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  Name: FAIRFIELD RESEARCH CORP
  City: NEW CANAAN
  State: CT
  Zip: 06840
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $168,693,000
  Total Value Change : $-1,826,000
  Securities Held Change : -414
   
All Securities Held : 116
  New Positions : 0
  Closed Positions : 414
  Increased Positions : 26
  Unchanged Positions : 22
  Decreased Positions : 68

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Holdings Found : 26     View All Holdings Currently Viewing:  Increased 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
   (TSM)1 Year Chart         TSM Taiwan Semiconductor Mfg. C... 4 - $172.51 $6,321,000 46,464 3.75% 1,592,000 997 0.001    Semiconductor - Integ...
   (ORCL)1 Year Chart         ORCL Oracle Corp 5 - $138.13 $6,144,000 48,910 3.64% 1,055,000 644 0.002    Application Software
   (WMT)1 Year Chart         WMT Wal-Mart Stores Inc 17 - $60.24 $2,701,000 44,891 1.6% 301,000 29,668 0.002    Discount, Variety Stores
   (INTU)1 Year Chart         INTU Intuit Inc 20 - $595.70 $2,486,000 3,825 1.47% 174,000 126 0.001    Application Software
   (NVO)1 Year Chart         NVO Novo Nordisk A/S (ADR) 24 - $142.50 $1,985,000 15,462 1.18% 557,000 1,655 0.001    Drug Manufacturers - ...
   (CRWD)1 Year Chart         CRWD Crowdstrike Holdings, Inc. 25 - $385.44 $1,932,000 6,027 1.15% 582,000 739 0.003    N/A
   (ADBE)1 Year Chart         ADBE Adobe Systems Inc 28 - $525.31 $1,852,000 3,670 1.1% -107,000 387 0.001    Application Software
   (LLY)1 Year Chart         LLY Eli Lilly & Co 31 - $878.45 $1,664,000 2,139 0.99% 431,000 24 0    Drug Manufacturers - ...
   (SHOP)1 Year Chart         SHOP Shopify Inc 36 - $67.66 $1,383,000 17,925 0.82% 17,000 390 0.002    N/A
   (IBM)1 Year Chart         IBM International Business Mach... 38 - $169.21 $1,257,000 6,582 0.75% 250,000 426 0.001    Diversified Computer ...
   (LMT)1 Year Chart         LMT Lockheed Martin Corp 40 - $458.34 $1,242,000 2,731 0.74% 84,000 175 0.001    Aerospace/Defense - M...
   (ILMN)1 Year Chart         ILMN Illumina Inc 42 - $108.66 $1,109,000 8,075 0.66% 50,000 473 0.006    Scientific & Technica...
   (XOM)1 Year Chart         XOM Exxon Mobil Corp 44 - $109.11 $1,064,000 9,154 0.63% 251,000 1,019 0    Integrated Oil & Gas
   (VRTX)1 Year Chart         VRTX Vertex Pharmaceuticals Inc 51 - $480.73 $864,000 2,066 0.51% 296,000 670 0.001    Drug Manufacturers - ...
   (PANW)1 Year Chart         PANW Palo Alto Networks Inc 56 - $317.31 $758,000 2,669 0.45% 5,000 115 0.001    Networking & Communic...
   (DE)1 Year Chart         DE Deere & Co 59 - $378.00 $733,000 1,784 0.43% 52,000 81 0.001    Farm & Construction M...
   (GNRC)1 Year Chart         GNRC Generac Holdings Inc. 60 - $134.97 $694,000 5,499 0.41% -11,000 41 0.009    Electronic Equipment
   (LHX)1 Year Chart         LHX L3harris Technologies Inc 64 - $217.47 $606,000 2,845 0.36% 67,000 285 0.001    Communication Equipment
   (PFE)1 Year Chart         PFE Pfizer Inc 71 - $27.53 $475,000 17,128 0.28% 42,000 2,091 0    Drug Manufacturers - ...
   (RSP)1 Year Chart         RSP Guggenheim ETF Trust - Gugg... 75 - $163.68 $420,000 2,478 0.25% 38,000 60 0.001    Closed - End Fund - E...
   (CCJ)1 Year Chart         CCJ Cameco Corporation (USA) 80 - $51.90 $373,000 8,603 0.22% 364,000 8,400 0.002    Industrial Metals & M...
   (DUK)1 Year Chart         DUK Duke Energy Corp 82 - $102.36 $362,000 3,742 0.21% 140,000 1,450 0.001    Electric Utilities
   (CRSP)1 Year Chart         CRSP Crispr Therapeutics Ag 86 - $63.56 $343,000 5,025 0.2% 207,000 2,850 0.007    N/A
   (MCD)1 Year Chart         MCD McDonalds Corp 87 - $253.58 $339,000 1,204 0.2% 0 60 0    Restaurants
   (IOVA)1 Year Chart         IOVA Iovance Biotherapeutics Inc 92 - $8.16 $318,000 21,450 0.19% 317,000 21,330 0.01    N/A
   (DIS)1 Year Chart         DIS Walt Disney Co 93 - $99.97 $315,000 2,572 0.19% 110,000 300 0    Entertainment - Diver...

      26 Records Found
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