MassMutual Private Wealth & Trust, FSB Q3 2024 Filing

Filed October 2, 2024

Portfolio Value

$3.5B

Holdings

2,165

Report Date

Q3 2024

Filing Type

13F-HR

All Holdings (2,165 positions)

StockValue
BBTBerkshire Hills Bancorp Inc
$3K
GTXGarrett Motion Inc
$3K
FTREFortrea Holdings Inc - W/I
$3K
SPNSSapiens International Corp NV
$2K
BUSDBarnes Group Inc
$2K
VVXV2X Inc
$2K
NSANational Storage Affiliates Trust
$2K
VNDAVanda Pharmaceuticals Inc
$2K
BORRBorr Drilling Ltd
$2K
WOOFoot Locker Inc
$2K
BATRAAtlanta Braves Holdings Inc
$2K
HSTMHealthStream Inc
$2K
VTIPVanguard Short-Term Inflation-Protected Securities ETF
$2K
CRCCalifornia Resources Corp
$2K
LBRTLiberty Energy Inc
$2K
ALTREURAltair Engineering Inc
$2K
BLFYBlue Foundry Bancorp
$2K
GFFGriffon Corp
$2K
MMIMarcus & Millichap Inc
$2K
KLGWK Kellogg CO
$2K
PRPermian Resources Corp
$2K
RESRPC Inc
$2K
PLTKPlaytika Holding Corp
$2K
DXCDXC Technology Co
$2K
HPOService Properties Trust
$2K
ETSYEtsy Inc
$2K
SMBKSmartFinancial Inc
$2K
MTNVail Resorts Inc
$2K
KGSKodiak Gas Services Inc
$2K
AAMIBrightsphere Investment Group Inc
$2K
FTAIFTAI Aviation Ltd
$2K
RCM1USDR1 RCM Inc
$2K
SBCSabra Health Care REIT Inc
$2K
CUBICustomers Bancorp Inc
$2K
7SUSummit Materials Inc
$2K
ABRArbor Realty Trust Inc
$2K
RGNXREGENXBIO Inc
$2K
TILEInterface Inc
$2K
ACREAres Commercial Real Estate Corp
$2K
TFSLTFS Financial Corp
$2K
ACCOACCO Brands Corp
$2K
UCTTUltra Clean Holdings Inc
$2K
WKCWorld Kinect Corp
$2K
WWayfair Inc
$2K
AOSLAlpha & Omega Semiconductor Ltd
$2K
FSVFirstservice Corp
$2K
IAIiShares U.S. Broker-Dealers & Securities Exchanges ETF
$2K
PKEPark Aerospace Corp
$2K
PNQIInvesco Nasdaq Internet ETF
$2K
AROCArchrock Inc
$2K
AXNX*Axonics Inc
$2K
VCELVericel Corp
$2K
IBOCInternational Bancshares Corp
$2K
TRMKTrustmark Corp
$2K
RCReady Capital Corp
$2K
ADAMNew York Mortgage Trust Inc
$2K
SANMSanmina Corp
$2K
PENGSMART Global Holdings Inc
$2K
CNKCinemark Holdings Inc
$2K
SEDGSolarEdge Technologies Inc
$2K
NPOEnpro Inc
$2K
DNPDNP Select Income Fund Inc
$2K
HTZHertz Global Holdings Inc
$2K
NVECNVE Corp
$2K
LENLennar Corp
$2K
QCRHQCR Holdings Inc
$2K
XHRXenia Hotels & Resorts Inc
$2K
FAROFARO Technologies Inc
$2K
AWNAdvance Auto Parts Inc
$2K
CNMCore & Main Inc
$2K
PHINPhinia Inc
$2K
TGTXTG Therapeutics Inc
$2K
LLYEli Lilly & Co
$2K
PAHUSDElement Solutions Inc
$2K
HCCWarrior Met Coal Inc
$2K
CCSCentury Communities Inc
$2K
PSTLPostal Realty Trust Inc
$2K
DHILDiamond Hill Investment Group Inc
$2K
U6ZUranium Energy Corp
$2K
TELLEURTellurian Inc
$2K
LUNRIntuitive Machines Inc
$2K
CMRECostamare Inc
$2K
KSSKohl's Corp
$2K
XLCCommunication Services Select Sector SPDR Fund
$2K
JJSFJ & J Snack Foods Corp
$2K
TDCTeradata Corp
$2K
HTLFEURHeartland Financial USA Inc
$2K
ZGZillow Group Inc
$2K
GTLBGitlab Inc
$2K
VACMarriott Vacations Worldwide Corp
$2K
VREXVarex Imaging Corp
$2K
HSHPHimalaya Shipping Ltd
$2K
QLYSQualys Inc
$2K
PRLBProto Labs Inc
$2K
SOFISoFi Technologies Inc
$2K
NMRKNewmark Group Inc
$2K
CBZCBIZ Inc
$2K
STVNStevanato Group SpA
$2K
DOCNDigitalOcean Holdings Inc
$2K
AMHAmerican Homes 4 Rent
$2K
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