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FNY Managed Accounts LLC

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
INVESCO QQQ TRUST, SERIES 1 QQQQUNIT SER 1119,750119,75019,175,00019,175,000   Hist 03/31/2018
Keurig Dr Pepper Inc. DPSCOM86,85086,85010,281,00010,281,000   Hist 03/31/2018
FMC CORP FMCCommon66,59266,5925,098,0005,098,000   Hist 03/31/2018
ASHLAND LLC ASHSTOCK62,67762,6774,374,0004,374,000   Hist 03/31/2018
PENTAIR plc PNRCommon62,80062,8004,278,0004,278,000   Hist 03/31/2018
ILG, Inc. ILGCOM31,16031,160969,000969,000   Hist 03/31/2018
SCHULMAN A INC SHLMCommon15,70015,700675,000675,000   Hist 03/31/2018
CIGNA CORP CICommon3,3183,318556,000556,000   Hist 03/31/2018
Aramark ARMKCOM13,50013,500534,000534,000   Hist 03/31/2018
BLACKHAWK NETWORK HOLDINGS, INC HAWKCommon10,50010,500469,000469,000   Hist 03/31/2018
Walt Disney Co DISCommon4,0904,090410,000410,000   Hist 03/31/2018
UMH PROPERTIES, INC. UMH/PBPFD14,05214,052373,000373,000   Hist 03/31/2018
BECTON DICKINSON & CO BDXCommon1,6141,614349,000349,000   Hist 03/31/2018
Gener8 Maritime, Inc. GNRTCOM57,41257,412324,000324,000   Hist 03/31/2018
KLONDEX MINES LTD KLDXCommon110,000110,000258,000258,000   Hist 03/31/2018
Syneos Health, Inc. SYNHCOMMON7,2507,250257,000257,000   Hist 03/31/2018
PXP PRODUCING CO LLC PPPCommon1,131,5691,131,569211,000211,000   Hist 03/31/2018
Nielsen Holdings plc NLSNCOM5,4625,462173,000173,000   Hist 03/31/2018
RLJ Lodging Trust RLJ/PAPFD6,5996,599167,000167,000   Hist 03/31/2018
International Game Technology PLC IGTCommon6,0006,000160,000160,000   Hist 03/31/2018
Warner Bros. Discovery, Inc. DISCKCommon7,5967,596148,000148,000   Hist 03/31/2018
Pediatrix Medical Group, Inc. MDCOM2,5002,500139,000139,000   Hist 03/31/2018
ELI LILLY & Co LLYCommon1,6831,683130,000130,000   Hist 03/31/2018
RAYTHEON TECHNOLOGIES CORP UTXCommon965965121,000121,000   Hist 03/31/2018
COCA COLA CO KOCommon2,7942,794121,000121,000   Hist 03/31/2018
INNOVATIVE INDUSTRIAL PROPERTIES INC IIPRCommon4,5014,501120,000120,000   Hist 03/31/2018
GOLDMAN SACHS GROUP INC GSCommon473473119,000119,000   Hist 03/31/2018
EMERSON ELECTRIC CO EMRCommon1,7301,730118,000118,000   Hist 03/31/2018
Philip Morris International Inc. PMCommon1,1881,188118,000118,000   Hist 03/31/2018
TEXAS INSTRUMENTS INC TXNCommon1,1241,124116,000116,000   Hist 03/31/2018
General Motors Co GMCommon3,1803,180115,000115,000   Hist 03/31/2018
JOHN HANCOCK TAX-ADVANTAGED DIVIDEND INCOME FUND HTDCommon5,3005,300114,000114,000   Hist 03/31/2018
US BANCORP \DE\ USBCommon2,2472,247113,000113,000   Hist 03/31/2018
ALPS ETF Trust AMLPCommon11,90011,900111,000111,000   Hist 03/31/2018
ADT Inc. ADTCOM14,00014,000111,000111,000   Hist 03/31/2018
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