Cerity Partners LLC Q1 2024 Filing

Filed May 14, 2024

Portfolio Value

$32.9B

Holdings

2,284

Report Date

Q1 2024

Filing Type

13F-HR

All Holdings (2,284 positions)

StockValue
OPENOPENDOOR TECHNOLOGIES INC
$704K
RHRH
$701K
EWBCEAST WEST BANCORP INC
$701K
MDYGSPDR SER TR
$700K
NVDANVIDIA CORPORATION
$698K
FULTFULTON FINL CORP PA
$697K
ALLYALLY FINL INC
$695K
RBCAAREPUBLIC BANCORP INC KY
$695K
SCZISHARES TR
$692K
GTLBGITLAB INC
$692K
ESRTEMPIRE ST RLTY TR INC
$690K
ENPHENPHASE ENERGY INC
$689K
AWNADVANCE AUTO PARTS INC
$687K
VIPSVIPSHOP HLDGS LTD
$686K
CGGOCAPITAL GROUP GBL GROWTH EQT
$685K
PATHUIPATH INC
$676K
SSFSENSIENT TECHNOLOGIES CORP
$675K
SGOLABRDN GOLD ETF TRUST
$673K
SMMDISHARES TR
$672K
CLVTRIP COM GROUP LTD
$671K
AFGAMERICAN FINL GROUP INC OHIO
$667K
BFINUSDBANKFINANCIAL CORP
$666K
BCATBLACKROCK CAP ALLOCATION TER
$666K
ACWVISHARES INC
$666K
PGHYINVESCO EXCH TRADED FD TR II
$665K
SCHRSCHWAB STRATEGIC TR
$665K
MTARCELORMITTAL SA LUXEMBOURG
$665K
HCQAMN HEALTHCARE SVCS INC
$664K
KEPKOREA ELEC PWR CORP
$663K
IJULINNOVATOR ETFS TR
$662K
RXIISHARES TR
$660K
JHMMJOHN HANCOCK EXCHANGE TRADED
$658K
OIHVANECK ETF TRUST
$656K
FMSFRESENIUS MEDICAL CARE AG
$655K
DSLDOUBLELINE INCOME SOLUTIONS
$652K
WPPWPP PLC NEW
$651K
DTMDT MIDSTREAM INC
$649K
ALKSALKERMES PLC
$648K
BDNBRANDYWINE RLTY TR
$647K
DSTLETF SER SOLUTIONS
$647K
EQHEQUITABLE HLDGS INC
$647K
DCIDONALDSON INC
$646K
SWN1EURSOUTHWESTERN ENERGY CO
$645K
FTREFORTREA HLDGS INC
$642K
AQLTISHARES TR
$640K
SEESEALED AIR CORP NEW
$636K
BNLBROADSTONE NET LEASE INC
$633K
BOTZGLOBAL X FDS
$630K
OLLIOLLIES BARGAIN OUTLET HLDGS
$629K
BBWIBATH & BODY WORKS INC
$627K
AXSAXIS CAP HLDGS LTD
$627K
BXSLBLACKSTONE SECD LENDING FD
$626K
ENSGENSIGN GROUP INC
$625K
FLEXFLEX LTD
$624K
SIZEISHARES TR
$621K
DBJPDBX ETF TR
$619K
MGAMAGNA INTL INC
$617K
DNPDNP SELECT INCOME FD INC
$617K
WWAYFAIR INC
$617K
NYTNEW YORK TIMES CO
$617K
LESLLESLIES INC
$616K
STAGSTAG INDL INC
$616K
AORISHARES TR
$614K
GLPIGAMING & LEISURE PPTYS INC
$613K
LADLITHIA MTRS INC
$612K
OUTOUTFRONT MEDIA INC
$612K
CRVLCORVEL CORP
$610K
VACMARRIOTT VACATIONS WORLDWIDE
$610K
BMRNBIOMARIN PHARMACEUTICAL INC
$610K
ONEQFIDELITY COMWLTH TR
$610K
EPREPR PPTYS
$607K
SIXEURSIX FLAGS ENTMT CORP NEW
$606K
PODDINSULET CORP
$606K
RLJRLJ LODGING TR
$602K
DUHPDIMENSIONAL ETF TRUST
$602K
RRRRED ROCK RESORTS INC
$601K
ILCGISHARES TR
$601K
RRXREGAL REXNORD CORPORATION
$601K
ADXADAMS DIVERSIFIED EQUITY FD
$601K
JDJD.COM INC
$597K
CA8ACACI INTL INC
$597K
XLRESELECT SECTOR SPDR TR
$596K
TEVATEVA PHARMACEUTICAL INDS LTD
$594K
LM0CLIBERTY MEDIA CORP DEL
$593K
QTECFIRST TR NASDAQ 100 TECH IND
$593K
IYEISHARES TR
$592K
MLPBUBS AG LONDON BRANCH
$591K
PVHPVH CORPORATION
$588K
VODVODAFONE GROUP PLC NEW
$586K
KNSAKINIKSA PHARMACEUTICALS LTD
$585K
NAVINAVIENT CORPORATION
$584K
STGWSTAGWELL INC
$584K
INVHINVITATION HOMES INC
$582K
TGNATEGNA INC
$576K
OCFCOCEANFIRST FINL CORP
$576K
BCCBOISE CASCADE CO DEL
$575K
IXCISHARES TR
$575K
NULGNUSHARES ETF TR
$574K
PINSPINTEREST INC
$570K
RWJINVESCO EXCH TRADED FD TR II
$569K
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