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  Name: DIAMANT ASSET MANAGEMENT INC.
  City: GREENWICH
  State: CT
  Zip: 06830
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $144,039,000
  Total Value Change : $9,057,000
  Securities Held Change : 5
   
All Securities Held : 73
  New Positions : 4
  Closed Positions : 0
  Increased Positions : 12
  Unchanged Positions : 32
  Decreased Positions : 25

                  Consumer Discretionary Consumer Staples Financials Health Care Industrials Information Technology Basic Materials Conglomerates Energy Utilities
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Holdings Found : 25     View All Holdings Currently Viewing:  Decreased 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
   (AAPL)1 Year Chart         AAPL Apple Inc 1 - $189.84 $25,640,000 149,524 17.8% -3,367,000 -1,140 0.001    Personal Computers
   (MSFT)1 Year Chart         MSFT Microsoft Corp 2 - $420.99 $11,885,000 28,250 8.25% 1,233,000 -78 0    Application Software
   (GOOGL)1 Year Chart         GOOGL Alphabet Inc 4 - $174.18 $6,199,000 41,074 4.3% 455,000 -43 0.001    Search Engines & Info...
   (PGR)1 Year Chart         PGR Progressive Corp 7 - $207.01 $5,622,000 27,185 3.9% 1,291,000 -5 0.005    Property & Casualty I...
   (PEP)1 Year Chart         PEP Pepsico Inc 8 - $183.11 $4,520,000 25,825 3.14% 127,000 -40 0.002    Beverage Soft Drinks...
   (LDOS)1 Year Chart         LDOS Leidos Holdings, Inc. 9 - $147.56 $4,003,000 30,535 2.78% 697,000 -5 0.021    Technical Services
   (HD)1 Year Chart         HD Home Depot Inc 10 - $342.73 $3,740,000 9,750 2.6% 360,000 -2 0.001    Home Improvement Stores
   (JNJ)1 Year Chart         JNJ Johnson & Johnson 11 - $154.28 $3,501,000 22,130 2.43% -118,000 -961 0.001    Drug Manufacturers - ...
   (CL)1 Year Chart         CL Colgate Palmolive Co 13 - $94.53 $3,275,000 36,365 2.27% 368,000 -100 0.004    Personal Products
   (MRK)1 Year Chart         MRK Merck & Co Inc 14 - $131.20 $2,869,000 21,745 1.99% 463,000 -320 0.001    Drug Manufacturers - ...
   (MCD)1 Year Chart         MCD McDonalds Corp 16 - $273.51 $2,550,000 9,044 1.77% -161,000 -100 0.001    Restaurants
   (DIS)1 Year Chart         DIS Walt Disney Co 18 - $103.37 $1,936,000 15,825 1.34% 507,000 -6 0.001    Entertainment - Diver...
   (MKC)1 Year Chart         MKC McCormick & Co Inc 19 - $74.48 $1,907,000 24,825 1.32% 167,000 -605 0.01    Processed & Packaged ...
   (CAT)1 Year Chart         CAT Caterpillar Inc 20 - $350.72 $1,780,000 4,858 1.24% 321,000 -77 0.001    Farm & Construction M...
   (BBT)1 Year Chart         BBT Truist Financial Corp 24 - $35.64 $1,423,000 36,511 0.99% -39,000 -3,085 0.003    Domestic Regional Banks
   (JPM)1 Year Chart         JPM JP Morgan Chase & Co 29 - $202.47 $974,000 4,861 0.68% 145,000 -10 0    Domestic Money Center...
   (REYN)1 Year Chart         REYN Reynolds Consumer Products ... 31 - $29.03 $940,000 32,903 0.65% -123,000 -6,700 0.016    N/A
   (BRK.B)1 Year Chart         BRK.B Berkshire Hathaway B 39 - $413.12 $774,000 1,840 0.54% 116,000 -5 0    Property & Casualty I...
   (DOW)1 Year Chart         DOW DOW Inc 48 - $58.70 $597,000 10,310 0.41% -23,000 -1,000 0.001    Diversified Chemicals
   (UPS)1 Year Chart         UPS United Parcel Service Inc 49 - $149.66 $577,000 3,885 0.4% -48,000 -91 0.001    AirDelivery & Freight...
   (FDX)1 Year Chart         FDX Fedex Corp 50 - $258.78 $562,000 1,940 0.39% 38,000 -132 0.001    AirDelivery & Freight...
   (ED)1 Year Chart         ED Consolidated Edison Inc 52 - $96.91 $538,000 5,925 0.37% -18,000 -190 0.002    Multi Utilities
   (INTC)1 Year Chart         INTC Intel Corp 58 - $32.03 $393,000 8,903 0.27% -57,000 -50 0    Semiconductor- Broad...
   (TMO)1 Year Chart         TMO Thermo Fisher Scientific 62 - $597.15 $363,000 625 0.25% -22,000 -100 0    Medical Laboratories ...
   (WM)1 Year Chart         WM Waste Management Inc 65 - $212.20 $298,000 1,400 0.21% 47,000 -2 0    Waste Management

      25 Records Found
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