First American DataTree LLC

Top Portfolio
Top Buys
Top Sells
New Buys
Exits
First American Financial Corporation
FAF
$21.2M0.34347,236-0.24%-$50,244.152.25
CMS Energy Corporation
CMS
$10.34M0.06171,406+11.92%+$1.1M1.1
Trimble Inc.
TRMB
$7.88M0.05122,419+53.17%+$2.74M0.83
Tyson Foods, Inc.
TSN
$7.19M0.03122,418+6.79%+$457,277.050.76
Genuine Parts Company
GPC
$7.12M0.0345,950-0.06%-$4,492.970.75
Ulta Beauty, Inc.
ULTA
$7.08M0.0313,535+9.22%+$597,672.630.75
Emerson Electric Co.
EMR
$14.92M0.02131,588+5.72%+$808,230.111.58
IQVIA Holdings Inc.
IQV
$9.04M0.0235,766+1.61%+$143,643.270.96
Phillips 66
PSX
$9.73M0.0159,561+1.65%+$157,785.961.03
The Sherwin-Williams Company
SHW
$10.44M0.0130,067New+$10.44M1.11
Boston Scientific Corporation
BSX
$10.84M0.01158,230+4.67%+$483,884.141.15
Zoetis Inc.
ZTS
$8.07M0.0147,709+5.03%+$386,810.280.86
EOG Resources, Inc.
EOG
$7.22M0.0156,511-26.06%-$2.55M0.77
Elevance Health Inc.
ELV
$12.03M0.0123,197+13.46%+$1.43M1.27
Citigroup Inc.
C
$11.06M0.01174,922+9.73%+$980,538.131.17
Abbott Laboratories
ABT
$18.01M0.01158,469+4.24%+$732,764.131.91
Vertex Pharmaceuticals Incorporated
VRTX
$7.45M0.0117,821+3.01%+$217,777.240.79
CVS Health Corporation
CVS
$7.08M0.0188,791+4.5%+$304,686.210.75
Union Pacific Corporation
UNP
$11.06M0.0144,973+26.61%+$2.32M1.17
NextEra Energy, Inc.
NEE
$9.24M0.01144,536+18.92%+$1.47M0.98
Caterpillar Inc.
CAT
$11.69M0.0131,900+3.96%+$445,205.021.24
Booking Holdings Inc.
BKNG
$7.98M0.012,201-22.85%-$2.37M0.85
NIKE, Inc.
NKE
$8.41M0.0189,466+5.5%+$437,941.290.89
Thermo Fisher Scientific Inc.
TMO
$10.18M0.0117,508+7.02%+$667,840.561.08
QUALCOMM Incorporated
QCOM
$8.84M0.0152,228+4.93%+$415,803.320.94
Honeywell International Inc.
HON
$7.31M0.0135,593-26.73%-$2.67M0.77
The Coca-Cola Company
KO
$10.47M<0.01171,168+11.31%+$1.06M1.11
JPMorgan Chase & Co.
JPM
$21.64M<0.01108,015+2.87%+$603,111.262.29
Oracle Corporation
ORCL
$14.56M<0.01115,879+2.64%+$373,815.611.54
Adobe Inc.
ADBE
$8.1M<0.0116,047+30.59%+$1.9M0.86
Eli Lilly and Company
LLY
$22.47M<0.0128,883+7.67%+$1.6M2.38
Advanced Micro Devices, Inc.
AMD
$9.26M<0.0151,286+9.4%+$795,411.600.98
The Walt Disney Company
DIS
$7.35M<0.0160,066+11.45%+$755,222.800.78
Visa Inc.
V
$15.99M<0.0157,291+2.68%+$417,508.971.69
Meta Platforms, Inc.
META
$19.94M<0.0141,059+7.44%+$1.38M2.11
Walmart Inc.
WMT
$10.57M<0.01175,700+214.18%+$7.21M1.12
Amazon.com, Inc.
AMZN
$30.85M<0.01171,020+10.52%+$2.94M3.27
Microsoft Corporation
MSFT
$47.04M<0.01111,810+3.35%+$1.52M4.98
Marvell Technology, Inc.
MRVL
$8.47M<0.01119,531+1.92%+$159,409.790.9
Alphabet Inc.
GOOGL
$24.54M<0.01162,607-18.6%-$5.61M2.6
NVIDIA Corporation
NVDA
$12.71M<0.0114,064+516.3%+$10.65M1.35
Apple Inc.
AAPL
$34.73M<0.01202,514+1.88%+$640,483.323.68
iShares Floating Rate Bond ETF
FLOT
$6.87M<0.01134,614-8.14%-$609,350.320.73
Vanguard Short-Term Bond Index Fund
BSV
$11.35M<0.01147,990+10.3%+$1.06M1.2
SPDR SSGA US Large Cap Low Volatility Index ETF
LGLV
$24.12M<0.01154,890+4.3%+$995,647.982.55
Vanguard Value Index Fund
VTV
$19.73M<0.01121,129-4.35%-$896,374.852.09
Alerian MLP ETF
AMLP
$29.08M<0.01612,649+7.73%+$2.09M3.08
Vanguard Mortgage-Backed Securities Index Fund
VMBS
$7.89M<0.01172,882+5.63%+$419,976.930.84
iShares Gold Trust
IAU
$10.4M<0.01247,446+7.46%+$721,941.821.1
iShares Intermediate Government/Credit Bond ETF
GVI
$10.75M<0.01103,389New+$10.75M1.14