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Latest Cohen Capital Management, Inc. Stock Portfolio

$567Million

Equity Portfolio Value
Last Reported on: 06 May, 2024

About Cohen Capital Management, Inc. and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, Cohen Capital Management, Inc. reported an equity portfolio of $567.4 Millions as of 31 Mar, 2024.

The top stock holdings of Cohen Capital Management, Inc. are TMO, AMAT, SYK. The fund has invested 5.8% of it's portfolio in THERMO FISHER SCIENTIFIC INC COM and 5.6% of portfolio in APPLIED MATLS INC COM.

The fund managers got completely rid off BELLRING BRANDS INC COMMON STOCK (BRBR), CONAGRA BRANDS INC COM (CAG) and COOPER COS INC COM NEW (COO) stocks. They significantly reduced their stock positions in WILLIAMS COS INC COM (WMB), ISHARES CORE S&P 500 ETF (AGG) and ALIBABA GROUP HLDG LTD SPONSORED ADS (BABA). Cohen Capital Management, Inc. opened new stock positions in BILL HOLDINGS INC COM (BILL), SNOWFLAKE INC CL A (SNOW) and COOPER COS INC COM (COO). The fund showed a lot of confidence in some stocks as they added substantially to COUPANG INC CL A (CPNG), BERKSHIRE HATHAWAY INC DEL CL B NEW and WELLS FARGO CO NEW COM (WFC).

New Buys

Ticker$ Bought
BILL HOLDINGS INC COM2,746,460
SNOWFLAKE INC CL A412,080
COOPER COS INC COM324,672
NETFLIX INC COM280,586
LOCKHEED MARTIN CORP COM205,601
DIGITAL RLTY TR INC COM204,825

New stocks bought by Cohen Capital Management, Inc.

Additions

Ticker% Inc.
COUPANG INC CL A45.22
BERKSHIRE HATHAWAY INC DEL CL B NEW34.16
WELLS FARGO CO NEW COM32.29
BLACKROCK INC COM30.61
DISNEY WALT CO COM26.89
ADOBE INC COM17.92
KLA CORP COM NEW17.76
APPLE INC COM17.2

Additions to existing portfolio by Cohen Capital Management, Inc.

Reductions

Ticker% Reduced
WILLIAMS COS INC COM-42.66
ISHARES CORE S&P 500 ETF-25.00
ISHARES RUSSELL MID-CAP GROWTH ETF-20.58
ISHARES RUSSELL MID-CAP VALUE ETF-18.54
ALIBABA GROUP HLDG LTD SPONSORED ADS-18.07
PAYPAL HLDGS INC COM-17.49
PAGSEGURO DIGITAL LTD COM CL A-12.35
ISHARES EUROPE ETF-9.68

Cohen Capital Management, Inc. reduced stake in above stock

Cohen Capital Management, Inc. got rid off the above stocks

Current Stock Holdings of Cohen Capital Management, Inc.

Last Reported on: 06 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC COM0.3511,5291,976,990ADDED17.2
ABBVABBVIE INC COM0.3210,0281,826,100UNCHANGED0.00
ABTABBOTT LABS COM0.2210,7991,227,410ADDED7.58
ADBEADOBE INC COM0.192,1321,075,810ADDED17.92
AGGISHARES CORE S&P 500 ETF0.353,7751,984,640REDUCED-25.00
AGGISHARES RUSSELL 3000 ETF0.326,0871,826,680UNCHANGED0.00
AGGISHARES RUSSELL MID-CAP GROWTH ETF0.084,036460,691REDUCED-20.58
AGGISHARES RUSSELL MID-CAP VALUE ETF0.062,720340,926REDUCED-18.54
AGGISHARES EUROPE ETF0.065,908328,888REDUCED-9.68
AMATAPPLIED MATLS INC COM5.60154,14531,789,400ADDED0.5
AMGNAMGEN INC COM0.102,096595,935ADDED5.12
AMZNAMAZON COM INC COM2.3172,56713,089,600ADDED2.79
APPAPPLOVIN CORP COM CL A0.2722,0981,529,620REDUCED-1.73
BABAALIBABA GROUP HLDG LTD SPONSORED ADS0.1813,8931,005,300REDUCED-18.07
BAXBAXTER INTL INC COM0.046,000256,440UNCHANGED0.00
BCEBCE INC COM NEW0.047,403251,554UNCHANGED0.00
BERYBERRY GLOBAL GROUP INC COM0.9689,6055,419,310ADDED0.2
BHPBHP GROUP LTD SPONSORED ADS0.043,552204,915UNCHANGED0.00
BIDUBAIDU INC SPON ADR REP A0.6333,7663,554,880UNCHANGED0.00
BILLBILL HOLDINGS INC COM0.4839,9662,746,460NEW
BIOBIO RAD LABS INC CL A0.04660228,274UNCHANGED0.00
BKBANK NEW YORK MELLON CORP COM0.3837,7362,174,350UNCHANGED0.00
BLKBLACKROCK INC COM0.06431359,325ADDED30.61
BMYBRISTOL-MYERS SQUIBB CO COM0.1414,390780,370UNCHANGED0.00
BPBP PLC SPONSORED ADR0.046,562247,256UNCHANGED0.00
BRBRBELLRING BRANDS INC COMMON STOCK0.000.000.00SOLD OFF-100
BSXBOSTON SCIENTIFIC CORP COM0.054,400301,356UNCHANGED0.00
BURLBURLINGTON STORES INC COM0.286,7681,571,460ADDED5.97
CAGCONAGRA BRANDS INC COM0.000.000.00SOLD OFF-100
CARRCARRIER GLOBAL CORPORATION COM0.6563,8343,710,670UNCHANGED0.00
CHTRCHARTER COMMUNICATIONS INC NEW CL A0.071,362395,838UNCHANGED0.00
CMCSACOMCAST CORP NEW CL A0.0911,810511,964UNCHANGED0.00
CMECME GROUP INC COM0.082,022435,316ADDED12.33
COOCOOPER COS INC COM0.063,200324,672NEW
COOCOOPER COS INC COM NEW0.000.000.00SOLD OFF-100
COSTCOSTCO WHSL CORP NEW COM0.846,4834,749,640ADDED1.9
CPCANADIAN PACIFIC KANSAS CITY COM0.127,500661,275UNCHANGED0.00
CPNGCOUPANG INC CL A0.76240,9784,287,000ADDED45.22
CRMSALESFORCE INC COM1.3224,7917,466,550ADDED1.77
CSCOCISCO SYS INC COM1.93218,96710,928,700ADDED0.69
CSXCSX CORP COM1.81277,70810,294,600ADDED0.23
CVSCVS HEALTH CORP COM1.65117,2839,354,490ADDED0.76
CVXCHEVRON CORP NEW COM0.4716,9082,667,070UNCHANGED0.00
DEDEERE & CO COM2.4133,31413,683,400ADDED0.22
DISDISNEY WALT CO COM0.083,591439,395ADDED26.89
DLRDIGITAL RLTY TR INC COM0.041,422204,825NEW
DOWDOW INC COM0.043,810220,713UNCHANGED0.00
DRIDARDEN RESTAURANTS INC COM0.6622,3653,738,310ADDED2.2
DUKDUKE ENERGY CORP NEW COM NEW0.5130,1332,914,160UNCHANGED0.00
EIXEDISON INTERNATIONAL0.4535,7442,528,150ADDED0.45
ELANELANCO ANIMAL HEALTH INC COM0.32112,7711,835,910REDUCED-1.55
EMGFISHARES CORE MSCI EMERGING MARKETS ETF0.1617,220888,552UNCHANGED0.00
EMREMERSON ELEC CO COM0.199,2881,053,440UNCHANGED0.00
EPDENTERPRISE PRODS PARTNERS L P COM1.90368,68110,758,100UNCHANGED0.00
ETENERGY TRANSFER L P COM UT LTD PTN0.87313,5934,932,820ADDED15.42
FDXFEDEX CORP COM0.5310,3342,994,170ADDED1.00
GEGE AEROSPACE COM NEW0.196,1311,076,170UNCHANGED0.00
GOOGALPHABET INC CAP STK CL A1.8569,50210,489,900ADDED2.21
GOOGALPHABET INC CAP STK CL C0.2810,4201,586,550UNCHANGED0.00
GSBDGOLDMAN SACHS BDC INC SHS0.2490,0881,349,520ADDED0.45
GSMFERROGLOBE PLC SHS0.0664,021318,825ADDED0.07
HONHONEYWELL INTL INC COM0.133,712761,888ADDED10.81
IBMINTERNATIONAL BUSINESS MACHS COM1.6047,6419,097,520UNCHANGED0.00
IFFINTERNATIONAL FLAVORS&FRAGRANC COM0.042,794240,256UNCHANGED0.00
INTCINTEL CORP COM0.3746,9672,074,530UNCHANGED0.00
INTUINTUIT COM0.504,3402,821,000UNCHANGED0.00
JNJJOHNSON & JOHNSON COM1.1842,3026,691,750ADDED0.65
JPMJPMORGAN CHASE & CO COM3.0887,37517,501,200ADDED0.95
KLACKLA CORP COM NEW0.181,4721,028,300ADDED17.76
LHLABORATORY CORP AMER HLDGS COM NEW0.5614,5663,182,090ADDED1.55
LINLINDE PLC SHS0.161,972915,639ADDED6.59
LMTLOCKHEED MARTIN CORP COM0.04452205,601NEW
LOWLOWES COS INC COM0.092,000509,460UNCHANGED0.00
LVSLAS VEGAS SANDS CORP COM0.3639,9562,065,720UNCHANGED0.00
LYFTLYFT INC CL A COM0.0411,523222,970UNCHANGED0.00
MAMASTERCARD INCORPORATED CL A0.596,9013,323,320ADDED3.00
MARMARRIOTT INTL INC NEW CL A1.7238,6699,756,580ADDED0.34
MDTMEDTRONIC PLC SHS0.4629,8522,601,600ADDED1.02
MDUMDU RES GROUP INC COM0.1226,324663,365UNCHANGED0.00
METAMETA PLATFORMS INC CL A0.647,4353,610,290ADDED9.21
MMM3M CO COM0.8846,8024,964,290UNCHANGED0.00
MRKMERCK & CO INC COM0.145,967787,346UNCHANGED0.00
MRNAMODERNA INC COM0.179,242984,828ADDED2.69
MSFTMICROSOFT CORP COM5.3772,36130,443,700ADDED0.88
MTCHMATCH GROUP INC NEW COM0.4976,9572,792,000ADDED2.82
NEENEXTERA ENERGY INC COM1.15101,6156,494,220ADDED1.32
NFLXNETFLIX INC COM0.05462280,586NEW
NINISOURCE INC COM0.1021,200586,392UNCHANGED0.00
NSNUSTAR ENERGY LP UNIT COM0.0820,527477,663UNCHANGED0.00
NVSNOVARTIS AG SPONSORED ADR1.3680,0787,745,940UNCHANGED0.00
ORCLORACLE CORP COM1.7880,28310,084,300UNCHANGED0.00
OTISOTIS WORLDWIDE CORP COM0.8347,6864,733,790ADDED0.62
PAAPLAINS ALL AMERN PIPELINE L P UNIT LTD PARTN0.3095,3971,675,170UNCHANGED0.00
PAGSPAGSEGURO DIGITAL LTD COM CL A0.1870,9621,013,340REDUCED-12.35
PEPPEPSICO INC COM2.7789,81315,718,200ADDED0.33
PFEPFIZER INC COM0.3367,0211,859,830UNCHANGED0.00
PGPROCTER AND GAMBLE CO COM2.0270,82011,490,500ADDED0.41
PMPHILIP MORRIS INTL INC COM0.042,500229,050UNCHANGED0.00
POSTPOST HLDGS INC COM1.5381,6358,676,170ADDED0.63
PPGPPG INDS INC COM0.6927,0703,922,440UNCHANGED0.00
PYPLPAYPAL HLDGS INC COM0.2420,7711,391,450REDUCED-17.49
PZZAPAPA JOHNS INTL INC COM0.4941,6652,774,890UNCHANGED0.00
QQQINVESCO QQQ TRUST SERIES I0.729,2504,107,160REDUCED-5.34
RTXRTX CORPORATION COM1.1265,0466,343,940UNCHANGED0.00
SCHWSCHWAB CHARLES CORP COM2.92228,82016,552,800UNCHANGED0.00
SHELSHELL PLC SPON ADS0.3025,7001,722,930UNCHANGED0.00
SKINTHE BEAUTY HEALTH COMPANY COM CL A0.12150,613668,722UNCHANGED0.00
SLBSCHLUMBERGER LTD COM STK0.109,940544,811UNCHANGED0.00
SMPLSIMPLY GOOD FOODS CO COM0.69115,4703,929,440ADDED0.45
SNOWSNOWFLAKE INC CL A0.072,550412,080NEW
SOSOUTHERN CO COM0.2419,0001,363,060UNCHANGED0.00
SPYSPDR S&P 500 ETF TRUST0.737,9074,136,060ADDED0.03
SRESEMPRA COM0.118,800632,104UNCHANGED0.00
STTSTATE STR CORP COM0.043,000231,960UNCHANGED0.00
STZCONSTELLATION BRANDS INC CL A2.1745,32312,317,000ADDED0.43
SYKSTRYKER CORPORATION COM5.3785,10830,457,600ADDED0.31
TAT&T INC COM0.0411,450201,520UNCHANGED0.00
TGTTARGET CORP COM0.3410,8131,916,170UNCHANGED0.00
TJXTJX COS INC NEW COM0.095,096516,836UNCHANGED0.00
TMOTHERMO FISHER SCIENTIFIC INC COM5.8456,99933,128,400ADDED0.43
UNHUNITEDHEALTH GROUP INC COM4.3750,11524,791,900ADDED0.4
UNPUNION PAC CORP COM0.9321,5045,288,480ADDED0.48
UPSUNITED PARCEL SERVICE INC CL B0.124,402654,269ADDED3.58
VVISA INC COM CL A1.7836,27610,123,900ADDED0.95
VEUVANGUARD FTSE EMERGING MARKETS ETF0.1115,051628,684REDUCED-2.45
VTRVENTAS INC COM0.2025,9251,128,780ADDED4.02
WFCWELLS FARGO CO NEW COM0.1110,946634,430ADDED32.29
WMBWILLIAMS COS INC COM0.2434,9401,361,610REDUCED-42.66
WPCWP CAREY INC COM0.5454,7883,092,240ADDED0.46
WYWEYERHAEUSER CO MTN BE COM NEW0.4773,8402,651,590UNCHANGED0.00
WYNNWYNN RESORTS LTD COM0.105,506562,878UNCHANGED0.00
XOMEXXON MOBIL CORP COM0.209,8501,144,960UNCHANGED0.00
YUMYUM BRANDS INC COM0.3715,0002,079,750UNCHANGED0.00
YUMCYUM CHINA HLDGS INC COM0.1419,950793,811UNCHANGED0.00
ZBHZIMMER BIOMET HOLDINGS INC COM0.7934,0594,495,110UNCHANGED0.00
ZTSZOETIS INC CL A0.3611,9872,028,320ADDED5.38
KENVUE INC COM0.40105,3332,260,450ADDED2.17
FORTREA HLDGS INC COMMON STOCK0.3954,9512,205,730ADDED2.37
BERKSHIRE HATHAWAY INC DEL CL B NEW0.131,736730,023ADDED34.16
BERKSHIRE HATHAWAY INC DEL CL A0.111.00634,440UNCHANGED0.00
KNIFE RIVER CORP COMMON STOCK0.096,580533,506UNCHANGED0.00