$0
ROYAL GOLD INC 3 +3 <$1
     RGLD3+3$0
RYMAN HOSPITALITY PPTYS INC 2 +2 <$1
     RHP2+2$0
RLJ LODGING TR 24 +24 <$1
     RLJ24+24$0
RENAISSANCERE HLDGS LTD 1 +1 <$1
     RNR1+1$0
ROKU INC 4 +4 <$1
     ROKU4+4$0
REVOLUTION MEDICINES INC 15 +15 <$1
     RVMD15+15$0
SERINA THERAPEUTICS INC 24 +24 <$1
     SER24+24$0
SIRIUS XM HOLDINGS INC 100 UNCH <$1
     SIRI100UNCH$0
SPECTRUM BRANDS HLDGS INC NE 5 +5 <$1
     SPB5+5$0
STERIS PLC 2 +2 <$1
     STE2+2$0
SPRINGWORKS THERAPEUTICS INC 7 +7 <$1
     SWTX7+7$0
TARSUS PHARMACEUTICALS INC 10 +10 <$1
     TARS10+10$0
TELADOC HEALTH INC 21 UNCH <$1
     TDOC21UNCH$0
ATLASSIAN CORPORATION 1 +1 <$1
     TEAM1+1$0
SIXTH STREET SPECIALTY LENDI 20 UNCH <$1
     TSLX20UNCH$0
URBAN OUTFITTERS INC 8 +8 <$1
     URBN8+8$0
VERVE THERAPEUTICS INC 22 +22 <$1
     VERV22+22$0
V F CORP 23 +12 <$1
     VFC23+12$0
VIATRIS INC 38 -2 <$1
     VTRS38-2$0
VALVOLINE INC 8 +8 <$1
     VVV8+8$0
WEAVE COMMUNICATIONS INC 29 +29 <$1
     WEAV29+29$0
BERKLEY W R CORP 3 +3 <$1
     WRB3+3$0
WILLIS TOWERS WATSON PLC LTD 1 +1 <$1
     WTW1+1$0
WOLVERINE WORLD WIDE INC 31 +31 <$1
     WWW31+31$0
YETI HLDGS INC 12 UNCH <$1
     YETI12UNCH$0
ZOOM VIDEO COMMUNICATIONS IN 5 UNCH <$1
     ZM5UNCH$0
ZENTALIS PHARMACEUTICALS INC 23 +23 $0
     ZNTL23+23$0
AMERICAN ELEC PWR CO INC $0 (exited)
     AEP0-6$0
AGEX THERAPEUTICS INC $0 (exited)
     AGE0-960$0
ALBEMARLE CORP $0 (exited)
     ALB0-43$0
AIR PRODS & CHEMS INC $0 (exited)
     APD0-6$0
ALTERYX INC $0 (exited)
     AYX0-286$0
J P MORGAN EXCHANGE TRADED F $0 (exited)
     BBHY0-46$0
J P MORGAN EXCHANGE TRADED F $0 (exited)
     BBSC0-12$0
CRACKER BARREL OLD CTRY STOR $0 (exited)
     CBRL0-6$0
SPDR DOW JONES INDL AVERAGE $0 (exited)
     DIA0-425$0
ENPHASE ENERGY INC $0 (exited)
     ENPH0-60$0
ESSA BANCORP INC $0 (exited)
     ESSA0-376$0
EXELON CORP $0 (exited)
     EXC0-497$0
GREEN PLAINS PARTNERS LP $0 (exited)
     GPP0-200$0
PIMCO ETF TR $0 (exited)
     HYS0-3$0
ISHARES TR $0 (exited)
     IEF0-1$0
ISHARES INC $0 (exited)
     IEMG0-14$0
INCYTE CORP $0 (exited)
     INCY0-20$0
J P MORGAN EXCHANGE TRADED F $0 (exited)
     JAVA0-39$0
J P MORGAN EXCHANGE TRADED F $0 (exited)
     JEMA0-48$0
J P MORGAN EXCHANGE TRADED F $0 (exited)
     JEPI0-12$0
J P MORGAN EXCHANGE TRADED F $0 (exited)
     JGRO0-37$0
KIMBERLY CLARK CORP $0 (exited)
     KMB0-5$0
LUMEN TECHNOLOGIES INC $0 (exited)
     LUMN0-16$0
SOUTHWEST AIRLS CO $0 (exited)
     LUV0-100$0
GLOBAL X FDS $0 (exited)
     MLPA0-9$0
BLACKROCK MUNIYIELD PA QLTY $0 (exited)
     MPA0-534$0
NEW MTN FIN CORP $0 (exited)
     NMFC0-29$0
NNN REIT INC $0 (exited)
     NNN0-16$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     PEJ0-354$0
INVESCO EXCH TRADED FD TR II $0 (exited)
     PGX0-123$0
INVESCO EXCH TRADED FD TR II $0 (exited)
     PHB0-134$0
GLOBAL X FDS $0 (exited)
     POTX0-52$0
PAYPAL HLDGS INC $0 (exited)
     PYPL0-50$0
ISHARES TR $0 (exited)
     QUAL0-17$0
TRANSOCEAN LTD $0 (exited)
     RIG0-700$0
INVESCO EXCHANGE TRADED FD T $0 (exited)
     RSPD0-237$0
ISHARES TR $0 (exited)
     SHY0-3$0
SCHLUMBERGER LTD $0 (exited)
     SLB0-42,981$0
INVESCO EXCH TRADED FD TR II $0 (exited)
     SPHB0-153$0
SPIRE INC $0 (exited)
     SR0-8$0
INVESCO EXCH TRADED FD TR II $0 (exited)
     TAN0-89$0
BLACKROCK TCP CAPITAL CORP $0 (exited)
     TCPC0-25$0
ISHARES TR $0 (exited)
     TIP0-312$0
THE TRADE DESK INC $0 (exited)
     TTD0-57$0
US BANCORP DEL $0 (exited)
     USB0-11$0
ISHARES TR $0 (exited)
     USMV0-7$0
VANGUARD SCOTTSDALE FDS $0 (exited)
     VCIT0-12$0
VANGUARD SCOTTSDALE FDS $0 (exited)
     VCLT0-10$0
VANGUARD SCOTTSDALE FDS $0 (exited)
     VCSH0-13$0
VANGUARD WORLD FDS $0 (exited)
     VDE0-335$0
VANGUARD SPECIALIZED FUNDS $0 (exited)
     VIG0-5$0
VANGUARD SCOTTSDALE FDS $0 (exited)
     VONG0-13$0
VANGUARD WHITEHALL FDS $0 (exited)
     VYMI0-11$0
SPDR SER TR $0 (exited)
     XRT0-235$0

See Summary: Riggs Asset Managment Co. Inc. Top Holdings
See Details: Top 10 Stocks Held By Riggs Asset Managment Co. Inc.

EntityShares/Amount
Change
Position Value
Change
IBB +46,778+$6,419
IHI +108,597+$6,363
SKX +46,559+$2,852
DWAS +3,600+$327
GBTC +300+$19
BW +14,285+$16
RSP +75+$13
BLUE +7,000+$9
ESTC +76+$8
AVA +165+$6
EntityShares/Amount
Change
Position Value
Change
SLB -42,981-$2,237
DIA -425-$160
VDE -335-$39
TIP -312-$34
EXC -497-$18
XRT -235-$17
PEJ -354-$15
SPHB -153-$13
AYX -286-$13
RSPD -237-$11
EntityShares/Amount
Change
Position Value
Change
IJH +148,014+$1,735
IGV +116,438+$296
AIRR +98,065+$7,288
WMT +60,508+$730
IWM +20,713+$4,389
XOP +14,751+$2,326
AXP +13,673+$3,126
URA +4,404+$362
XME +4,273+$298
IEO +2,909+$314
EntityShares/Amount
Change
Position Value
Change
HAL -56,880-$2,039
SCHW -40,276-$2,770
GMED -25,675-$1,368
GLD -21,408-$3,189
XLB -20,623-$1,588
STRL -15,995-$250
LOW -15,961-$3,539
BA -11,335-$2,974
DE -11,247-$4,497
Size ($ in 1000's)
At 03/31/2024: $342,835
At 12/31/2023: $314,720

Riggs Asset Managment Co. Inc. holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Riggs Asset Managment Co. Inc. 13F filings. Link to 13F filings: SEC filings

All Stocks Held By Riggs Asset Managment Co. Inc. | www.HoldingsChannel.com

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