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PARAMETRIC PORTFOLIO ASSOCIATES LLC

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
Shell plc SHELADR4,108,6794,108,679225,690,000225,690,0000.12  Hist 03/31/2022
HF Sinclair Corp DINOCOM1,821,4321,821,43272,584,00072,584,0000.04  Hist 03/31/2022
Constellation Energy Corp CEGCommon1,145,9341,145,93464,459,00064,459,0000.030.35 Hist 03/31/2022
FEDERAL REALTY INVESTMENT TRUST FRTREIT282,282282,28234,458,00034,458,0000.02  Hist 03/31/2022
Apollo Global Management, Inc. APOLP513,505513,50531,832,00031,832,0000.02  Hist 03/31/2022
SL GREEN REALTY CORP SLGREIT312,396312,39625,360,00025,360,0000.01  Hist 03/31/2022
INVESCO EXCHANGE TRADED FD T RPVETF240,833240,83320,627,00020,627,0000.01  Hist 03/31/2022
BlackRock ESG Capital Allocation Term Trust ECATCommon912,778912,77815,207,00015,207,0000.01  Hist 03/31/2022
VANGUARD SCOTTSDALE FUNDS VTHRCommon45,95045,9509,371,0009,371,0000.00  Hist 03/31/2022
INVESCO EXCHANGE TRADED FD T PPAExchange Traded Fund117,877117,8779,232,0009,232,0000.00  Hist 03/31/2022
Grab Holdings Ltd GRABCommon2,475,4582,475,4588,664,0008,664,0000.00  Hist 03/31/2022
Western Asset Diversified Income Fund WDICommon497,273497,2738,061,0008,061,0000.00  Hist 03/31/2022
Cohen & Steers Tax-Advantaged Preferred Securities & Income Fund PTACOM291,355291,3556,401,0006,401,0000.00  Hist 03/31/2022
GABELLI DIVD & INCOME TR GDVCOM206,125206,1255,079,0005,079,0000.00  Hist 03/31/2022
DoubleLine Yield Opportunities Fund DLYCOM260,923260,9234,370,0004,370,0000.00  Hist 03/31/2022
BELLRING BRANDS, INC. BRBRCommon186,197186,1974,297,0004,297,0000.000.48 Hist 03/31/2022
Perimeter Solutions, SA PRMCommon272,081272,0813,295,0003,295,0000.000.17 Hist 03/31/2022
LSB INDUSTRIES, INC. LXUCOM148,812148,8123,250,0003,250,0000.000.17 Hist 03/31/2022
Invesco Municipal Opportunity Trust VMOCommon253,513253,5132,903,0002,903,0000.00  Hist 03/31/2022
BLACKROCK HEALTH SCIENCS TR BMEZCOM SHS138,701138,7012,782,0002,782,0000.00  Hist 03/31/2022
nCino, Inc. NCNOCommon61,91161,9112,537,0002,537,0000.000.06 Hist 03/31/2022
Thoughtworks Holding, Inc. TWKSCOM107,374107,3742,234,0002,234,0000.000.04 Hist 03/31/2022
GLOBALFOUNDRIES Inc. GFSCOMMON STOCK33,98733,9872,121,0002,121,0000.000.01 Hist 03/31/2022
Invesco Municipal Trust VKQCommon178,775178,7752,058,0002,058,0000.00  Hist 03/31/2022
Merus N.V. MRUSCOM65,26865,2681,726,0001,726,0000.000.15 Hist 03/31/2022
iShares MSCI KLD 400 Social ETF DSIETF19,29219,2921,671,0001,671,0000.00  Hist 03/31/2022
Eros Media World PLC ESGCCOM585,999585,9991,635,0001,635,0000.00  Hist 03/31/2022
ELLSWORTH GROWTH & INCOME FUND LTD ECFCommon153,357153,3571,624,0001,624,0000.00  Hist 03/31/2022
Sensus Healthcare, Inc. SRTSCOM144,210144,2101,459,0001,459,0000.000.87 Hist 03/31/2022
HIGHLAND INCOME FUND\MA HFROCommon120,587120,5871,440,0001,440,0000.00  Hist 03/31/2022
NICOLET BANKSHARES INC NCBSSTOCK15,21515,2151,424,0001,424,0000.000.11 Hist 03/31/2022
Sierra Oncology, Inc. SRRACommon43,72143,7211,401,0001,401,0000.000.18 Hist 03/31/2022
Zeta Global Holdings Corp. ZETACL A109,422109,4221,395,0001,395,0000.000.05 Hist 03/31/2022
CENTURY CASINOS INC /CO/ CNTYCommon114,285114,2851,366,0001,366,0000.000.39 Hist 03/31/2022
FRANKLIN LTD DURATION INCOME TRUST FTFCommon169,697169,6971,286,0001,286,0000.00  Hist 03/31/2022
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