Cambridge-Investment-Research-Advisors

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-04-22
Total Holdings
3,495
Total Value
29635708
Accession Number
0001419186-25-000004
Form Type
13F-HR
Manager Name
Cambridge-Investment-Research-Advisors
Data Enrichment
54% identified
1,873 identified1,622 unidentified

Holdings

3,495 positions • $29.6M total value
Manager:
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Page 58 of 175
CHART INDUSTRIES INC
Shares:19.5K
Value:$2.8M
% of Portfolio:9.5% ($2.8M/$29.6M)
Coterra Energy Inc.
Shares:97.3K
Value:$2.8M
% of Portfolio:9.5% ($2.8M/$29.6M)
OMEGA HEALTHCARE INVESTORS INC
Shares:73.8K
Value:$2.8M
% of Portfolio:9.5% ($2.8M/$29.6M)
69374H741
Shares:95.5K
Value:$2.8M
% of Portfolio:9.5% ($2.8M/$29.6M)
MEDICAL PROPERTIES TRUST INC
Shares:464.1K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
DYNEX CAPITAL INC
Shares:214.5K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
OMNICOM GROUP INC.
Shares:33.7K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
14020U100
Shares:103.0K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
Unum Group
Shares:34.2K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
Nuveen Quality Municipal Income Fund
Shares:242.0K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
BLACKROCK CORPORATE HIGH YIELD FUND, INC.
Shares:290.9K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
Nuveen Municipal Credit Income Fund
Shares:227.5K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
92647N535
Shares:54.9K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
Global Net Lease, Inc.
Shares:345.9K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
Eaton Vance Tax-Managed Global Buy-Write Opportunities Fund
Shares:336.6K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
TEXTRON INC
Shares:38.4K
Value:$2.8M
% of Portfolio:9.4% ($2.8M/$29.6M)
92189H730
Shares:84.3K
Value:$2.8M
% of Portfolio:9.3% ($2.8M/$29.6M)
PPG INDUSTRIES INC
Shares:25.2K
Value:$2.8M
% of Portfolio:9.3% ($2.8M/$29.6M)
WILLIAMS SONOMA INC
Shares:17.4K
Value:$2.8M
% of Portfolio:9.3% ($2.8M/$29.6M)
33733E849
Shares:130.8K
Value:$2.7M
% of Portfolio:9.3% ($2.7M/$29.6M)