Ddd Partners Llc

Top Portfolio
Top Buys
Top Sells
New Buys
Exits
Berkshire Hathaway Inc
BRK.B
$64.42M10.66153,203+1.04%+$662,739.537.94
Richardson Electronics, Ltd.
RELL
$9.8M7.451.06M+55.11%+$3.48M1.21
Northwest Pipe Company
NWPX
$16.06M4.67463,168-2.15%-$352,071.351.98
Vicarious Surgical Inc.
RBOT
$2.08M3.926.89M+4.07%+$81,352.250.26
Rayonier Advanced Materials Inc.
RYAM
$4.55M1.45952,060-2.92%-$136,722.350.56
InMode Ltd.
INMD
$22.92M1.251.06M-13.63%-$3.62M2.82
Adaptive Biotechnologies Corporation
ADPT
$2.37M0.5739,739-7.64%-$196,397.410.29
Alaska Air Group, Inc.
ALK
$15.61M0.29363,111+33.88%+$3.95M1.92
Old Republic International Corporation
ORI
$19.89M0.24647,445-20.75%-$5.21M2.45
Ciena Corporation
CIEN
$13.15M0.18265,939-12.74%-$1.92M1.62
Kellogg Company
K
$18.84M0.1328,790+17.79%+$2.85M2.32
PPG Industries, Inc.
PPG
$20.08M0.06138,558New+$20.08M2.47
Coterra Energy Inc.
CTRA
$11.63M0.06417,312+0.87%+$100,395.881.43
Cummins Inc.
CMI
$22.24M0.0675,475+0.82%+$181,504.402.74
Baker Hughes Company
BKR
$13.38M0.04399,528+23.54%+$2.55M1.65
Ford Motor Company
F
$20.21M0.041.52M+81.17%+$9.05M2.49
Target Corporation
TGT
$23.23M0.03131,063+101.48%+$11.7M2.86
The Southern Company
SO
$21.1M0.03294,051New+$21.1M2.6
Chubb Limited
CB
$22.18M0.0285,604+0.61%+$133,970.212.73
Expeditors International of Washington, Inc.
EXPD
$2.92M0.0224,012-0.12%-$3,403.960.36
Medtronic plc
MDT
$19.96M0.02228,997+5.45%+$1.03M2.46
Honeywell International Inc.
HON
$20.37M0.0299,230New+$20.37M2.51
QUALCOMM Incorporated
QCOM
$26.95M0.01159,186+9.25%+$2.28M3.32
Comcast Corporation
CMCSA
$19.42M0.01448,076+0.8%+$154,195.952.39
Cisco Systems, Inc.
CSCO
$20.44M0.01409,541+14%+$2.51M2.52
Raytheon Technologies Corporation
RTX
$13.22M0.01135,579+1.74%+$225,879.481.63
Texas Instruments Incorporated
TXN
$10.61M0.0160,896New+$10.61M1.31
Costco Wholesale Corporation
COST
$21.18M0.0128,909+0.47%+$98,172.622.61
Chevron Corporation
CVX
$20.02M0.01126,921+153.32%+$12.12M2.47
AbbVie Inc.
ABBV
$20.63M0.01113,305-14.36%-$3.46M2.54
Snowflake Inc.
SNOW
$3.46M0.0121,436-0.66%-$23,108.800.43
The Walt Disney Company
DIS
$13.98M0.01114,247-20.36%-$3.57M1.72
Johnson & Johnson
JNJ
$19.66M0.01124,270+8.27%+$1.5M2.42
Broadcom Inc.
AVGO
$23.51M<0.0117,738-17.17%-$4.87M2.9
Ferrari N.V.
RACE
$2.82M<0.016,4740%+$00.35
Amazon.com, Inc.
AMZN
$37.73M<0.01209,197+8.37%+$2.91M4.65
Microsoft Corporation
MSFT
$51.98M<0.01123,559+17.45%+$7.72M6.4
Apple Inc.
AAPL
$31.7M<0.01184,878+0.15%+$48,014.293.91
Alphabet Inc.
GOOG
$18.63M<0.01122,350+0.38%+$70,648.642.29
NVIDIA Corporation
NVDA
$11.62M<0.0112,860New+$11.62M1.43
Vanguard Short-Term Corporate Bond Index Fund
VCSH
$3.66M<0.0147,385+3.05%+$108,543.230.45
Tesla, Inc.
TSLA
$1.52M<0.018,652+2.94%+$43,420.130.19
iShares 7-10 Year Treasury Bond ETF
IEF
$2.37M<0.0125,058New+$2.37M0.29
SPDR S&P 500 ETF Trust
SPY
$5.55M<0.0110,608-83.36%-$27.8M0.68
Schwab U.S. Large-Cap Value ETF
SCHV
$4.65M<0.0161,245+8.26%+$355,131.200.57
Technology Select Sector SPDR Fund
XLK
$1.63M<0.017,817+7.96%+$119,963.550.2
Meta Platforms, Inc.
META
$1.84M<0.013,796-0.13%-$2,427.910.23
VanEck Vietnam ETF
VNM
$9.44M<0.01679,093-1%-$95,076.001.16
ARK Genomic Revolution ETF
ARKG
$4.58M<0.01159,272-1.52%-$70,634.560.56
Vanguard Short-Term Treasury Index Fund
VGSH
$4.94M<0.0185,124-27.83%-$1.91M0.61