Meeder Asset Management Inc

Top Portfolio
Top Buys
Top Sells
New Buys
Exits
Berkshire Hathaway Inc
BRK.B
$108.54M17.96258,099+13%+$12.48M6.92
Whirlpool Corporation
WHR
$9.93M0.1582,982+853.16%+$8.89M0.63
MSC Industrial Direct Co., Inc.
MSM
$7.91M0.1581,487+8.97%+$651,235.400.5
Mohawk Industries, Inc.
MHK
$10.24M0.1278,268+83.34%+$4.66M0.65
Garmin Ltd.
GRMN
$28.84M0.1193,731+17.72%+$4.34M1.84
Skyworks Solutions, Inc.
SWKS
$14.19M0.08131,045+88.67%+$6.67M0.91
Lennar Corporation
LEN
$34.39M0.07199,957+571,205.7%+$34.38M2.19
Ameriprise Financial, Inc.
AMP
$25.24M0.0657,560+31.42%+$6.03M1.61
State Street Corporation
STT
$12.77M0.06165,142+55.95%+$4.58M0.81
Northern Trust Corporation
NTRS
$9.24M0.05103,892+66.92%+$3.7M0.59
First Solar, Inc.
FSLR
$7.89M0.0446,713New+$7.89M0.5
PulteGroup, Inc.
PHM
$10.62M0.0488,077+52.09%+$3.64M0.68
Ross Stores, Inc.
ROST
$20.29M0.04138,242+61.31%+$7.71M1.29
Fastenal Company
FAST
$17.82M0.04231,014-2.79%-$511,206.781.14
Ferguson plc
FERG
$16.49M0.0475,505+14.5%+$2.09M1.05
Analog Devices, Inc.
ADI
$28.73M0.03145,252+78.82%+$12.66M1.83
Diamondback Energy, Inc.
FANG
$9.47M0.0347,805-1.05%-$100,274.020.6
D.R. Horton, Inc.
DHI
$12.66M0.0276,914+13.31%+$1.49M0.81
Texas Instruments Incorporated
TXN
$34.65M0.02198,894+78.69%+$15.26M2.21
Valero Energy Corporation
VLO
$11.86M0.0269,462+36.74%+$3.19M0.76
Elevance Health Inc.
ELV
$21.8M0.0242,048+128.77%+$12.27M1.39
McKesson Corporation
MCK
$12.48M0.0223,240+19.18%+$2.01M0.8
Norfolk Southern Corporation
NSC
$8.22M0.0132,242+271.07%+$6M0.52
QUALCOMM Incorporated
QCOM
$24.55M0.01144,999+58.43%+$9.05M1.57
Union Pacific Corporation
UNP
$16.37M0.0166,554+123.19%+$9.03M1.04
Mastercard Incorporated
MA
$48.55M0.01100,821+5.8%+$2.66M3.1
Target Corporation
TGT
$8.09M0.0145,675+1,617.11%+$7.62M0.52
Applied Materials, Inc.
AMAT
$12.94M0.0162,732+483.93%+$10.72M0.83
Johnson & Johnson
JNJ
$21.02M0.01132,856+326.19%+$16.09M1.34
Intel Corporation
INTC
$8.89M0.01201,283+124.41%+$4.93M0.57
Broadcom Inc.
AVGO
$30.49M0.0123,003+36.35%+$8.13M1.94
NVIDIA Corporation
NVDA
$83.9M<0.0192,853+0.95%+$791,518.555.35
Costco Wholesale Corporation
COST
$13.71M<0.0118,712+2,358.87%+$13.15M0.87
Meta Platforms, Inc.
META
$45.95M<0.0194,624+134.07%+$26.32M2.93
UnitedHealth Group Incorporated
UNH
$13.12M<0.0126,531-44.47%-$10.51M0.84
Microsoft Corporation
MSFT
$83.88M<0.01199,384-26.41%-$30.11M5.35
Alphabet Inc.
GOOG
$48.53M<0.01318,709+5.29%+$2.44M3.09
Advanced Micro Devices, Inc.
AMD
$8.85M<0.0149,055+1,882.02%+$8.41M0.56
Eli Lilly and Company
LLY
$18.72M<0.0124,065+162.83%+$11.6M1.19
The Home Depot, Inc.
HD
$8.87M<0.0123,124-37.28%-$5.27M0.57
Exxon Mobil Corporation
XOM
$7.91M<0.0168,030+698.75%+$6.92M0.5
Walmart Inc.
WMT
$8.66M<0.01143,972+3,238.87%+$8.4M0.55
Amazon.com, Inc.
AMZN
$37.34M<0.01207,028+44.03%+$11.42M2.38
iShares J.P. Morgan USD Emerging Markets Bond ETF
EMB
$25M<0.01278,812+17.52%+$3.73M1.59
Apple Inc.
AAPL
$12.99M<0.0175,737+176.16%+$8.28M0.83
iShares Core MSCI Emerging Markets ETF
IEMG
$7.91M<0.01153,231+12.49%+$877,868.070.5
iShares Core MSCI EAFE ETF
IEFA
$18.58M<0.01250,281-9.13%-$1.87M1.18
iShares Short Treasury Bond ETF
SHV
$13.34M<0.01120,655New+$13.34M0.85
Vanguard Growth Index Fund
VUG
$20.22M<0.0158,740+3.04%+$595,466.001.29
Vanguard Value Index Fund
VTV
$22.96M<0.01140,984+20.08%+$3.84M1.46