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  Name: GRANITE INVESTMENT PARTNERS, LLC
  City: LOS ANGELES
  State: CA
  Zip: 90245
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $2,627,884,000
  Total Value Change : $58,131,000
  Securities Held Change : 0
   
All Securities Held : 261
  New Positions : 21
  Closed Positions : 21
  Increased Positions : 53
  Unchanged Positions : 47
  Decreased Positions : 140

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Holdings Found : 21     View All Holdings Currently Viewing:  New Positions     Page 1 of 1
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Ticker Company Name Position
Rank
New/Closed
Postion
Last
Close
    Value Shares Held
% of
Portfolio
Value
Change
Change In
Shares Held
   % of Company    Industry
   (TXG)1 Year Chart         TXG 10x Genomics, Inc. 50 New $0.00 $19,104,000 509,033 0.73% 19,104,000 509,033 0.484    N/A
   (LITE)1 Year Chart         LITE Lumentum Holdings Inc. 61 New $47.28 $16,170,000 341,504 0.62% 16,170,000 341,504 0.452    N/A
   (ZIP)1 Year Chart         ZIP Ziprecruiter, Inc. 67 New $9.45 $14,493,000 1,261,376 0.55% 14,493,000 1,261,376 1.709    N/A
   (SITM)1 Year Chart         SITM Sitime Corp 74 New $0.00 $12,566,000 134,783 0.48% 12,566,000 134,783 0.629    N/A
   (ENOV)1 Year Chart         ENOV Enovis Corp 75 New $44.84 $12,459,000 199,508 0.47% 12,459,000 199,508 0.332    N/A
   (FOLD)1 Year Chart         FOLD Amicus Therapeutics Inc 81 New $10.61 $10,824,000 918,834 0.41% 10,824,000 918,834 0.27    Biotechnology
   (BROS)1 Year Chart         BROS Dutch Bros Inc. 87 New $38.12 $10,087,000 305,660 0.38% 10,087,000 305,660 0.255    N/A
   (SHW)1 Year Chart         SHW Sherwin Williams Co 93 New $296.99 $9,558,000 27,518 0.36% 9,558,000 27,518 0.01    General Building Mate...
   (MP)1 Year Chart         MP Mp Materials Ord Shs Class A 126 New $13.64 $6,207,000 434,077 0.24% 6,207,000 434,077 0.254    N/A
   (ALGM)1 Year Chart         ALGM Allegro Microsystems, Inc. 140 New $28.02 $5,364,000 198,952 0.2% 5,364,000 198,952 0.105    N/A
   (FMC)1 Year Chart         FMC FMC Corp 161 New $54.79 $4,395,000 69,001 0.17% 4,395,000 69,001 0.053    Diversified Chemicals
   (EXPO)1 Year Chart         EXPO Exponent Inc 168 New $95.15 $4,018,000 48,586 0.15% 4,018,000 48,586 0.094    Management Services
   (ATEC)1 Year Chart         ATEC Alphatec Holdings, Inc. 170 New $10.66 $3,980,000 288,580 0.15% 3,980,000 288,580 0.291    Medical Instruments &...
   (GEV)1 Year Chart         GEV Ge Vernova Llc 211 New $170.17 $1,019,000 7,450 0.04% 1,019,000 7,450 0.003    N/A
   (NEE)1 Year Chart         NEE NextEra Energy 241 New $73.06 $205,000 3,200 0.01% 205,000 3,200 0    Electric Utilities
   (HCA)1 Year Chart         HCA HCA Holdings Inc 242 New $337.47 $205,000 616 0.01% 205,000 616 0    Hospitals
   (MMMB)1 Year Chart         MMMB Mamamancinis Holdings, Inc. 251 New $0.00 $53,000 10,609 0% 53,000 10,609 0.034    Food - Major Diversified
   (SKIN)1 Year Chart         SKIN Beauty Health Company Class... 252 New $1.97 $52,000 11,804 0% 52,000 11,804 0.009    N/A
   (SWIM)1 Year Chart         SWIM Latham Group, Inc. 253 New $3.78 $51,000 12,882 0% 51,000 12,882 0.011    N/A
   (RIGL)1 Year Chart         RIGL Rigel Pharmaceuticals Inc 256 New $1.22 $16,000 10,578 0% 16,000 10,578 0.006    Drug Manufacturers - ...
   (OPK)1 Year Chart         OPK Opko Health Inc 257 New $1.25 $15,000 12,392 0% 15,000 12,392 0.002    Drug Manufacturers - ...

      21 Records Found
  1    
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