BRAUN STACEY ASSOCIATES INC Q3 2024 Filing

Filed November 7, 2024

Portfolio Value

$2.6B

Holdings

114

Report Date

Q3 2024

Filing Type

13F-HR

All Holdings (114 positions)

StockValue
AAPLAPPLE INC
$150.0M
NVDANVIDIA CORP COM
$149.6M
MSFTMICROSOFT
$144.2M
AMZNAMAZON COM INC COM
$91.9M
METAMETA PLATFORMS
$73.7M
GOOGLALPHABET CLASS A
$55.0M
LLYLILLY ELI AND COMPANY
$49.3M
XOMEXXON MOBIL CORP
$48.3M
VRTVERTIV HOLDINGS CO COM CL A
$46.8M
AVGOBROADCOM INC COM
$44.0M
JPMJPMORGAN CHASE & CO
$42.2M
HWMHOWMET AEROSPACE INC COM
$38.6M
APPAPPLOVIN CORP COM CL A
$36.2M
BRK/BBERKSHIRE HATHAWAY INC DEL CL
$35.5M
GOOGALPHABET CLASS C
$35.2M
EVREVERCORE PARTNERS INC CLASS A
$35.0M
PWRQUANTA SVCS INC COM
$34.8M
ANETEURARISTA NETWORKS INC COM
$33.4M
MAMASTERCARD INC CL A
$32.8M
WELLWELLTOWER INC
$32.5M
NOWSERVICENOW INC COM
$31.2M
TMUST MOBILE US INC COM
$29.5M
LDOSLEIDOS HLDGS INC COM
$29.4M
AXPAMERICAN EXPRESS CO
$29.3M
TTDTHE TRADE DESK INC COM CL A
$28.8M
NDAQNASDAQ OMX GROUP INC COM
$28.4M
TXRHTEXAS ROADHOUSE INC CL A
$28.3M
ACGLARCH CAP GROUP LTD ORD
$28.0M
MANHMANHATTAN ASSOCS INC COM
$27.8M
BACBANK AMER CORP
$27.1M
UNHUNITEDHEALTH GROUP INC
$26.9M
LRCXEURLAM RESEARCH CORP COM
$26.6M
TJXTJX COS INC NEW COM
$26.5M
TRVTRAVELERS COMPANIES INC
$26.2M
PANWPALO ALTO NETWORKS INC COM
$26.2M
UBERUBER TECHNOLOGIES INC COM
$25.2M
ETRENTERGY CORP NEW COM
$25.1M
MRKMERCK & COMPANY
$24.9M
MUMICRON TECHNOLOGY INC COM
$24.8M
FWONALIBERTY MEDIA CORP DEL COM LBT
$24.0M
CLCOLGATE PALMOLIVE CO
$24.0M
VRTXVERTEX PHARMACEUTICALS INC
$24.0M
DHRDANAHER CORP SHS BEN INT
$23.9M
COSTCOSTCO WHSL CORP NEW
$23.6M
ITRIITRON INC COM
$23.3M
REGNREGENERON PHARMACEUTICALS COM
$23.3M
POSTPOST HLDGS INC COM
$23.1M
MCKMCKESSON CORP COM
$23.0M
WECWEC ENERGY GROUP INC COM
$23.0M
ONTOONTO INNOVATION INC COM
$22.9M
BSXBOSTON SCIENTIFIC CORP COM
$22.7M
BLKCHFBLACKROCK INC COM
$22.6M
KOCOCA COLA CO
$22.5M
TECK/BTECK COMINCO LTD CL B
$22.5M
AZOAUTOZONE INC COM
$22.5M
VICIVICI PPTYS INC COM
$22.2M
WFCWELLS FARGO & CO
$21.9M
PGPROCTER & GAMBLE COMPANY
$21.7M
HDHOME DEPOT INC
$21.2M
LTHLIFE TIME GROUP HOLDINGS INCCO
$20.8M
GEHCGE HEALTHCARE TECHNOLOGIES ICO
$20.7M
MARMARRIOTT INTL INC NEW CL A
$19.9M
NUENUCOR CORP
$19.1M
BRBRBELLRING BRANDS INC COMMON STO
$18.7M
COPCONOCOPHILLIPS
$18.6M
AMGNAMGEN INC
$17.5M
AEEAMEREN CORP COM
$17.0M
ETNEATON CORP PLC SHS
$16.9M
MMM3M CO
$16.5M
MRVLMARVELL TECHNOLOGY GROUP LTD C
$16.4M
VOOVANGUARD INDEX FDS S&P 500 ETF
$15.8M
TMOTHERMO FISHER SCIENTIFIC INC
$15.4M
CATCATERPILLAR INC
$13.2M
LINLINDE PLC SHS
$13.2M
SRPTSAREPTA THERAPEUTICS INC COM
$12.9M
VRRMVERRA MOBILITY CORP CL A COM S
$12.2M
IQVIQVIA HOLDINGS INC
$11.8M
DKNGDRAFTKINGS INC NEW COM CL A
$11.5M
GEVGE VERNOVA LLC COM
$11.1M
TRGPTARGA RES CORP COM
$11.0M
METMETLIFE INC
$10.8M
LONGBOARD PHARMACEUTICALS INCO
$10.0M
CELHCELSIUS HLDGS INC COM NEW
$9.7M
SNSHARKNINJA INC COM SHS
$9.2M
CVXCHEVRON CORP
$8.8M
QSRRESTAURANT BRANDS INTL INC COM
$8.7M
NYTNEW YORK TIMES CO
$8.3M
DYDYCOM INDS INC COM
$5.7M
DEDEERE & CO COM
$5.7M
TKOTKO GROUP HOLDINGS INC CL A
$5.3M
SPYSPDR TR UNIT SER 1
$4.5M
PEPPEPSICO INC
$4.4M
FDXFEDEX CORP COM
$4.0M
DWDMORGAN STANLEY
$3.9M
GSGOLDMAN SACHS GROUP INC COM
$3.4M
MCDMCDONALDS CORP
$2.8M
MDYSPDR S&P MIDCAP 400 ETF TR UTS
$1.4M
GPNGLOBAL PMTS INC COM
$1.3M
VVISA INC COM CL A
$1.2M
VFIAXVANGUARD INDEX FDS 500INDEX AD
$1.2M
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