MassMutual Private Wealth & Trust, FSB Q4 2023 Filing

Filed January 3, 2024

Portfolio Value

$3.0B

Holdings

1,978

Report Date

Q4 2023

Filing Type

13F-HR

All Holdings (1,978 positions)

StockValue
PAGPenske Automotive Group Inc
$3K
1939900DBrookfield Infrastructure Corp
$3K
JBGSJBG SMITH Properties
$3K
AHHArmada Hoffler Properties Inc
$3K
FUODolby Laboratories Inc
$3K
CWKCushman & Wakefield PLC
$3K
EXEChesapeake Energy Corp
$3K
Skinny Nutritional Corp
$3K
MOAltria Group Inc
$3K
AMTAmerican Tower Corp
$3K
FDXFedEx Corp
$3K
LLYEli Lilly & Co
$3K
DEDeere & Co
$3K
FITBFifth Third Bancorp
$3K
MMM3M Co
$3K
ASBAssociated Banc-Corp
$3K
ALXAlexander's Inc
$3K
ALAir Lease Corp
$3K
OHIOmega Healthcare Investors Inc
$3K
ARAntero Resources Corp
$3K
FCPTFour Corners Property Trust Inc
$3K
GTXGarrett Motion Inc
$3K
FULHB Fuller Co
$3K
AATAmerican Assets Tr Inc Com
$3K
BXMTBlackstone Mortgage Trust Inc
$3K
ANFAbercrombie & Fitch Co
$3K
AVNTAvient Corp
$3K
TWOTwo Harbors Invesment Corp Com Usd0.01(Post Rev Split)
$3K
OTTROtter Tail Corp
$3K
VRRMVerra Mobility Corp
$3K
4DHDana Inc
$3K
TBBKBancorp Inc/The
$3K
HEIHEICO Corp
$3K
KRTXKaruna Therapeutics Inc
$3K
CTRECareTrust REIT Inc
$3K
JJSFJ & J Snack Foods Corp
$3K
BBUCBrookfield Business Corp
$3K
HEHawaiian Electric Industries Inc
$3K
CHEFChefs' Warehouse Inc/The
$3K
CUBICustomers Bancorp Inc
$3K
OPCHOption Care Health Inc
$3K
MLYSMineralys Therapeutics Inc
$3K
UTLUnitil Corp
$3K
AVTRAvantor Inc
$3K
DOCSDoximity Inc
$3K
PCCPC Connection Inc
$3K
AEOAmerican Eagle Outfitters Inc
$3K
TRNTrinity Industries Inc
$3K
IARTIntegra LifeSciences Holdings Corp
$3K
REYNReynolds Consumer Products Inc
$3K
ATGEAdtalem Global Education Inc
$3K
KSSKohl's Corp
$3K
OVVOvintiv Inc
$3K
CVLTCommVault Systems Inc
$3K
HIHillenbrand Inc
$3K
OKTAOkta Inc
$3K
COLBColumbia Banking System Inc
$3K
BOXBox Inc
$3K
EXASExact Sciences Corp
$3K
NIJNelnet Inc
$3K
AWIArmstrong World Industries Inc
$3K
VIRTVirtu Financial Inc
$3K
LRNStride Inc
$3K
CTVHelix Energy Solutions Group Inc
$3K
SITCUSDSITE Centers Corp
$3K
DEMWisdomTree Emerging Markets High Dividend Fund
$3K
CEIXEURCONSOL Energy Inc
$3K
ESABEsab Corp
$3K
DNLIDenali Therapeutics Inc
$3K
QDELQuidelortho Corporation Com
$3K
IBOCInternational Bancshares Corp
$2K
EYPTEyePoint Pharmaceuticals Inc
$2K
NWSNews Corp
$2K
CHRDChord Energy Corp
$2K
CNHICNH Industrial NV
$2K
RDNRadian Group Inc
$2K
PKEPark Aerospace Corp
$2K
ACCOACCO Brands Corp
$2K
FAROFARO Technologies Inc
$2K
CVCOCavco Industries Inc
$2K
KEKimball Electronics Inc
$2K
TXNMPNM Resources Inc
$2K
MBCMasterbrand Inc
$2K
WWayfair Inc
$2K
OXMOxford Industries Inc
$2K
HUBGHub Group Inc
$2K
AMRAlpha Metallurgical Resources Inc Com
$2K
CALMCal-Maine Foods Inc
$2K
MTRNMaterion Corp
$2K
AWRAmerican States Water Co
$2K
TKRTimken Co/The
$2K
HUBSHubSpot Inc
$2K
OLNOlin Corp
$2K
LEGLeggett & Platt Inc
$2K
CRCCalifornia Resources Corp
$2K
OIIOceaneering International Inc
$2K
HCCWarrior Met Coal Inc
$2K
TTECTTEC Holdings Inc
$2K
PRTAProthena Corp PLC
$2K
CNKCinemark Holdings Inc
$2K
PreviousPage 13 of 20Next