Harvest Portfolios Group Inc

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Exits
Bakkt Holdings, Inc.
BKKT
$34.55M0.5675,137+46.9%+$11.03M1.33
Agilent Technologies, Inc.
A
$56.68M0.13389,533-4.96%-$2.96M2.19
Zoetis Inc.
ZTS
$46.58M0.06275,260+1.74%+$794,440.961.8
Boston Scientific Corporation
BSX
$57.72M0.06842,700-13.67%-$9.14M2.23
Bristol-Myers Squibb Company
BMY
$55.7M0.051.03M+2.18%+$1.19M2.15
Regeneron Pharmaceuticals, Inc.
REGN
$53.86M0.0555,954-8.27%-$4.86M2.08
AstraZeneca PLC
AZN
$52.93M0.05781,265+0.84%+$441,662.252.04
Medtronic plc
MDT
$53.72M0.05616,401-9.62%-$5.72M2.07
Elevance Health Inc.
ELV
$55.55M0.05107,128+0.61%+$334,458.302.14
Stryker Corporation
SYK
$57.45M0.04160,533-5.11%-$3.09M2.22
Intuitive Surgical, Inc.
ISRG
$56.95M0.04142,695-6.71%-$4.1M2.2
Motorola Solutions, Inc.
MSI
$23.35M0.0465,788+3.8%+$854,791.830.9
Amgen Inc.
AMGN
$52.67M0.04185,233+0.1%+$53,452.162.03
Danaher Corporation
DHR
$56.74M0.03227,199-7.54%-$4.63M2.19
CrowdStrike Holdings, Inc.
CRWD
$22.75M0.0370,976-16.91%-$4.63M0.88
Abbott Laboratories
ABT
$52.85M0.03465,019-10.05%-$5.91M2.04
Synopsys, Inc.
SNPS
$22.36M0.0339,125+3.05%+$662,368.520.86
Texas Instruments Incorporated
TXN
$40.01M0.03229,654-2.39%-$979,234.401.54
Thermo Fisher Scientific Inc.
TMO
$51.38M0.0288,410-17.98%-$11.27M1.98
Novartis AG
NVS
$46.91M0.02484,971-6.97%-$3.52M1.81
Micron Technology, Inc.
MU
$27.54M0.02233,612-10.13%-$3.1M1.06
AbbVie Inc.
ABBV
$59.64M0.02327,535-6.98%-$4.47M2.3
Cisco Systems, Inc.
CSCO
$38.49M0.02771,241+18.78%+$6.09M1.49
Johnson & Johnson
JNJ
$69.31M0.02438,157-2.1%-$1.48M2.67
Merck & Co., Inc.
MRK
$60.69M0.02459,937-9.8%-$6.6M2.34
Morgan Stanley
MS
$25.82M0.02274,191-2.97%-$789,437.451
Accenture plc
ACN
$37.53M0.02108,289-0.11%-$41,593.201.45
UnitedHealth Group Incorporated
UNH
$68.81M0.02139,100+9.77%+$6.12M2.66
ServiceNow, Inc.
NOW
$21.38M0.0128,037-8.78%-$2.06M0.83
Applied Materials, Inc.
AMAT
$24.01M0.01116,405-10.84%-$2.92M0.93
Verizon Communications Inc.
VZ
$22.6M0.01538,715-8.88%-$2.2M0.87
Caterpillar Inc.
CAT
$22.32M0.0160,924-8.76%-$2.14M0.86
Intuit Inc.
INTU
$22M0.0133,851-5.75%-$1.34M0.85
Shell plc
SHEL
$20.38M0.01304,009+14.92%+$2.65M0.79
PepsiCo, Inc.
PEP
$18.96M0.01108,326+8.61%+$1.5M0.73
Salesforce, Inc.
CRM
$22.69M0.0175,346-13.95%-$3.68M0.88
Advanced Micro Devices, Inc.
AMD
$21.25M0.01117,711-23.61%-$6.57M0.82
Oracle Corporation
ORCL
$23.89M0.01190,207+8.9%+$1.95M0.92
Eli Lilly and Company
LLY
$52.18M0.0167,067-28.16%-$20.45M2.01
JPMorgan Chase & Co.
JPM
$26.8M0.01133,791-8.88%-$2.61M1.03
Broadcom Inc.
AVGO
$22.68M<0.0117,112-8.83%-$2.2M0.88
Alphabet Inc.
GOOGL
$40.48M<0.01268,176-1.49%-$612,172.081.56
Meta Platforms, Inc.
META
$23.39M<0.0148,163-15.3%-$4.22M0.9
NVIDIA Corporation
NVDA
$22.55M<0.0124,955-32.72%-$10.97M0.87
Apple Inc.
AAPL
$34.87M<0.01203,347+11.92%+$3.71M1.35
Microsoft Corporation
MSFT
$41.76M<0.0199,266+4.54%+$1.81M1.61
iShares 20+ Year Treasury Bond ETF
TLT
$138.31M<0.011.46M+85.35%+$63.69M5.34
iShares 7-10 Year Treasury Bond ETF
IEF
$36.55M<0.01386,152New+$36.55M1.41
SPDR Portfolio Long Term Treasury ETF
SPTL
$24.81M<0.01888,028+66.65%+$9.92M0.96
Vanguard Long-Term Treasury Index Fund
VGLT
$33.94M<0.01572,949+78.44%+$14.92M1.31