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Holdings

EVERGREEN CAPITAL MANAGEMENT LLC

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

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
VanEck ETF Trust ANGLCommon1,420,055-666,72739,434,924,000-19,036,700,0001.65  Hist 06/30/2023
WEATHERFORD INTERNATIONAL LTD WFTCOM6,386-66,589550,957,000-4,675,963,0000.02  Hist 06/30/2023
Invesco Exchange-Traded Fund Trust II PHBExchange Traded Fund683,581-253,50311,949,005,000-4,459,334,0000.50  Hist 06/30/2023
HASBRO, INC. HASCommon4,037-80,323261,470,000-4,267,838,0000.010.00 Hist 06/30/2023
STATE STREET CORP STTCommon11,792-54,560869,774,000-4,193,880,0000.04  Hist 06/30/2023
ORACLE CORP ORCLCommon95,847-71,36711,414,452,000-4,123,083,0000.480.00 Hist 06/30/2023
UDR, Inc. UDRCommon110,833-93,7164,761,386,000-3,637,397,0000.20  Hist 06/30/2023
VANGUARD INDEX FUNDS VTVCommon94,186-27,81013,383,868,000-3,465,018,0000.56  Hist 06/30/2023
SCHWAB CHARLES CORP SCHWCommon162,518-78,6109,211,517,000-3,418,771,0000.380.01 Hist 06/30/2023
FORD MOTOR CO FCommon29,918-254,136452,651,000-3,126,430,0000.02  Hist 06/30/2023
SCHLUMBERGER LIMITED/NV SLBCommon4,542-61,200224,560,000-3,019,471,0000.010.00 Hist 06/30/2023
STANLEY BLACK & DECKER, INC. SWKcommon68,846-44,5326,451,544,000-2,684,424,0000.270.04 Hist 06/30/2023
SPROTT INC. SIICOM NEW29,052-64,525941,285,000-2,466,790,0000.040.11 Hist 06/30/2023
VANGUARD SCOTTSDALE FUNDS VMBSCommon1,159,101-34,28153,307,057,000-2,244,860,0002.23  Hist 06/30/2023
AbbVie Inc. ABBVCOM58,185-3,4457,839,272,000-1,982,776,0000.330.00 Hist 06/30/2023
USD Partners LP USDPCommon453,150-348,064448,619,000-1,955,023,0000.021.34 Hist 06/30/2023
NIKE, Inc. NKECommon123,631-2,78213,675,144,000-1,859,142,0000.57  Hist 06/30/2023
VISA INC. VCL A19,538-9,2674,639,934,000-1,854,521,0000.19  Hist 06/30/2023
FEDEX CORP FDXCommon37,822-9,7239,436,054,000-1,494,377,0000.390.02 Hist 06/30/2023
Walt Disney Co DISCommon123,918-57011,063,403,000-1,401,571,0000.460.01 Hist 06/30/2023
PayPal Holdings, Inc. PYPLCOM118,023-3,1627,875,676,000-1,327,114,0000.33  Hist 06/30/2023
NRG ENERGY, INC. NRGCommon194,196-54,9187,260,976,000-1,281,160,0000.300.08 Hist 06/30/2023
UNITED PARCEL SERVICE INC UPSCommon52,346-2919,382,947,000-828,136,0000.39  Hist 06/30/2023
3M CO MMMCommon6,355-4,375636,116,000-491,747,0000.03  Hist 06/30/2023
BP PLC BPSPONSORED ADR71,718-6,7502,530,929,000-446,148,0000.11  Hist 06/30/2023
COSTCO WHOLESALE CORP /NEW COSTCommon22,651-2,74612,194,913,000-424,153,0000.51  Hist 06/30/2023
TARGET CORP TGTCommon9,985-5011,317,033,000-419,778,0000.050.00 Hist 06/30/2023
HUMANA INC HUMCommon516-803231,594,000-409,776,0000.01  Hist 06/30/2023
NOKIA CORP NOKSPONSORED ADR483,342-4,7902,010,703,000-386,026,0000.08  Hist 06/30/2023
Roblox Corp RBLXCL A29,046-5,5121,170,555,000-383,865,0000.05  Hist 06/30/2023
AMGEN INC AMGNCommon5,875-1,0751,304,221,000-375,781,0000.050.00 Hist 06/30/2023
iSHARES TRUST MEARCommon7,750-7,350386,648,000-367,748,0000.02  Hist 06/30/2023
TYSON FOODS, INC. TSNCommon42,432-2122,165,744,000-363,899,0000.09  Hist 06/30/2023
ISHARES GOLD TRUST IAUCommon34,204-8,7711,244,684,000-361,292,0000.050.00 Hist 06/30/2023
PROSHARES TR MSCI EAFE DIVD PSQCommon34,658-25,000366,336,000-360,299,0000.02  Hist 06/30/2023
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