Spotlight Asset Group, Inc.
Investment Portfolio & 13F Holdings Analysis
About
Spotlight Asset Group, Inc. is an institutional investment manager that filed its latest Form 13F for 2024Q2, reporting 260 holdings worth $0.1 billion. Form 13F filings provide transparency into the equity holdings of institutional investment managers with over $100 million in assets under management. This page displays the most recent portfolio holdings, allowing investors to track position changes, new investments, and portfolio composition.
AI_NATIVE detailed information: This accession holds the following tickers:[ "TRU", null, "AAL", null, "MP", "PPLT", "ARM", "SNOW", "ABT", "ABBV", "ADBE", "TGTX", null, null, null, "GOOGL", null, null, "T", null, "ENR", "AVGO", "KMX", "CP.TO", "BIDU", "WRB", "GME", null, "USA", null, null, "MLKN", "REZI", "EBAY", "QS", "FUN", "EQNR", null, "AUPH", "GD", "GILD", "HON", "HD", "MCD", null, "SNN", "UNP", "ITW", "BKNG", "MUB", "META", null, "IJH", "PLSE", "MYPS", "RLMD", "RRR", "UHAL", "IQV", null, null, "KMI", "ABVC", null, "MRVL", "MA", "BIPC", "MDT", "MSFT", "FIS", "GE", "NI", "NVS", "ADM", "IJR", "IWD", "ORCL", "OKE", "AMH", null, null, "EEM", null, "IWF", "PYPL", "PEP", "PGR", "IEMG", "IVV", "MRCC", "PHM", "DOW", "UNH", "AAPL", "SPY", "NVDA", "ENB", "INTC", "TU", "GEHC", "PLTR", "PFE", "LMT", "PG", "MRK", "VZ", "MKC", "IEFA", "RELX", "SCHX", "NOW", "ROP", "SRE", "RIO", "GLD", null, "SPYG", null, "BP", "AMT", null, "IBM", "SBUX", "TD", "TRV", "UBER", "UAL", "UL", "UPS", "VO", "AAP", "EVRI", "SCHW", "VWO", "VCIT", "OMER", "IWO", "PTON", "IWN", "IEF", "TSM", "OHI", "CHPT", "BN.TO", "DD", null, "EW", "SRPT", "MTG", "MAT", "FI", "VVV", "WM", "AMZN", "NIO", null, "IVE", "LUV", null, "AMC", "KD", "REXR", "HIMS", "HBAN", "VEU", "USB", "VUG", "VEA", "VNQI", "VBK", "BNDX", "VTEB", "BSV", "VB", "VTV", "VTRS", "V", "WMT", "WFC", null, "DTE", "SCHD", "SCHF", "LW", "LUMN", "MITK", "MKL", "EMBC", null, "PSX", "CRM", "RBLX", null, "LYB", null, "GEV", "DGRO", "MCK", "SPYV", "ESGU", null, null, "KMB", "BAC", "BK", "BRK-B", "BDX", "BA", "BLNK", "BMY", "BTI", "BIP", "BAM.TO", "BR", "CTRE", "CBOE", "CDW", "SAVA", "CNC", "CHE", "CVX", "CSCO", "C", "CLX", "KO", "CMCSA", "COP", "STZ", "CPRT", "CDP", "COST", "CTVA", "CVS", "DE", "DVN", "FANG", "RSP", null, "EFA", "ADI", "IWB", "NEE", "QQQ", null, "IWM", "EPD", "MDY", "DIS", "ELV", "ETN", "GOOG", "JNJ", "TSLA", "PLD", "NFLX", "PM", "MO", "ITOT", "VTI", "JPM" ]
Filing Details
13F-HR • 2024-06-30
Filing Details
13F-HR • 2024-06-30- Report Date
- 2024-06-30
- Filing Date
- 2024-07-24
- Total Holdings
- 260
- Total Value
- 143175925
- Accession Number
- 0001809159-24-000003
- Form Type
- 13F-HR
- Manager Name
- Spotlight-Asset-Group
Data Enrichment
87% identified226 identified34 unidentified
Holdings
260 positions • $143.2M total value
Manager:
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26922A222
Shares:311.8K
Value:$11.7M
% of Portfolio:8.2% ($11.7M/$143.2M)
26922A388
Shares:236.7K
Value:$6.4M
% of Portfolio:4.5% ($6.4M/$143.2M)
464287226
Shares:56.0K
Value:$5.4M
% of Portfolio:3.8% ($5.4M/$143.2M)
26922A446
Shares:146.9K
Value:$5.1M
% of Portfolio:3.5% ($5.1M/$143.2M)
26922B642
Shares:144.1K
Value:$3.3M
% of Portfolio:2.3% ($3.3M/$143.2M)
02072L607
Shares:48.9K
Value:$1.7M
% of Portfolio:1.2% ($1.7M/$143.2M)
Instrument | Shares | Other Manager | Value | % of Portfolio | ||
---|---|---|---|---|---|---|
Apple Inc.(AAPLcusip037833100) | 66.3K | QoQ 0.00% (+0)YoY- | All Managers (Combined) | $14.0M | 9.7% ($14.0M/$143.2M) | YoY- |
(cusip26922A222)✕ | 311.8K | YoY- | All Managers (Combined) | $11.7M | 8.2% ($11.7M/$143.2M) | YoY- |
20.1K | QoQ -0.04% (-10)YoY- | All Managers (Combined) | $11.0M | 7.7% ($11.0M/$143.2M) | YoY- | |
18.2K | QoQ 0.00% (+0)YoY- | All Managers (Combined) | $9.2M | 6.4% ($9.2M/$143.2M) | YoY- | |
(cusip26922A388)✕ | 236.7K | YoY- | All Managers (Combined) | $6.4M | 4.5% ($6.4M/$143.2M) | YoY- |
32.3K | QoQ -1.32% (-432)YoY- | All Managers (Combined) | $5.9M | 4.1% ($5.9M/$143.2M) | YoY- | |
AMAZON COM INC(AMZNcusip023135106) | 29.7K | QoQ +0.42% (+125)YoY- | All Managers (Combined) | $5.7M | 4.0% ($5.7M/$143.2M) | YoY- |
(cusip464287226)✕ | 56.0K | YoY- | All Managers (Combined) | $5.4M | 3.8% ($5.4M/$143.2M) | YoY- |
13.7K | QoQ -1.20% (-168)YoY- | All Managers (Combined) | $5.1M | 3.6% ($5.1M/$143.2M) | YoY- | |
(cusip26922A446)✕ | 146.9K | YoY- | All Managers (Combined) | $5.1M | 3.5% ($5.1M/$143.2M) | YoY- |
45.4K | YoY- | All Managers (Combined) | $3.6M | 2.5% ($3.6M/$143.2M) | YoY- | |
(cusip26922B642)✕ | 144.1K | YoY- | All Managers (Combined) | $3.3M | 2.3% ($3.3M/$143.2M) | YoY- |
MICROSOFT CORP(MSFTcusip594918104) | 7.2K | QoQ -3.62% (-272)YoY- | All Managers (Combined) | $3.2M | 2.3% ($3.2M/$143.2M) | YoY- |
4.1K | QoQ -0.82% (-34)YoY- | All Managers (Combined) | $2.2M | 1.6% ($2.2M/$143.2M) | YoY- | |
30.0K | QoQ 0.00% (-0)YoY- | All Managers (Combined) | $2.1M | 1.4% ($2.1M/$143.2M) | YoY- | |
19.8K | YoY- | All Managers (Combined) | $1.9M | 1.3% ($1.9M/$143.2M) | YoY- | |
7.3K | QoQ 0.00% (-0)YoY- | All Managers (Combined) | $1.8M | 1.2% ($1.8M/$143.2M) | YoY- | |
(cusip02072L607)✕ | 48.9K | QoQ -1.54% (-765)YoY- | All Managers (Combined) | $1.7M | 1.2% ($1.7M/$143.2M) | YoY- |
NVIDIA CORP(NVDAcusip67066G104) | 13.5K | YoY- | All Managers (Combined) | $1.7M | 1.2% ($1.7M/$143.2M) | YoY- |
10.0K | QoQ -1.34% (-136)YoY- | All Managers (Combined) | $1.6M | 1.1% ($1.6M/$143.2M) | YoY- |