Sign in:
Email
 Password  save:
  
 Company Reports 
 
   
My Recent Searches
  Help
 
   
 
 
 
     
Company Main View
  Name: Rockefeller Capital Management L.P.
  City: NEW YORK
  State: NY
  Zip: 10020
   
Achive data
  View Filing Period:
  
 
Portfolio Summary View Filing
  Filing Report Date : 2023-12-31
  Total Value : $29,927,420,000
  Total Value Change : $4,000,551,000
  Securities Held Change : 48
   
All Securities Held : 1532
  New Positions : 75
  Closed Positions : 88
  Increased Positions : 875
  Unchanged Positions : 34
  Decreased Positions : 548

                  Consumer Discretionary Consumer Staples Financials Health Care Industrials Information Technology Basic Materials Conglomerates Energy Utilities
 Download  
 
    Free Registration Required For Full Results

   
Holdings Found : 100     View All Holdings Currently Viewing:  Increased Positions     Page 1 of 1
     Menu
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 - $182.40 $1,145,303,000 5,948,697 3.83% 164,237,000 218,791 0.035    Personal Computers
   (MSFT)1 Year Chart         MSFT Microsoft Corp 2 - $409.34 $1,104,948,000 2,938,377 3.69% 180,571,000 11,503 0.039    Application Software
   (SPY)1 Year Chart         SPY Standard & Poors Depository... 3 - $517.14 $1,017,958,000 2,141,670 3.4% 110,308,000 18,539 0.024    Closed - End Fund - E...
   (AMZN)1 Year Chart         AMZN Amazon.com Inc 4 - $188.76 $665,940,000 4,382,917 2.23% 121,083,000 96,945 0.043    Internet Software & S...
   (GOOGL)1 Year Chart         GOOGL Alphabet Inc 5 - $171.25 $434,307,000 3,109,074 1.45% 42,591,000 116,322 0.052    Search Engines & Info...
   (NVDA)1 Year Chart         NVDA NVIDIA Corporation 6 - $905.54 $381,076,000 769,507 1.27% 55,185,000 20,318 0.031    Semiconductor - Speci...
   (VOO)1 Year Chart         VOO Vanguard S&P 500 Etf 8 - $475.40 $353,351,000 808,951 1.18% 107,013,000 181,660 0.09    Closed - End Fund - E...
   (QQQ)1 Year Chart         QQQ Invesco QQQ Trust Series I 9 - $440.32 $348,959,000 852,115 1.17% 64,011,000 56,779 0.178    Closed - End Fund - Debt
   (LLY)1 Year Chart         LLY Eli Lilly & Co 11 - $777.77 $300,998,000 516,361 1.01% 27,271,000 6,758 0.054    Drug Manufacturers - ...
   (V)1 Year Chart         V Visa Inc 12 - $276.46 $297,524,000 1,142,783 0.99% 35,938,000 5,674 0.068    Business Services
   (IVV)1 Year Chart         IVV iShares Core S&P 500 Etf 13 - $519.86 $280,109,000 586,456 0.94% 46,902,000 43,396 0.009    Closed - End Fund - E...
   (AVGO)1 Year Chart         AVGO Broadcom Limited 15 - $1,303.11 $269,818,000 241,717 0.9% 72,222,000 3,840 0.06    Semiconductor- Broad...
   (ORCL)1 Year Chart         ORCL Oracle Corp 16 - $117.93 $266,133,000 2,524,265 0.89% 54,403,000 525,609 0.084    Application Software
   (IWD)1 Year Chart         IWD iShares Russell 1000 Value 18 - $174.87 $215,763,000 1,305,676 0.72% 17,938,000 2,654 0.423    Closed - End Fund - E...
   (SHEL)1 Year Chart         SHEL Shell plc 19 - $72.97 $214,104,000 3,253,861 0.72% 13,391,000 136,345 0.159    Integrated Oil & Gas
   (COST)1 Year Chart         COST Costco Wholesale Corp 20 - $771.31 $207,748,000 314,730 0.69% 37,721,000 13,778 0.071    Discount, Variety Stores
   (HD)1 Year Chart         HD Home Depot Inc 21 - $340.69 $199,025,000 574,303 0.67% 33,615,000 26,770 0.053    Home Improvement Stores
   (RGA)1 Year Chart         RGA Reinsurance Group of Americ... 22 - $203.22 $198,435,000 1,226,574 0.66% 30,212,000 67,935 1.805    Life & Health Insurance
   (VT)1 Year Chart         VT Vanguard Total World Stock ... 23 - $109.79 $191,096,000 1,857,468 0.64% 40,329,000 239,455 1.041    Closed - End Fund - E...
   (AMD)1 Year Chart         AMD Advanced Micro Devices Inc 24 - $154.43 $188,928,000 1,281,649 0.63% 61,474,000 42,061 0.107    Semiconductor- Broad...
   (UNH)1 Year Chart         UNH Unitedhealth Group Inc 25 - $500.96 $187,816,000 356,745 0.63% 14,692,000 13,385 0.038    Health Care Plans
   (AMGN)1 Year Chart         AMGN Amgen Inc 26 - $300.30 $177,571,000 616,520 0.59% 41,806,000 111,373 0.105    Biotechnology
   (CVX)1 Year Chart         CVX Chevron Corp 27 - $162.67 $176,154,000 1,180,970 0.59% -17,186,000 34,337 0.061    Integrated Oil & Gas
   (MCD)1 Year Chart         MCD McDonalds Corp 29 - $267.50 $156,566,000 528,027 0.52% 24,522,000 26,484 0.071    Restaurants
   (XLK)1 Year Chart         XLK SPDR Technology Sector 30 - $204.26 $156,433,000 812,724 0.52% 29,684,000 39,535 0.27    Closed - End Fund - E...
   (ADBE)1 Year Chart         ADBE Adobe Systems Inc 31 - $492.27 $153,298,000 256,953 0.51% 29,757,000 14,669 0.054    Application Software
   (MRK)1 Year Chart         MRK Merck & Co Inc 32 - $131.20 $151,684,000 1,391,344 0.51% 29,039,000 200,274 0.055    Drug Manufacturers - ...
   (IJR)1 Year Chart         IJR iShares Core S&P Small-Cap 33 - $108.62 $146,535,000 1,353,672 0.49% 24,848,000 63,663 0.231    Closed - End Fund - E...
   (EFA)1 Year Chart         EFA iShares TR MSCI EAFE Indx FD 34 - $79.67 $144,753,000 1,921,077 0.48% 13,998,000 23,883 0.268    Closed - End Fund - E...
   (BRK.B)1 Year Chart         BRK.B Berkshire Hathaway B 36 - $406.14 $142,004,000 398,149 0.47% 14,723,000 34,800 0.028    Property & Casualty I...
   (VEA)1 Year Chart         VEA Vanguard Europe Pacific ETF 37 - $49.56 $137,865,000 2,878,176 0.46% 34,038,000 503,343 0.129    Closed - End Fund - F...
   (TEL)1 Year Chart         TEL Te Connectivity Ltd 38 - $144.94 $135,198,000 962,258 0.45% 16,343,000 109 0.291    Diversified Electronics
   (XOM)1 Year Chart         XOM Exxon Mobil Corp 40 - $116.17 $133,457,000 1,334,837 0.45% -3,861,000 166,434 0.032    Integrated Oil & Gas
   (IWM)1 Year Chart         IWM iShares Tr Russell 2000 Indx 42 - $204.97 $132,659,000 660,948 0.44% 25,835,000 56,532 0.023    Closed - End Fund - E...
   (TSLA)1 Year Chart         TSLA Tesla Motors Inc 43 - $177.81 $129,100,000 519,558 0.43% 1,865,000 11,070 0.016    Auto Manufacturers
   (ACN)1 Year Chart         ACN Accenture Plc 44 - $310.66 $128,774,000 366,970 0.43% 22,004,000 19,318 0.058    Management Services
   (BLK)1 Year Chart         BLK BlackRock Inc A 45 - $780.92 $128,492,000 158,279 0.43% 27,656,000 2,303 0.094    Investment Brokerage ...
   (TRU)1 Year Chart         TRU Transunion 46 - $78.59 $126,261,000 1,837,589 0.42% 38,898,000 620,666 0.966    N/A
   (HON)1 Year Chart         HON Honeywell International Inc 47 - $196.85 $118,546,000 565,286 0.4% 16,245,000 11,539 0.081    Conglomerates
   (IEFA)1 Year Chart         IEFA Ishares Core Msci Eafe 48 - $0.00 $118,182,000 1,679,909 0.39% 27,659,000 273,174 0.014    N/A
   (RSP)1 Year Chart         RSP Guggenheim ETF Trust - Gugg... 49 - $164.50 $116,334,000 737,223 0.39% 16,067,000 29,571 0.507    Closed - End Fund - E...
   (ABBV)1 Year Chart         ABBV Abbvie Inc. 52 - $162.55 $115,007,000 742,124 0.38% 13,867,000 63,616 0.042    Drug Manufacturers - ...
   (TMO)1 Year Chart         TMO Thermo Fisher Scientific 56 - $572.87 $110,311,000 207,824 0.37% 5,228,000 216 0.052    Medical Laboratories ...
   (JNJ)1 Year Chart         JNJ Johnson & Johnson 57 - $148.72 $110,239,000 703,321 0.37% 3,808,000 19,995 0.027    Drug Manufacturers - ...
   (KO)1 Year Chart         KO Coca-Cola Co 59 - $62.62 $107,500,000 1,824,197 0.36% 5,779,000 6,911 0.042    Beverage Soft Drinks...
   (VTI)1 Year Chart         VTI Vanguard Total Stock Market... 60 - $256.48 $106,044,000 447,026 0.35% 21,003,000 46,666 0.045    Closed - End Fund - E...
   (PEP)1 Year Chart         PEP Pepsico Inc 62 - $178.02 $104,990,000 618,168 0.35% 4,299,000 23,310 0.045    Beverage Soft Drinks...
   (VIG)1 Year Chart         VIG Vanguard Dividend Appreciat... 63 - $178.82 $103,663,000 608,352 0.35% 17,991,000 56,985 0.163    Closed - End Fund - Debt
   (PANW)1 Year Chart         PANW Palo Alto Networks Inc 64 - $305.52 $102,531,000 347,705 0.34% 24,907,000 16,603 0.116    Networking & Communic...
   (IJH)1 Year Chart         IJH iShares S&P MidCap 400 Index 67 - $59.52 $101,155,000 364,982 0.34% 15,498,000 21,463 0.157    Closed - End Fund - E...
   (AMAT)1 Year Chart         AMAT Applied Materials Inc 68 - $207.32 $100,432,000 619,681 0.34% 18,615,000 28,734 0.068    Semiconductor Equipme...
   (CAT)1 Year Chart         CAT Caterpillar Inc 70 - $345.00 $95,999,000 324,681 0.32% 19,423,000 44,184 0.06    Farm & Construction M...
   (PG)1 Year Chart         PG Procter & Gamble Co 71 - $165.76 $95,963,000 654,860 0.32% 2,443,000 13,727 0.026    Cleaning Products
   (CSCO)1 Year Chart         CSCO Cisco Systems Inc 72 - $47.28 $95,927,000 1,898,788 0.32% -4,163,000 37,042 0.045    Networking & Communic...
   (REGN)1 Year Chart         REGN Regeneron Pharmaceuticals Inc 76 - $969.97 $92,757,000 105,611 0.31% 7,160,000 1,600 0.101    Biotechnology
   (VOE)1 Year Chart         VOE Vanguard Mid-Cap Value ETF 77 - $152.51 $92,010,000 634,505 0.31% 9,746,000 6,343 0.712    Closed - End Fund - E...
   (EMR)1 Year Chart         EMR Emerson Electric Co 78 - $107.40 $89,085,000 915,287 0.3% 7,246,000 67,800 0.153    Industrial Electrical...
   (LIN)1 Year Chart         LIN Linde Plc 80 - $430.00 $86,682,000 211,054 0.29% 13,705,000 15,070 0.043    N/A
   (BX)1 Year Chart         BX Blackstone Group LP 81 - $120.62 $86,439,000 660,241 0.29% 17,949,000 20,987 0.098    Asset Management
   (VO)1 Year Chart         VO Vanguard Mid Cap VIPERS 83 - $243.98 $85,031,000 365,503 0.28% 25,167,000 78,030 0.184    Closed - End Fund - E...
   (JEPI)1 Year Chart         JEPI Jpmorgan Equity Premium Inc... 86 - $0.00 $83,243,000 1,514,059 0.28% 15,441,000 248,155 0.168    N/A
   (VZ)1 Year Chart         VZ Verizon Communications Inc 87 - $39.31 $82,688,000 2,193,310 0.28% 26,759,000 467,186 0.053    Telecom Services - Do...
   (CRWD)1 Year Chart         CRWD Crowdstrike Holdings, Inc. 88 - $312.55 $82,039,000 321,317 0.27% 36,287,000 47,973 0.174    N/A
   (VUG)1 Year Chart         VUG Vanguard Growth VIPERS 90 - $343.39 $81,297,000 261,506 0.27% 20,468,000 38,125 0.097    Closed - End Fund - E...
   (ABT)1 Year Chart         ABT Abbott Laboratories 92 - $106.17 $76,353,000 693,677 0.26% 12,099,000 29,854 0.039    Drug Manufacturers - ...
   (ADI)1 Year Chart         ADI Analog Devices Inc 93 - $203.57 $76,232,000 383,924 0.25% 13,990,000 28,436 0.071    Semiconductor- Broad...
   (VWO)1 Year Chart         VWO Vanguard Emerging Markets S... 94 - $43.24 $75,350,000 1,833,329 0.25% 5,109,000 41,905 0.013    Closed - End Fund - E...
   (BA)1 Year Chart         BA Boeing Co 95 - $176.71 $74,243,000 284,825 0.25% 21,910,000 11,801 0.05    Aerospace/Defense - M...
   (VBR)1 Year Chart         VBR Vanguard Small Cap Val VIPER 96 - $186.26 $74,228,000 412,445 0.25% 10,340,000 11,870 0.343    Closed - End Fund - E...
   (PFF)1 Year Chart         PFF iShares S&P U.S. Preferred ... 99 - $31.55 $74,056,000 2,374,360 0.25% 4,260,000 59,397 0.486    Closed - End Fund - E...
   (WMT)1 Year Chart         WMT Wal-Mart Stores Inc 100 - $60.24 $73,062,000 463,442 0.24% 344,000 8,775 0.016    Discount, Variety Stores
   (UNP)1 Year Chart         UNP Union Pacific Corp 101 - $242.38 $71,607,000 291,533 0.24% 14,247,000 10,207 0.043    Railroads
   (VGSH)1 Year Chart         VGSH Vanguard Scottsdale Funds 103 - $57.74 $70,220,000 1,203,841 0.23% 22,382,000 373,317 0.134    Closed - End Fund - Debt
   (VBK)1 Year Chart         VBK Vanguard Small Cap Gr VIPERS 104 - $252.46 $69,666,000 288,151 0.23% 12,232,000 19,995 0.547    Closed - End Fund - E...
   (ADP)1 Year Chart         ADP Automatic Data Processing Inc 105 - $245.12 $69,556,000 298,561 0.23% -391,000 7,937 0.07    Business Software & S...
   (ZTS)1 Year Chart         ZTS Zoetis Inc. 106 - $168.45 $68,834,000 348,756 0.23% 11,634,000 19,984 0.073    Drugs - Generic
   (QCOM)1 Year Chart         QCOM QUALCOMM Inc 107 - $180.15 $68,142,000 471,147 0.23% 35,146,000 174,048 0.042    Communication Equipment
   (MU)1 Year Chart         MU Micron Technology Inc 108 - $119.21 $66,989,000 784,969 0.22% 14,288,000 10,295 0.071    Semiconductor - Memor...
   (ISRG)1 Year Chart         ISRG Intuitive Surgical Inc 109 - $372.63 $66,560,000 197,296 0.22% 10,222,000 4,549 0.055    Medical Appliances & ...
   (MA)1 Year Chart         MA MasterCard Inc A 110 - $453.06 $65,292,000 153,084 0.22% 6,025,000 3,387 0.015    Business Services
   (IBM)1 Year Chart         IBM International Business Mach... 111 - $168.38 $65,035,000 397,645 0.22% 12,114,000 20,448 0.045    Diversified Computer ...
   (OMF)1 Year Chart         OMF OneMain Holdings Inc 112 - $51.47 $64,926,000 1,319,627 0.22% 29,965,000 447,555 0.982    Credit Services
   (PFE)1 Year Chart         PFE Pfizer Inc 113 - $27.77 $64,748,000 2,248,982 0.22% -8,396,000 43,846 0.04    Drug Manufacturers - ...
   (XLV)1 Year Chart         XLV SPDR Select Sector Health 114 - $142.57 $64,683,000 474,285 0.22% 8,832,000 40,486 0.021    Closed - End Fund - E...
   (MLI)1 Year Chart         MLI Mueller Industries Inc 115 - $58.65 $63,752,000 1,352,114 0.21% 17,709,000 739,513 2.369    Metal Fabrication
   (VTV)1 Year Chart         VTV Vanguard Value VIPERS 116 - $159.33 $61,168,000 409,151 0.2% 9,909,000 37,524 0.082    Closed - End Fund - E...
   (EOG)1 Year Chart         EOG EOG Resources Inc 118 - $130.26 $58,808,000 486,215 0.2% -427,000 19,055 0.084    Independent Oil & Gas
   (PLD)1 Year Chart         PLD ProLogis Inc 119 - $107.76 $58,771,000 440,889 0.2% 10,515,000 10,828 0.048    REIT - Industrial
   (BAC)1 Year Chart         BAC Bank of America Corp 124 - $37.84 $57,542,000 1,708,985 0.19% 19,207,000 308,886 0.02    Domestic Money Center...
   (XLF)1 Year Chart         XLF SPDR Financial Sector 125 - $41.21 $56,707,000 1,508,152 0.19% 8,050,000 41,335 0.02    Closed - End Fund - E...
   (PYPL)1 Year Chart         PYPL Paypal Holdings, Inc. 126 - $65.92 $56,690,000 923,140 0.19% 5,663,000 50,187 0.079    N/A
   (NVO)1 Year Chart         NVO Novo Nordisk A/S (ADR) 130 - $127.29 $53,710,000 519,187 0.18% 6,807,000 3,457 0.029    Drug Manufacturers - ...
   (XLE)1 Year Chart         XLE SPDR Energy Sector 131 - $93.21 $53,149,000 633,934 0.18% 109,000 47,174 0.02    Closed - End Fund - E...
   (C)1 Year Chart         C Citigroup Inc 132 - $62.00 $53,003,000 1,030,379 0.18% 18,829,000 199,495 0.05    Domestic Money Center...
   (EQIX)1 Year Chart         EQIX Equinix Inc 134 - $711.87 $51,624,000 64,097 0.17% 8,514,000 4,740 0.055    Telecom Services - Do...
   (NFLX)1 Year Chart         NFLX Netflix Inc 136 - $606.00 $50,151,000 103,004 0.17% 16,818,000 14,727 0.023    Music & Video Stores
   (IWN)1 Year Chart         IWN iShares Russell 2000 Value 138 - $155.63 $49,650,000 319,639 0.17% 24,454,000 133,758 0.385    Closed - End Fund - E...
   (IAU)1 Year Chart         IAU iShares COMEX Gold Trust 140 - $43.76 $49,208,000 1,260,772 0.16% 16,583,000 328,374 0.07    Closed - End Fund - E...
   (LMT)1 Year Chart         LMT Lockheed Martin Corp 141 - $466.68 $48,846,000 107,769 0.16% 8,116,000 8,177 0.039    Aerospace/Defense - M...
   (PRO)1 Year Chart         PRO Pros Holdings Inc 142 - $32.97 $48,224,000 1,243,206 0.16% 11,501,000 182,457 2.726    Application Software

      100 Records Found
  1    
Page 1 of 1
Free Registration Required For Full Results