Ameriprise-Financial

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-05-14
Total Holdings
9,640
Total Value
101996608581
Accession Number
0000950123-25-005098
Form Type
13F-HR
Manager Name
Ameriprise-Financial
Data Enrichment
86% identified
8,267 identified1,373 unidentified

Holdings

9,640 positions • $102.0B total value
Manager:
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Page 169 of 199
BNY MELLON STRATEGIC MUNICIPAL BOND FUND, INC.
Shares:62.9K
Value:$362.9K
% of Portfolio:0.0% ($362.9K/$102.0B)
46641Q407
Shares:3.1K
Value:$362.7K
% of Portfolio:0.0% ($362.7K/$102.0B)
Joby Aviation, Inc.
Shares:60.2K
Value:$362.4K
% of Portfolio:0.0% ($362.4K/$102.0B)
46140H403
Shares:25.2K
Value:$361.2K
% of Portfolio:0.0% ($361.2K/$102.0B)
Liberty Media Corp
Shares:4.4K
Value:$361.2K
% of Portfolio:0.0% ($361.2K/$102.0B)
921078101
Shares:12.0K
Value:$360.4K
% of Portfolio:0.0% ($360.4K/$102.0B)
16411Q101
Shares:5.5K
Value:$360.0K
% of Portfolio:0.0% ($360.0K/$102.0B)
78468R770
Shares:3.3K
Value:$359.9K
% of Portfolio:0.0% ($359.9K/$102.0B)
675746606
Shares:11.1K
Value:$358.3K
% of Portfolio:0.0% ($358.3K/$102.0B)
NUVEEN CALIFORNIA SELECT TAX FREE INCOME PORTFOLIO
Shares:27.1K
Value:$358.1K
% of Portfolio:0.0% ($358.1K/$102.0B)
Seadrill Ltd
Shares:14.3K
Value:$357.9K
% of Portfolio:0.0% ($357.9K/$102.0B)
Allogene Therapeutics, Inc.
Shares:244.5K
Value:$357.0K
% of Portfolio:0.0% ($357.0K/$102.0B)
abrdn Global Dynamic Dividend Fund
Shares:35.8K
Value:$356.7K
% of Portfolio:0.0% ($356.7K/$102.0B)
Applied Digital Corp.
Shares:62.8K
Value:$352.8K
% of Portfolio:0.0% ($352.8K/$102.0B)
OPPENHEIMER HOLDINGS INC
Shares:5.9K
Value:$352.3K
% of Portfolio:0.0% ($352.3K/$102.0B)
NOVA LTD.
Shares:1.9K
Value:$351.9K
% of Portfolio:0.0% ($351.9K/$102.0B)
46138E339
Shares:3.8K
Value:$351.0K
% of Portfolio:0.0% ($351.0K/$102.0B)
92189F304
Shares:9.9K
Value:$350.9K
% of Portfolio:0.0% ($350.9K/$102.0B)
464286772
Shares:6.5K
Value:$350.3K
% of Portfolio:0.0% ($350.3K/$102.0B)
Camping World Holdings, Inc.
Shares:21.6K
Value:$349.3K
% of Portfolio:0.0% ($349.3K/$102.0B)