Allen Investment Management, LLC Q3 2024 Filing

Filed November 7, 2024

Portfolio Value

$8.4B

Holdings

215

Report Date

Q3 2024

Filing Type

13F-HR

All Holdings (215 positions)

#StockSharesValue% PortfolioType
1
MSFT3M CO
1,667,404$717.5T8524219.09%
2
AMZNABBOTT LABS
3,256,240$606.7T7208444.42%
3
UNHABBVIE INC
997,266$583.1T6927421.52%
4
VACUITY BRANDS INC
2,012,618$553.4T6574419.92%
5
SCHWADOBE INC
8,494,607$550.5T6540752.03%
6
GOOGADVANCED MICRO DEVICES INC
2,910,282$486.6T5780797.21%
7
SPGIAFFIRM HLDGS INC
933,764$482.4T5731267.21%
8
MCOAFLAC INC
981,053$465.6T5531632.33%
9
UBERAGIOS PHARMACEUTICALS INC
5,239,635$393.8T4678753.55%
10
DHRAIRBNB INC
1,339,497$372.4T4424457.53%
11
METAALCON AG
460,514$263.6T3131952.55%
12
LOWALIBABA GROUP HLDG LTD
811,794$219.9T2612263.96%
13
VTIALICO INC
596,031$168.8T2005132.88%
14
VEAALPHABET INC
2,481,079$131.0T1556679.20%
15
VOOALPHABET INC
244,031$128.8T1529853.23%
16
NOWALPS ETF TR
130,493$116.7T1386616.98%
17
SLBAMAZON COM INC
2,637,538$110.6T1314537.72%
18
AMLPAMERICAN EXPRESS CO
1,844,785$86.9T1032964.66%
19
SPYAMERICAN WTR WKS CO INC NEW
134,999$77.5T920244.40%
20
BRK/BAMGEN INC
159,328$73.3T871239.79%
21
AAPLAPOLLO GLOBAL MGMT INC
289,755$67.5T802102.51%
22
ITOTAPPLE INC
531,212$66.7T792809.83%
23
NVDAAPPLIED MATLS INC
548,412$66.6T791245.16%
24
NFLXAPPLOVIN CORP
78,825$55.9T664229.16%
25
COINARES CAPITAL CORP
300,893$53.6T636926.08%
26
CPARISTA NETWORKS INC
616,129$52.7T626157.03%
27
MLB1ASBURY AUTOMOTIVE GROUP INC
23,088$47.4T562856.34%
28
MAASML HOLDING N V
95,596$47.2T560832.50%
29
WDAYASTERA LABS INC
179,618$43.9T521568.30%
30
ARCCAURORA INNOVATION INC
2,091,726$43.8T520383.90%
31
GBDCAUTOMATIC DATA PROCESSING IN
2,681,079$40.5T481300.62%
32
JPMBANK AMERICA CORP
169,431$35.7T424452.84%
33
PANWBERKSHIRE HATHAWAY INC DEL
103,849$35.5T421577.04%
34
WBERKSHIRE HATHAWAY INC DEL
624,500$35.1T416827.67%
35
ASMLBLACKROCK TCP CAPITAL CORP
40,272$33.6T398676.73%
36
CRMBLACKSTONE INC
121,772$33.3T395986.58%
37
VTEBBLACKSTONE SECD LENDING FD
639,311$32.7T388280.32%
38
MDBBOOKING HOLDINGS INC
119,938$32.4T385234.82%
39
VXUSBRAZE INC
500,835$32.4T385220.80%
40
CRWDBROADCOM INC
114,658$32.2T382061.38%
41
NDQBROOKFIELD ASSET MANAGMT LTD
63,696$31.1T369348.76%
42
NETBROOKFIELD CORP
364,917$29.5T350696.39%
43
IXUSCANADIAN NATL RY CO
399,573$29.0T344789.91%
44
NUCANADIAN PACIFIC KANSAS CITY
2,048,207$28.0T332161.17%
45
JNJCARGURUS INC
169,502$27.5T326357.08%
46
SNOWCINTAS CORP
234,947$27.0T320612.96%
47
AQLTCISCO SYS INC
340,959$26.6T316005.62%
48
AVGOCLOUDFLARE INC
151,689$26.2T310874.83%
49
IWBCOCA COLA CO
82,367$25.9T307508.47%
50
SHOPCOCA-COLA EUROPACIFIC PARTNE
316,547$25.4T301390.74%
51
ANETEURCOINBASE GLOBAL INC
64,956$24.9T296202.85%
52
VCSHCONOCOPHILLIPS
300,993$23.9T284006.74%
53
GQ9COPART INC
96,583$23.5T278905.18%
54
VCITCOSTCO WHSL CORP NEW
277,941$23.3T276553.91%
55
DUOLCOUPANG INC
78,507$22.1T263045.36%
56
GOOGLCREDIT ACCEP CORP MICH
112,841$18.7T222343.67%
57
KOCROWDSTRIKE HLDGS INC
250,900$18.0T214205.67%
58
TSLXCROWN CASTLE INC
851,742$17.5T207749.20%
59
EFAD R HORTON INC
196,810$16.5T195547.21%
60
CPNGDANAHER CORPORATION
660,896$16.2T192764.47%
61
WMTDATADOG INC
193,464$15.6T185603.03%
62
VGSHDEERE & CO
263,591$15.6T184829.87%
63
DDOGDIAGEO PLC
128,587$14.8T175777.71%
64
HUBSDISNEY WALT CO
25,930$13.8T163768.30%
65
XLEDONALDSON INC
155,787$13.7T162505.68%
66
VTDOVER CORP
113,293$13.6T161116.34%
67
MMYTDUOLINGO INC
144,205$13.4T159247.30%
68
ACWIELEVANCE HEALTH INC
111,999$13.4T159076.52%
69
APOELI LILLY & CO
106,990$13.4T158775.23%
70
HDEMERSON ELEC CO
32,051$13.0T154295.54%
71
PGENSTAR GROUP LIMITED
70,704$12.2T145490.37%
72
TSMENTERPRISE PRODS PARTNERS L
66,996$11.6T138234.37%
73
IWVEPAM SYS INC
35,383$11.6T137349.17%
74
GDETSY INC
33,954$10.3T121906.76%
75
AQLTEXXON MOBIL CORP
72,973$9.9T117101.77%
76
GEVF&G ANNUITIES & LIFE INC
37,622$9.6T113969.96%
77
PWRFAIR ISAAC CORP
32,000$9.5T113351.47%
78
IWFGALLAGHER ARTHUR J & CO
25,154$9.4T112181.33%
79
VIGGE AEROSPACE
43,042$8.5T101281.85%
80
PLTRGE VERNOVA INC
213,818$8.0T94499.52%
81
CARGGENERAL DYNAMICS CORP
257,827$7.7T91986.93%
82
IJRGOLDMAN SACHS GROUP INC
62,583$7.3T86963.32%
83
MDLZGOLUB CAP BDC INC
93,947$6.9T82227.28%
84
BRK-BHEIDRICK & STRUGGLES INTL IN
10$6.9T82117.09%
85
BXSLHERSHEY CO
235,672$6.9T82010.55%
86
AFRMHOME DEPOT INC
161,044$6.6T78101.60%
87
SPSBHONEYWELL INTL INC
204,584$6.2T73598.66%
88
MCDHUBSPOT INC
19,564$6.0T70778.54%
89
BXHUMANA INC
38,882$6.0T70737.75%
90
AURIAC INC
972,165$5.8T68376.06%
91
LLYINTERNATIONAL BUSINESS MACHS
6,488$5.7T68290.07%
92
VFHINTUIT
44,098$4.8T57583.55%
93
MRKINVESCO QQQ TR
36,424$4.1T49142.28%
94
ABNBIRON MTN INC DEL
30,538$3.9T46008.33%
95
SYYISHARES TR
49,077$3.8T45514.41%
96
KKRISHARES TR
28,101$3.7T43595.42%
97
CARTISHARES TR
85,563$3.5T41424.37%
98
HDVISHARES TR
29,195$3.4T40797.36%
99
DISISHARES TR
34,912$3.4T39897.62%
100
IBMISHARES TR
15,000$3.3T39398.81%
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