Xml 13F annual report

Xml is an investment fund managing more than $990 billion ran by Jennifer Szaro. There are currently 259 companies in Mrs. Szaro’s portfolio. The largest investments include Schwab Strategic Tr and Ishares Tr, together worth $290 billion.

Limited to 30 biggest holdings

$990 billion Assets Under Management (AUM)

As of 15th July 2024, Xml’s top holding is 855,232 shares of Schwab Strategic Tr currently worth over $73.6 billion and making up 7.4% of the portfolio value. In addition, the fund holds 1,879,475 shares of Ishares Tr worth $217 billion. The third-largest holding is Microsoft worth $27.9 billion and the next is Apple Inc worth $27.6 billion, with 131,116 shares owned.

Currently, Xml's portfolio is worth at least $990 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Xml

The Xml office and employees reside in Bethesda, Maryland. According to the last 13-F report filed with the SEC, Jennifer Szaro serves as the CHIEF COMPLIANCE OFFICER at Xml.

Recent trades

In the most recent 13F filing, Xml revealed that it had opened a new position in Spdr Ser Tr and bought 216,801 shares worth $6.07 billion.

The investment fund also strengthened its position in Ishares Tr by buying 80,534 additional shares. This makes their stake in Ishares Tr total 1,879,475 shares worth $217 billion.

On the other hand, there are companies that Xml is getting rid of from its portfolio. Xml closed its position in Innovator Etfs Tr on 22nd July 2024. It sold the previously owned 268,927 shares for $6.62 billion. Jennifer Szaro also disclosed a decreased stake in Schwab Strategic Tr by approximately 0.1%. This leaves the value of the investment at $73.6 billion and 855,232 shares.

One of the average hedge funds

The two most similar investment funds to Xml are Central Securities Corp and Crake Asset Management LL.P.. They manage $990 billion and $991 billion respectively.


Jennifer Szaro investment strategy

Xml’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Technology — making up 7.5% of the total portfolio value. The fund focuses on investments in the United States as 46.3% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 41% of the total holdings value. On the other hand, small-cap stocks make up only 4.2% of the portfolio. The average market cap of the portfolio companies is close to $139 billion.

The complete list of Xml trades based on 13F SEC filings

These positions were updated on July 22nd based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Schwab Strategic Tr
3.22%
855,232
$73,589,380,000 7.43%
Ishares Tr
4.48%
1,879,475
$216,813,598,000 21.90%
Microsoft Corporation
17.03%
62,349
$27,866,795,000 2.81%
Apple Inc
9.02%
131,116
$27,615,702,000 2.79%
Vanguard World Fd
4.05%
36,557
$21,078,557,000 2.13%
Pimco Corporate & Income Opp
18.67%
1,309,697
$18,741,761,000 1.89%
Vanguard Bd Index Fds
6.69%
221,698
$15,973,308,000 1.61%
Qualcomm, Inc.
23.75%
77,596
$15,455,629,000 1.56%
Pimco Etf Tr
35.09%
319,816
$23,299,094,000 2.35%
Spdr Ser Tr
4.10%
341,580
$22,903,445,000 2.31%
Berkshire Hathaway Inc.
6.26%
34,896
$16,031,150,000 1.62%
Goldman Sachs Etf Tr
2.06%
105,785
$11,313,696,000 1.14%
Prospect Cap Corp
42.56%
1,891,268
$10,458,711,000 1.06%
Bank America Corp
17.79%
257,809
$10,253,082,000 1.04%
Amazon.com Inc.
5.35%
52,541
$10,153,555,000 1.03%
JPMorgan Chase & Co.
16.65%
49,264
$9,964,087,000 1.01%
Johnson & Johnson
9.27%
68,115
$9,955,753,000 1.01%
Spdr Gold Tr
16.70%
39,035
$8,392,810,000 0.85%
Cisco Sys Inc
15.20%
171,977
$8,170,643,000 0.83%
Unilever plc
23.70%
145,183
$7,983,587,000 0.81%
Merck & Co Inc
14.31%
63,864
$7,906,420,000 0.80%
Vanguard Mun Bd Fds
1.61%
155,214
$7,777,772,000 0.79%
Verizon Communications Inc
15.41%
178,483
$7,360,628,000 0.74%
Vanguard Whitehall Fds
2.84%
61,584
$7,303,888,000 0.74%
First Tr Exchng Traded Fd Vi
2.14%
313,254
$7,572,715,000 0.76%
Invesco Exch Traded Fd Tr Ii
0.49%
243,690
$12,577,782,000 1.27%
Pacer Fds Tr
737.13%
140,997
$7,893,043,000 0.80%
AMGEN Inc.
11.96%
22,359
$6,986,005,000 0.71%
Chevron Corp.
7.58%
42,671
$6,674,605,000 0.67%
Innovator Etfs Tr
Closed
268,927
$6,620,983,000
NVIDIA Corp
874.01%
52,879
$6,532,660,000 0.66%
Vanguard Index Fds
9.96%
72,844
$16,330,119,000 1.65%
Kinder Morgan Inc
16.02%
314,080
$6,240,768,000 0.63%
Spdr Ser Tr
Opened
216,801
$6,074,765,000 0.61%
RTX Corp
20.94%
60,106
$6,034,062,000 0.61%
Gladstone Commercial Corp
22.89%
421,215
$6,010,731,000 0.61%
International Business Machs
17.43%
34,697
$6,000,883,000 0.61%
Spdr Index Shs Fds
8.08%
278,953
$10,556,492,000 1.07%
United Parcel Service, Inc.
13.78%
40,854
$5,590,807,000 0.56%
Exxon Mobil Corp.
0.50%
47,238
$5,438,054,000 0.55%
Global X Fds
73.47%
499,365
$9,892,338,000 1.00%
Dow Inc
17.45%
95,936
$5,089,387,000 0.51%
Pfizer Inc.
6.57%
179,329
$5,017,617,000 0.51%
CVS Health Corp
22.95%
84,364
$4,982,552,000 0.50%
Costco Whsl Corp New
6.45%
5,381
$4,573,615,000 0.46%
Alphabet Inc
28.50%
44,073
$8,053,023,000 0.81%
Pacer Fds Tr
Opened
144,797
$4,396,037,000 0.44%
Vanguard Scottsdale Fds
Opened
54,311
$4,341,057,000 0.44%
First Tr Exchange-traded Fd
7.14%
270,983
$7,172,681,000 0.72%
Lockheed Martin Corp.
8.82%
9,150
$4,273,989,000 0.43%
VanEck ETF Trust
Opened
93,963
$4,477,699,000 0.45%
Emerson Elec Co
3.36%
36,856
$4,060,109,000 0.41%
AT&T Inc.
13.83%
207,309
$3,961,684,000 0.40%
Truist Finl Corp
18.41%
100,071
$3,887,772,000 0.39%
Wisdomtree Tr
51.53%
141,337
$5,744,204,000 0.58%
Global X Fds
Closed
92,559
$3,650,544,000
Fedex Corp
32.86%
11,313
$3,392,147,000 0.34%
Bristol-Myers Squibb Co.
24.30%
78,996
$3,280,701,000 0.33%
Intel Corp.
12.88%
104,315
$3,230,640,000 0.33%
Applied Matls Inc
0.84%
12,557
$2,963,404,000 0.30%
Cummins Inc.
35.52%
10,663
$2,952,905,000 0.30%
Enterprise Prods Partners L
13.60%
100,876
$2,923,379,000 0.30%
Omega Healthcare Invs Inc
48.36%
84,190
$2,883,521,000 0.29%
Dominion Energy Inc
22.57%
57,804
$2,832,406,000 0.29%
Prudential Finl Inc
26.52%
24,106
$2,824,967,000 0.29%
Spdr Ser Tr
Closed
59,024
$2,774,128,000
Spdr S&p 500 Etf Tr
5.95%
4,952
$2,695,132,000 0.27%
International Paper Co.
29.49%
62,214
$2,684,516,000 0.27%
Oracle Corp.
2.00%
18,533
$2,616,904,000 0.26%
Us Bancorp Del
15.73%
62,511
$2,481,671,000 0.25%
National Storage Affiliates
33.17%
59,961
$2,471,608,000 0.25%
General Dynamics Corp.
20.80%
8,510
$2,469,185,000 0.25%
Abbvie Inc
14.97%
14,359
$2,462,835,000 0.25%
Home Depot, Inc.
17.49%
7,124
$2,452,468,000 0.25%
Mainstay Mackay Definedterm
33.94%
147,803
$2,450,565,000 0.25%
Phillips 66
25.27%
17,092
$2,412,875,000 0.24%
Public Storage Oper Co
53.80%
8,336
$2,397,855,000 0.24%
Goldman Sachs Group, Inc.
2.57%
5,151
$2,329,979,000 0.24%
Managed Portfolio Series
23.74%
79,977
$2,305,737,000 0.23%
Invesco Exchange Traded Fd T
1.17%
75,249
$3,593,453,000 0.36%
Pepsico Inc
2.51%
13,894
$2,291,574,000 0.23%
Procter And Gamble Co
0.80%
13,802
$2,276,151,000 0.23%
Abbott Labs
33.77%
21,131
$2,195,771,000 0.22%
Union Pac Corp
19.49%
9,670
$2,187,909,000 0.22%
Brookfield Renewable Corporation
50.64%
73,787
$2,094,079,000 0.21%
VanEck ETF Trust
648.26%
23,720
$2,054,389,000 0.21%
L3Harris Technologies Inc
13.89%
9,124
$2,049,010,000 0.21%
Blackstone Inc
15.59%
15,776
$1,953,064,000 0.20%
Marriott Intl Inc New
1.52%
8,015
$1,937,726,000 0.20%
Newmont Corp
35.64%
46,205
$1,934,603,000 0.20%
General Mls Inc
13.15%
29,753
$1,882,181,000 0.19%
Select Sector Spdr Tr
4.45%
8,242
$1,864,587,000 0.19%
Wp Carey Inc
Opened
33,133
$1,823,982,000 0.18%
Advanced Micro Devices Inc.
54.52%
11,161
$1,810,496,000 0.18%
Mcdonalds Corp
5.08%
6,952
$1,771,573,000 0.18%
Alps Etf Tr
14.88%
66,351
$1,762,946,000 0.18%
Walmart Inc
206.50%
25,081
$1,698,266,000 0.17%
Broadcom Inc.
13.29%
1,044
$1,675,807,000 0.17%
Legg Mason Etf Invt
12.71%
46,598
$1,669,261,000 0.17%
Nuveen Quality Muncp Income
1.44%
139,626
$1,639,212,000 0.17%
Coca-Cola Co
5.88%
25,238
$1,606,417,000 0.16%
Visa Inc
13.99%
6,118
$1,605,710,000 0.16%
Eli Lilly & Co
17.43%
1,758
$1,591,328,000 0.16%
Caterpillar Inc.
30.96%
4,735
$1,577,326,000 0.16%
Boeing Co.
1.22%
8,519
$1,550,506,000 0.16%
Comcast Corp New
12.38%
39,538
$1,548,315,000 0.16%
Spdr S&p Midcap 400 Etf Tr
3.35%
2,859
$1,529,794,000 0.15%
Unitedhealth Group Inc
15.29%
2,980
$1,517,556,000 0.15%
Philip Morris International Inc
1.99%
13,999
$1,418,562,000 0.14%
MGM Resorts International
0.65%
30,479
$1,354,495,000 0.14%
Regeneron Pharmaceuticals, Inc.
3.98%
1,207
$1,268,593,000 0.13%
General Mtrs Co
5.63%
27,033
$1,255,965,000 0.13%
Altria Group Inc.
1.48%
27,286
$1,242,897,000 0.13%
Honeywell International Inc
1.95%
5,794
$1,237,207,000 0.12%
Cracker Barrel Old Ctry Stor
Closed
15,946
$1,229,102,000
Wells Fargo Co New
0.07%
20,274
$1,204,045,000 0.12%
Lowes Cos Inc
34.76%
5,389
$1,188,121,000 0.12%
Tesla Inc
2.07%
5,964
$1,180,162,000 0.12%
Cencora Inc.
0.85%
5,115
$1,152,474,000 0.12%
Danaher Corp.
14.72%
4,590
$1,146,801,000 0.12%
NextEra Energy Inc
10.80%
16,148
$1,143,446,000 0.12%
Occidental Pete Corp
10.08%
18,111
$1,141,562,000 0.12%
Disney Walt Co
7.16%
11,155
$1,107,537,000 0.11%
Wesco International, Inc.
6.84%
6,950
$1,101,714,000 0.11%
AGCO Corp.
20.52%
10,797
$1,056,808,000 0.11%
Waste Mgmt Inc Del
2.14%
4,935
$1,052,761,000 0.11%
Vanguard Specialized Funds
25.76%
5,746
$1,048,986,000 0.11%
Arista Networks Inc
8.06%
2,951
$1,034,266,000 0.10%
The Southern Co.
1.01%
13,136
$1,018,969,000 0.10%
Unum Group
1.29%
19,630
$1,003,289,000 0.10%
GSK Plc
16.91%
25,995
$1,000,801,000 0.10%
Accenture Plc Ireland
2.59%
3,289
$997,834,000 0.10%
Stryker Corp.
17.64%
2,895
$985,028,000 0.10%
Novartis AG
23.51%
9,248
$984,570,000 0.10%
Regions Financial Corp.
16.16%
48,000
$961,920,000 0.10%
Mondelez International Inc.
3.93%
14,686
$961,066,000 0.10%
Spdr Dow Jones Indl Average
47.00%
2,374
$928,618,000 0.09%
Saul Ctrs Inc
16.35%
25,116
$923,527,000 0.09%
Salesforce Inc
5.64%
3,522
$905,577,000 0.09%
Medtronic Plc
1.42%
11,185
$880,366,000 0.09%
Barrick Gold Corp.
3.13%
51,705
$862,439,000 0.09%
Sunoco Lp/sunoco Fin Corp
38.62%
15,209
$859,892,000 0.09%
Illinois Tool Wks Inc
9.98%
3,571
$846,151,000 0.09%
GE Aerospace
3.48%
5,242
$833,301,000 0.08%
CSX Corp.
0.30%
24,785
$829,057,000 0.08%
Meta Platforms Inc
6.73%
1,565
$788,864,000 0.08%
Monolithic Pwr Sys Inc
0.10%
955
$784,704,000 0.08%
3M Co.
2.09%
7,605
$777,104,000 0.08%
Innovator ETFs Trust
0.24%
73,682
$2,900,484,000 0.29%
Bhp Group Ltd
14.39%
13,061
$745,640,000 0.08%
Schwab Strategic Tr
Opened
11,368
$730,408,000 0.07%
Goldman Sachs Etf Tr
Opened
15,034
$721,782,000 0.07%
Norfolk Southn Corp
0.62%
3,071
$659,329,000 0.07%
Carpenter Technology Corp.
No change
6,000
$657,480,000 0.07%
ServisFirst Bancshares Inc
Opened
10,000
$631,900,000 0.06%
BCE Inc
58.91%
19,268
$623,689,000 0.06%
Lpl Finl Hldgs Inc
1.08%
2,189
$611,451,000 0.06%
Wynn Resorts Ltd.
9.23%
6,823
$610,686,000 0.06%
Medical Pptys Trust Inc
Closed
124,303
$610,327,000
M & T Bk Corp
0.88%
3,898
$589,986,000 0.06%
Royal Caribbean Group
7.69%
3,685
$587,520,000 0.06%
Energy Transfer L P
15.43%
35,741
$579,720,000 0.06%
Starbucks Corp.
2.31%
7,441
$579,274,000 0.06%
Kimberly-Clark Corp.
79.80%
4,130
$570,775,000 0.06%
Enbridge Inc
9.78%
15,699
$558,737,000 0.06%
Booking Holdings Inc
23.68%
141
$558,572,000 0.06%
Texas Instrs Inc
35.31%
2,847
$553,780,000 0.06%
Celanese Corp
8.02%
4,040
$544,956,000 0.06%
Universal Display Corp.
No change
2,587
$543,917,000 0.05%
United Airls Hldgs Inc
4.77%
11,140
$542,096,000 0.05%
Duke Energy Corp.
20.28%
5,162
$517,388,000 0.05%
Roper Technologies Inc
No change
916
$516,500,000 0.05%
Carlisle Cos Inc
2.33%
1,260
$510,565,000 0.05%
Ecolab, Inc.
10.10%
2,126
$506,096,000 0.05%
Norwegian Cruise Line Hldg L
3.10%
26,346
$495,041,000 0.05%
Reaves Util Income Fd
Opened
17,454
$476,847,000 0.05%
B. Riley Financial Inc
Closed
22,500
$472,284,000
Conocophillips
10.37%
4,114
$470,574,000 0.05%
Catalyst Pharmaceuticals Inc
No change
30,000
$464,700,000 0.05%
Omnicom Group, Inc.
0.92%
5,050
$453,006,000 0.05%
Taiwan Semiconductor Mfg Ltd
14.49%
2,600
$451,829,000 0.05%
Rockwell Automation Inc
12.53%
1,640
$451,459,000 0.05%
Astrazeneca plc
3.36%
5,748
$448,287,000 0.05%
Republic Svcs Inc
31.82%
2,250
$437,265,000 0.04%
Graphic Packaging Hldg Co
Opened
16,550
$433,776,000 0.04%
Ishares Tr
Closed
5,595
$432,996,000
New York Cmnty Bancorp Inc
198.30%
134,079
$431,734,000 0.04%
Ares Capital Corp
1.42%
20,413
$425,396,000 0.04%
Cincinnati Finl Corp
1.35%
3,595
$424,615,000 0.04%
Calamos Strategic Total Retu
4.59%
24,928
$419,788,000 0.04%
Ark Etf Tr
0.89%
9,541
$419,347,000 0.04%
Kkr Real Estate Fin Tr Inc
30.94%
46,282
$418,852,000 0.04%
Townebank Portsmouth VA
No change
15,055
$410,550,000 0.04%
Pioneer Nat Res Co
Closed
1,787
$401,868,000
Lmp Cap & Income Fd Inc
No change
25,468
$394,245,000 0.04%
Intuit Inc
3.68%
591
$388,197,000 0.04%
Constellation Brands, Inc.
2.27%
1,504
$386,949,000 0.04%
First Tr Exchange Traded Fd
Closed
7,127
$383,731,000
Capital One Finl Corp
12.85%
2,760
$382,079,000 0.04%
Exchange Listed Fds Tr
48.26%
17,885
$380,780,000 0.04%
Eagle Bancorp Inc Md
4.08%
19,864
$375,423,000 0.04%
Target Corp
5.01%
2,520
$373,074,000 0.04%
Blackrock Inc.
15.09%
473
$372,040,000 0.04%
Principal Exchange Traded Fd
2.40%
20,110
$366,398,000 0.04%
Rivernorth Managed Dur Mun I
18.52%
24,000
$366,240,000 0.04%
First Tr Morningstar Divid L
0.50%
9,654
$366,176,000 0.04%
Delta Air Lines, Inc.
7.25%
7,607
$360,873,000 0.04%
Canadian Pacific Kansas City
1.57%
4,513
$355,332,000 0.04%
Eaton Corp Plc
9.41%
1,097
$343,907,000 0.03%
Zoetis Inc
Closed
1,741
$343,567,000
Walgreens Boots Alliance Inc
44.54%
28,225
$341,382,000 0.03%
Dbx Etf Tr
Closed
9,416
$334,753,000
Lyondellbasell Industries N
2.11%
3,481
$332,991,000 0.03%
CubeSmart
1.65%
7,225
$326,369,000 0.03%
American Tower Corp.
33.33%
1,652
$321,155,000 0.03%
KKR & Co. Inc
6.21%
2,973
$312,875,000 0.03%
Deere & Co.
0.12%
823
$307,489,000 0.03%
Mastercard Incorporated
5.48%
693
$305,857,000 0.03%
Motorola Solutions Inc
0.13%
791
$305,282,000 0.03%
Consolidated Edison, Inc.
No change
3,345
$299,110,000 0.03%
S&P Global Inc
27.03%
658
$293,468,000 0.03%
Ford Mtr Co Del
15.21%
22,373
$280,552,000 0.03%
Ishares Gold Tr
0.81%
6,372
$279,922,000 0.03%
Williams Cos Inc
21.03%
6,548
$278,295,000 0.03%
Clean Harbors, Inc.
No change
1,230
$278,165,000 0.03%
Valero Energy Corp.
No change
1,760
$275,898,000 0.03%
BP plc
Closed
7,691
$272,251,000
Realty Income Corp.
0.08%
5,100
$269,374,000 0.03%
J P Morgan Exchange Traded F
Opened
4,750
$269,230,000 0.03%
RPM International, Inc.
No change
2,500
$269,200,000 0.03%
Federated Hermes Prem Muni I
11.31%
23,230
$265,519,000 0.03%
Ge Healthcare Technologies I
7.42%
3,372
$262,737,000 0.03%
Global Pmts Inc
Closed
2,050
$260,350,000
Thermo Fisher Scientific Inc.
3.81%
455
$251,458,000 0.03%
American Elec Pwr Co Inc
6.23%
2,815
$247,017,000 0.02%
Adobe Inc
17.60%
441
$244,993,000 0.02%
Microchip Technology, Inc.
0.08%
2,667
$243,992,000 0.02%
Vanguard World Fd
Opened
769
$241,763,000 0.02%
American Express Co.
Opened
1,026
$237,552,000 0.02%
Vanguard Tax-managed Fds
6.40%
4,719
$233,200,000 0.02%
Cohen & Steers Reit & Pfd &
Opened
11,305
$230,283,000 0.02%
Fidelity Covington Trust
Opened
5,609
$229,237,000 0.02%
Dell Technologies Inc
Opened
1,654
$228,134,000 0.02%
Clorox Co.
0.36%
1,660
$226,504,000 0.02%
Ge Vernova Inc
Opened
1,320
$226,393,000 0.02%
Sanofi
Closed
4,496
$223,586,000
Vanguard Whitehall Fds
Opened
3,250
$222,723,000 0.02%
DTE Energy Co.
No change
2,000
$222,020,000 0.02%
Greystone Housing Impact Inv
41.87%
14,897
$220,625,000 0.02%
Metlife Inc
Closed
3,300
$218,260,000
Iron Mtn Inc Del
Closed
3,068
$214,712,000
Nike, Inc.
Closed
1,976
$214,493,000
Mckesson Corporation
Opened
366
$213,886,000 0.02%
Gladstone Capital Corp.
Opened
9,105
$211,862,000 0.02%
Grainger W W Inc
13.16%
231
$208,591,000 0.02%
Netflix Inc.
Opened
308
$207,863,000 0.02%
Rivernorth Opportunistic Mun
17.72%
13,000
$206,830,000 0.02%
Eaton Vance Mun Income 2028
40.97%
11,023
$206,130,000 0.02%
Select Sector Spdr Tr
Opened
2,245
$204,599,000 0.02%
Conagra Brands Inc
Closed
7,095
$203,351,000
Rio Tinto plc
Closed
2,725
$202,868,000
Autozone Inc.
Opened
68
$201,559,000 0.02%
Palo Alto Networks Inc
Opened
591
$200,355,000 0.02%
Pioneer Municipal High Incom
Closed
24,200
$194,084,000
Gladstone Capital Corp.
Closed
17,577
$188,075,000
Nuveen Virginia Qlty Muncpl
Opened
15,350
$176,525,000 0.02%
Dnp Select Income Fd Inc
36.34%
19,089
$156,912,000 0.02%
Nuveen Mun Cr Opportunities
Closed
13,750
$137,088,000
Blackrock Enhanced Equity Di
No change
15,734
$128,547,000 0.01%
Nuveen Municipal Credit Inc
Closed
10,100
$119,382,000
Cohen & Steers Quality Incom
Opened
10,165
$118,727,000 0.01%
Calamos Gbl Dyn Income Fund
No change
17,200
$117,992,000 0.01%
Funko Inc
No change
12,000
$117,120,000 0.01%
Iovance Biotherapeutics Inc
Opened
13,500
$108,270,000 0.01%
Voya Asia Pac High Div Eqt I
No change
15,551
$98,593,000 0.01%
Bny Mellon Strategic Muns In
Closed
15,000
$87,900,000
Nuveen Pfd & Income Opportun
Opened
11,555
$86,316,000 0.01%
Mfs Multimarket Income Tr
No change
14,120
$66,081,000 0.01%
Macrogenics Inc
No change
10,600
$45,049,000 0.00%
Atai Life Sciences Nv
No change
27,457
$36,518,000 0.00%
Heron Therapeutics Inc
No change
10,000
$35,000,000 0.00%
Sirius XM Holdings Inc
23.00%
11,069
$31,325,000 0.00%
PAVmed Inc
2.58%
10,067
$8,205,000 0.00%
No transactions found
Showing first 500 out of 283 holdings