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  Name: 17 CAPITAL PARTNERS LLC
  City: PHEONIX
  State: AZ
  Zip: 85018
   
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Portfolio Summary View Filing
  Filing Report Date : 2024-03-31
  Total Value : $135,162,000
  Total Value Change : $26,259,000
  Securities Held Change : 31
   
All Securities Held : 124
  New Positions : 35
  Closed Positions : 6
  Increased Positions : 20
  Unchanged Positions : 46
  Decreased Positions : 23

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Holdings Found : 23     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
   (FB)1 Year Chart         FB Meta Platforms Inc 1 - $471.91 $21,273,000 43,809 15.74% 5,491,000 -778 0.002    Internet Service Prov...
   (PH)1 Year Chart         PH Parker Hannifin Corp 5 - $545.11 $2,703,000 4,864 2% 432,000 -65 0.004    Industrial Equipment ...
   (MLM)1 Year Chart         MLM Martin Marietta Materials Inc 6 - $580.75 $2,659,000 4,331 1.97% 453,000 -90 0.005    General Building Mate...
   (LEN)1 Year Chart         LEN Lennar Corp 7 - $165.88 $2,566,000 14,923 1.9% 297,000 -301 0.005    Residential Construct...
   (AMGN)1 Year Chart         AMGN Amgen Inc 18 - $312.47 $1,728,000 6,076 1.28% -336,000 -4,123 0.001    Biotechnology
   (NVDA)1 Year Chart         NVDA NVIDIA Corporation 44 - $924.79 $1,108,000 1,226 0.82% 226,000 -555 0    Semiconductor - Speci...
   (QQQ)1 Year Chart         QQQ Invesco QQQ Trust Series I 53 - $451.76 $900,000 2,026 0.67% 63,000 -17 0    Closed - End Fund - Debt
   (CRM)1 Year Chart         CRM Salesforce.com Inc 54 - $285.61 $887,000 2,946 0.66% -29,000 -535 0    Internet Software & S...
   (ISRG)1 Year Chart         ISRG Intuitive Surgical Inc 57 - $372.63 $832,000 2,084 0.62% 112,000 -50 0.001    Medical Appliances & ...
   (AAXN)1 Year Chart         AAXN Axon Enterprise Inc 58 - $288.79 $832,000 2,660 0.62% -276,000 -1,630 0    Aerospace/Defense Pro...
   (TMUS)1 Year Chart         TMUS T-Mobile Us Inc 64 - $164.00 $750,000 4,595 0.55% 3,000 -62 0    Wireless Communications
   (PANW)1 Year Chart         PANW Palo Alto Networks Inc 69 - $317.85 $678,000 2,385 0.5% -410,000 -1,305 0.001    Networking & Communic...
   (XLV)1 Year Chart         XLV SPDR Select Sector Health 71 - $146.31 $577,000 3,905 0.43% 36,000 -61 0    Closed - End Fund - E...
   (SPY)1 Year Chart         SPY Standard & Poors Depository... 72 - $529.45 $537,000 1,026 0.4% -2,712,000 -5,809 0    Closed - End Fund - E...
   (VRTX)1 Year Chart         VRTX Vertex Pharmaceuticals Inc 87 - $445.21 $393,000 940 0.29% -390,000 -985 0    Drug Manufacturers - ...
   (TTD)1 Year Chart         TTD Trade Desk, Inc. 89 - $94.78 $389,000 4,455 0.29% 66,000 -30 0.001    N/A
   (IVV)1 Year Chart         IVV iShares Core S&P 500 Etf 90 - $532.13 $388,000 738 0.29% -293,000 -687 0    Closed - End Fund - E...
   (CSGP)1 Year Chart         CSGP CoStar Group Inc 91 - $87.50 $383,000 3,960 0.28% 26,000 -125 0.001    Business Software & S...
   (VEEV)1 Year Chart         VEEV Veeva Systems Inc 92 - $210.27 $364,000 1,573 0.27% 56,000 -25 0.001    Healthcare Informatio...
   (BRK.B)1 Year Chart         BRK.B Berkshire Hathaway B 93 - $416.94 $353,000 839 0.26% 44,000 -28 0    Property & Casualty I...
   (PINS)1 Year Chart         PINS Pinterest, Inc. 108 - $42.78 $268,000 7,730 0.2% -28,000 -270 0.001    N/A
   (UAL)1 Year Chart         UAL United Continental Holding 113 - $50.67 $235,000 4,900 0.17% -37,000 -1,700 0.002    Major Airlines
   (WFC)1 Year Chart         WFC Wells Fargo & Co 114 - $61.08 $230,000 3,966 0.17% -2,000 -750 0    Domestic Money Center...

      23 Records Found
  1    
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