News + Filings Holdings
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FNY Managed Accounts LLC
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Changes: All | New | Increased | Decreased | Sold Out |
Portfolio as of: |
Name | Ticker | Class | Shares | Change | Value | Change | % Port | % OS | Hist | Date |
INVESCO QQQ TRUST, SERIES 1
| QQQQ | UNIT SER 1 | 119,750 | 119,750 | 19,175,000 | 19,175,000 | | |
Hist
| 03/31/2018 |
Keurig Dr Pepper Inc.
| DPS | COM | 86,850 | 86,850 | 10,281,000 | 10,281,000 | | |
Hist
| 03/31/2018 |
FMC CORP
| FMC | Common | 66,592 | 66,592 | 5,098,000 | 5,098,000 | | |
Hist
| 03/31/2018 |
ASHLAND LLC
| ASH | STOCK | 62,677 | 62,677 | 4,374,000 | 4,374,000 | | |
Hist
| 03/31/2018 |
PENTAIR plc
| PNR | Common | 62,800 | 62,800 | 4,278,000 | 4,278,000 | | |
Hist
| 03/31/2018 |
ILG, Inc.
| ILG | COM | 31,160 | 31,160 | 969,000 | 969,000 | | |
Hist
| 03/31/2018 |
SCHULMAN A INC
| SHLM | Common | 15,700 | 15,700 | 675,000 | 675,000 | | |
Hist
| 03/31/2018 |
CIGNA CORP
| CI | Common | 3,318 | 3,318 | 556,000 | 556,000 | | |
Hist
| 03/31/2018 |
Aramark
| ARMK | COM | 13,500 | 13,500 | 534,000 | 534,000 | | |
Hist
| 03/31/2018 |
BLACKHAWK NETWORK HOLDINGS, INC
| HAWK | Common | 10,500 | 10,500 | 469,000 | 469,000 | | |
Hist
| 03/31/2018 |
Walt Disney Co
| DIS | Common | 4,090 | 4,090 | 410,000 | 410,000 | | |
Hist
| 03/31/2018 |
UMH PROPERTIES, INC.
| UMH/PB | PFD | 14,052 | 14,052 | 373,000 | 373,000 | | |
Hist
| 03/31/2018 |
BECTON DICKINSON & CO
| BDX | Common | 1,614 | 1,614 | 349,000 | 349,000 | | |
Hist
| 03/31/2018 |
Gener8 Maritime, Inc.
| GNRT | COM | 57,412 | 57,412 | 324,000 | 324,000 | | |
Hist
| 03/31/2018 |
KLONDEX MINES LTD
| KLDX | Common | 110,000 | 110,000 | 258,000 | 258,000 | | |
Hist
| 03/31/2018 |
Syneos Health, Inc.
| SYNH | COMMON | 7,250 | 7,250 | 257,000 | 257,000 | | |
Hist
| 03/31/2018 |
PXP PRODUCING CO LLC
| PPP | Common | 1,131,569 | 1,131,569 | 211,000 | 211,000 | | |
Hist
| 03/31/2018 |
Nielsen Holdings plc
| NLSN | COM | 5,462 | 5,462 | 173,000 | 173,000 | | |
Hist
| 03/31/2018 |
RLJ Lodging Trust
| RLJ/PA | PFD | 6,599 | 6,599 | 167,000 | 167,000 | | |
Hist
| 03/31/2018 |
International Game Technology PLC
| IGT | Common | 6,000 | 6,000 | 160,000 | 160,000 | | |
Hist
| 03/31/2018 |
Warner Bros. Discovery, Inc.
| DISCK | Common | 7,596 | 7,596 | 148,000 | 148,000 | | |
Hist
| 03/31/2018 |
Pediatrix Medical Group, Inc.
| MD | COM | 2,500 | 2,500 | 139,000 | 139,000 | | |
Hist
| 03/31/2018 |
ELI LILLY & Co
| LLY | Common | 1,683 | 1,683 | 130,000 | 130,000 | | |
Hist
| 03/31/2018 |
RAYTHEON TECHNOLOGIES CORP
| UTX | Common | 965 | 965 | 121,000 | 121,000 | | |
Hist
| 03/31/2018 |
COCA COLA CO
| KO | Common | 2,794 | 2,794 | 121,000 | 121,000 | | |
Hist
| 03/31/2018 |
INNOVATIVE INDUSTRIAL PROPERTIES INC
| IIPR | Common | 4,501 | 4,501 | 120,000 | 120,000 | | |
Hist
| 03/31/2018 |
GOLDMAN SACHS GROUP INC
| GS | Common | 473 | 473 | 119,000 | 119,000 | | |
Hist
| 03/31/2018 |
EMERSON ELECTRIC CO
| EMR | Common | 1,730 | 1,730 | 118,000 | 118,000 | | |
Hist
| 03/31/2018 |
Philip Morris International Inc.
| PM | Common | 1,188 | 1,188 | 118,000 | 118,000 | | |
Hist
| 03/31/2018 |
TEXAS INSTRUMENTS INC
| TXN | Common | 1,124 | 1,124 | 116,000 | 116,000 | | |
Hist
| 03/31/2018 |
General Motors Co
| GM | Common | 3,180 | 3,180 | 115,000 | 115,000 | | |
Hist
| 03/31/2018 |
JOHN HANCOCK TAX-ADVANTAGED DIVIDEND INCOME FUND
| HTD | Common | 5,300 | 5,300 | 114,000 | 114,000 | | |
Hist
| 03/31/2018 |
US BANCORP \DE\
| USB | Common | 2,247 | 2,247 | 113,000 | 113,000 | | |
Hist
| 03/31/2018 |
ALPS ETF Trust
| AMLP | Common | 11,900 | 11,900 | 111,000 | 111,000 | | |
Hist
| 03/31/2018 |
ADT Inc.
| ADT | COM | 14,000 | 14,000 | 111,000 | 111,000 | | |
Hist
| 03/31/2018 |
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