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Latest McGowan Group Asset Management, Inc. Stock Portfolio

$693Million

Equity Portfolio Value
Last Reported on: 15 May, 2024

About McGowan Group Asset Management, Inc. and it’s 13F Hedge Fund Stock Holdings

McGowan Group Asset Management, Inc. is a hedge fund based in DALLAS, TX. On 30-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $776.6 Millions. In it's latest 13F Holdings report, McGowan Group Asset Management, Inc. reported an equity portfolio of $693.5 Millions as of 31 Mar, 2024.

The top stock holdings of McGowan Group Asset Management, Inc. are , , . The fund has invested 7.2% of it's portfolio in ALLIANCEBERSTEIN GLOBAL HIGH INCOME FD INC and 7.2% of portfolio in NUVEEN GLOBAL HIGH INCOME FD SHS.

The fund managers got completely rid off DEVON ENERGY CORP NEW COM (DVN), PATTERSON-UTI ENERGY INC COM (PTEN) and SOLAREDGE TECHNOLOGIES INC (SEDG) stocks. They significantly reduced their stock positions in VISTRA CORP (VST), ADOBE SYS INC COM (ADBE) and CINCINNATI FINANCIAL CORP (CINF). McGowan Group Asset Management, Inc. opened new stock positions in PLAINS GP HLDGS (PAGP), EBAY INC COM (EBAY) and TOAST INC CL A (TOST). The fund showed a lot of confidence in some stocks as they added substantially to GOLDMAN SACHS ETF TR TR ACCESS ULTRA SHORT (GBIL), WAL MART STORES INC COM (WMT) and SUPER MICRO COMPUTER INC (SMCI).

New Buys

Ticker$ Bought
PLAINS GP HLDGS 20,066,300
EBAY INC COM8,283,610
TOAST INC CL A1,257,940
NUVEEN DIVIDEND ADVANTAGE MUNICIPAL FUND1,049,000
NUVEEN INSURED TAX FREE ADVANTAGE1,042,940
FREEPORT-MCMORAN COPPER & GOLD INC CL B334,280
O REILLY AUTOMOTIVE INC NEW COM212,229
COLGATE PALMOLIVE CO COM212,158

New stocks bought by McGowan Group Asset Management, Inc.

Additions

Ticker% Inc.
GOLDMAN SACHS ETF TR TR ACCESS ULTRA SHORT199
WAL MART STORES INC COM199
SUPER MICRO COMPUTER INC 191
TESLA MTRS INC COM60.13
GENERAL MNY MKT FUND 18.45
CALAMOS STRATEGIC TOTAL RETURN FD COM SH B12.78
EATON VANCE TAX ADVANTAGED GLO GLOBAL DIVI11.99
APPLE INC COM10.59

Additions to existing portfolio by McGowan Group Asset Management, Inc.

Reductions

Ticker% Reduced
VISTRA CORP-50.3
ADOBE SYS INC COM-14.78
CINCINNATI FINANCIAL CORP-10.00
DUKE ENERGY CORP NEW COM-8.94
PHILIP MORRIS INTL INC COM-8.69
JOHNSON & JOHNSON COM-8.22
CHENIERE ENERGY INC COM NEW-6.71
KAYNE ANDERSON MLP INVESTMENT COMPANY-4.88

McGowan Group Asset Management, Inc. reduced stake in above stock

Sold off

Ticker$ Sold
UNITED STATES TREAS NTS 2.625 12/31/23 B/E DTD 12/31/18-825,000
UNITED STATES TREAS NTS 2.750 02/15/24 B/E DTD 02/15/14-598,110
DEVON ENERGY CORP NEW COM-13,221,600
PATTERSON-UTI ENERGY INC COM-2,715,880
PERMIANVILLE RTY TR TR UNIT-208,537
NUSCALE PWR CORP -215,567
ARRAY TECHNOLOGIES INC-543,749
WESTERN ASSET GLOBAL CORP DEFINED OPPTNTY-341,370

McGowan Group Asset Management, Inc. got rid off the above stocks

Current Stock Holdings of McGowan Group Asset Management, Inc.

Last Reported on: 15 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC COM0.5221,1503,626,800ADDED10.59
ABBVABBVIE INC 2.82107,47319,570,900REDUCED-0.65
ACESALPS ETF TR ALERIAN MLP ETF0.1318,920897,967REDUCED-0.48
ACNACCENTURE PLC IRELAND CLASS SHS ISIN#IE00B0.132,629911,296UNCHANGED0.00
ACTXGLOBAL X FDS MLP ETF3.02433,90920,923,100REDUCED-0.4
ADBEADOBE SYS INC COM0.04490247,254REDUCED-14.78
AFKVANECK VECTORS ETF TR GOLD MINERS ETF0.0612,245387,200REDUCED-0.97
AGGISHARES TR CORE S&P U S VALUE ETF0.053,644329,534ADDED0.5
ALBALBEMARLE CORP0.3015,5662,050,620REDUCED-0.17
AMATAPPLIED MATERIALS INC0.092,864590,566ADDED0.03
AMZNAMAZON COM INC0.5219,9403,596,780ADDED3.68
APHAMPHENOL CORP NEW CL A0.127,424856,323ADDED0.04
ARRYARRAY TECHNOLOGIES INC0.000.000.00SOLD OFF-100
AZOAUTOZONE INC0.0367.00211,161NEW
BCCBOISE CASCADE CO0.031,550237,724UNCHANGED0.00
BMYBRISTOL MYERS SQUIBB CO COM0.000.000.00SOLD OFF-100
BWXTBWX TECHNOLOGIES INC COM1.82122,85912,607,800REDUCED-0.01
CATCATERPILLAR INC0.071,351494,952ADDED0.15
CGCARLYLE GROUP INC COM0.0811,819554,441ADDED0.14
CICIGNA CORP0.081,572570,791REDUCED-1.93
CINFCINCINNATI FINANCIAL CORP0.105,610696,594REDUCED-10.00
CLCOLGATE PALMOLIVE CO COM0.032,356212,158NEW
COPCONOCOPHILLIPS COM0.063,048387,936UNCHANGED0.00
CQPCHENIERE ENERGY PARTNERS L P COM UNIT REPT1.68236,25611,668,700REDUCED-0.51
CSCOCISCO SYSTEMS INC0.044,924245,762ADDED0.22
CSIQCANADIAN SOLAR INC0.000.000.00SOLD OFF-100
CVXCHEVRON CORP NEW COM0.9240,2396,347,280REDUCED-0.31
CWCURTISS WRIGHT CORP0.061,700435,098UNCHANGED0.00
DEDEERE & CO0.132,192900,421REDUCED-2.36
DHRDANAHER CORP COM0.123,319828,872REDUCED-0.06
DLRDIGITAL RLTY TR INC COM0.052,230321,209UNCHANGED0.00
DUKDUKE ENERGY CORP NEW COM0.043,034293,459REDUCED-8.94
DVNDEVON ENERGY CORP NEW COM0.000.000.00SOLD OFF-100
EBAYEBAY INC COM1.19156,9468,283,610NEW
ENPHENPHASE ENERGY INC0.2614,9461,808,170REDUCED-1.58
ENVXENOVIX CORP0.25212,5931,702,870ADDED10.24
EPDENTERPRISE PRODS PARTNERS L P COM UNIT1.52362,46910,576,800REDUCED-0.78
ETENERGY TRANSFER LP COM UNITS 1.90837,31013,170,900REDUCED-0.46
FFORD MOTOR CO DEL COM PAR0.0739,296521,854REDUCED-0.6
FANGDIAMONDBACK ENERGY INC0.7526,1515,182,320ADDED0.76
FCXFREEPORT-MCMORAN COPPER & GOLD INC CL B0.057,109334,280NEW
GBILGOLDMAN SACHS ETF TR TR ACCESS ULTRA SHORT0.1115,022756,454ADDED199
GDGENERAL DYNAMICS CORP COM0.04869245,379ADDED0.7
GILDGILEAD SCIENCES INC0.000.000.00SOLD OFF-100
GOOGALPHABET INC CAP STK CL A0.052,269342,460UNCHANGED0.00
GTGOODYEAR TIRE & RUBBER CO COM0.0417,480240,000ADDED2.94
IBMINTERNATIONAL BUSINESS MACHS CORP COM0.062,044390,322UNCHANGED0.00
IIPRINNOVATIVE INDL PPTYS INC 0.4127,5592,853,450REDUCED-1.46
INTCINTEL CORP COM0.035,051223,099ADDED0.04
ITWILLINOIS TOOL WORKS INC0.041,147307,880UNCHANGED0.00
JNJJOHNSON & JOHNSON COM0.135,807918,625REDUCED-8.22
JPMJP MORGAN CHASE & CO COM 0.072,304461,500REDUCED-2.08
KLACKLA CORP0.10940656,656UNCHANGED0.00
LLYELI LILLY & CO COM2.4922,20717,276,000REDUCED-0.15
LNGCHENIERE ENERGY INC COM NEW0.239,8861,594,380REDUCED-6.71
LOWLOWES COMPANY INC0.041,166296,961ADDED0.09
MAMASTERCARD INC CL A0.172,4771,192,920UNCHANGED0.00
MCDMCDONALDS CORP0.051,161327,460ADDED0.96
MDLZMONDELEZ INTL INC CL A0.066,030422,101UNCHANGED0.00
METAMETA PLATFORMS INC0.081,134550,873UNCHANGED0.00
MMM3M CO COM0.6743,9814,665,030REDUCED-0.73
MOALTRIA GROUP INC 0.0914,299623,723ADDED0.75
MRKMERCK & CO INC NEW COM3.20168,40222,220,600REDUCED-1.08
MSFTMICROSOFT CORP COM1.0016,4426,917,470ADDED4.91
MTRMESA RTY TR UNIT BEN INT0.0531,674336,380REDUCED-3.53
NICENICE SYSTEMS LTD0.256,6641,736,770ADDED0.76
NKENIKE INC CLASS B0.043,022284,030ADDED0.03
NOCNORTHROP GRUMMAN CORP NEW0.081,125538,493UNCHANGED0.00
NVONOVO NORDISK AS ADR4.21227,18829,170,900REDUCED-0.5
ORCLORACLE CORP COM0.084,390551,440REDUCED-0.41
ORLYO REILLY AUTOMOTIVE INC NEW COM0.03188212,229NEW
PAGPPLAINS GP HLDGS 2.891,099,52020,066,300NEW
PBFPBF ENERGY INC CL A0.055,768332,055ADDED0.17
PEPPEPSICO INC COM0.093,381591,713ADDED0.06
PGPROCTER & GAMBLE CO COM0.4318,5193,004,630REDUCED-0.47
PMPHILIP MORRIS INTL INC COM0.086,263573,831REDUCED-8.69
PSXPHILLIPS 660.052,021330,142UNCHANGED0.00
PTENPATTERSON-UTI ENERGY INC COM0.000.000.00SOLD OFF-100
PVLPERMIANVILLE RTY TR TR UNIT0.000.000.00SOLD OFF-100
QCOMQUALCOMM INC0.062,495422,426ADDED0.04
RTXRAYTHEON TECHNOLOGIES CORP0.053,499341,278REDUCED-1.24
SEDGSOLAREDGE TECHNOLOGIES INC0.000.000.00SOLD OFF-100
SMCISUPER MICRO COMPUTER INC 0.322,1892,210,960ADDED191
SMRNUSCALE PWR CORP 0.000.000.00SOLD OFF-100
SOSOUTHERN CO COM0.054,632332,278ADDED0.06
SPYSPDR S&P 500 ETF TR TR UNIT0.07907474,177ADDED1.68
SWNSOUTHWESTERN ENERGY CO0.0542,032318,603UNCHANGED0.00
TOSTTOAST INC CL A0.1850,4791,257,940NEW
TSLATESLA MTRS INC COM0.041,739305,699ADDED60.13
TXNTEXAS INSTRUMENTS INC0.6626,2274,568,930REDUCED-4.82
UNHUNITEDHEALTH GROUP INC COM0.06842416,382REDUCED-2.43
UNMUNUM GROUP 3.20413,00622,161,900REDUCED-0.73
VVISA INC COM CL A0.9924,6896,890,120REDUCED-0.44
VSTVISTRA CORP2.83281,86019,631,600REDUCED-50.3
VZVERIZON COMMUNICATIONS COM0.0610,058422,046ADDED0.06
WBAWALGREEN BOOTS ALLIANCE INC COM1.32422,4819,163,600ADDED0.77
WMBWILLIAMS COS INC COM0.047,495292,075ADDED1.08
WMTWAL MART STORES INC COM0.089,558575,102ADDED199
XOMEXXON MOBIL CORP COM4.33258,36430,032,200REDUCED-0.76
ALLIANCEBERSTEIN GLOBAL HIGH INCOME FD INC7.254,731,88050,252,500ADDED0.75
NUVEEN GLOBAL HIGH INCOME FD SHS7.183,894,78049,775,300ADDED0.41
DOUBLELINE INCOME SOLUTIONS FD6.923,780,30048,009,800ADDED0.75
BLACKROCK CORPORATE HIGH YIELD FD VI INC C5.633,989,41039,056,300ADDED0.95
GENERAL MNY MKT FUND 5.4837,981,60037,981,600ADDED18.45
COHEN & STEERS INFRASTRUCTURE FD INC COM4.391,292,92030,474,200ADDED0.37
ARES CAP CORP COM3.041,013,45021,100,000REDUCED-1.95
EATON VANCE TAX ADVANTAGED DIVID INCOME FU2.70793,69918,731,300ADDED4.56
CALAMOS STRATEGIC TOTAL RETURN FD COM SH B1.59675,91011,064,600ADDED12.78
EATON VANCE TAX ADVANTAGED GLO GLOBAL DIVI1.48562,26210,261,300ADDED11.99
KAYNE ANDERSON MLP INVESTMENT COMPANY0.44308,1373,084,460REDUCED-4.88
PRAIRIELAND DETENTION CENTER PROJ - PUB FAC CORP TEXAS PROJ REV TAXABLE0.444,985,0003,049,020UNCHANGED0.00
PIMA CNTY AZ INDL DEV AUTH EDU REVENUE GRIFFIN FNDTN PROJ SER A0.423,095,0002,940,250UNCHANGED0.00
PUBLIC FIN AUTH WIS ED REV TRIAD EDUCATION SERVICES INC0.231,575,0001,577,740UNCHANGED0.00
FANNIN CNTY TX PUBLIC FAC CORP REVENUE TXBLE0.171,725,0001,172,400UNCHANGED0.00
NUVEEN DIVIDEND ADVANTAGE MUNICIPAL FUND0.1591,5361,049,000NEW
NUVEEN INSURED TAX FREE ADVANTAGE0.1594,2131,042,940NEW
TEKLA HEALTHCARE OPPORTUNITIES FD SHS 0.1446,645937,573ADDED0.34
BERKSHIRE HATHAWAY INC DEL CL B NEW0.132,095880,989REDUCED-0.85
TULANE UNIV LA RFDG-TULANE UNIV-C 0.523 02/15/36 B/E DTD 05/31/07 CLB0.10705,000655,389REDUCED-4.73
VOC ENERGY TR TR UNIT0.0999,999604,994REDUCED-0.64
NORTH TEX TWY AUTH REV SYS REF BDS B 5.000 01/01/43 B/E DTD 11/01/17 CL0.08550,000564,306UNCHANGED0.00
UNITED STATES TREAS NTS 2.000 06/30/24 B/E DTD 06/30/170.07500,000495,775UNCHANGED0.00
UNITED STATES TREAS NTS 2.750 08/31/25 B/E DTD 08/31/180.07485,000471,187UNCHANGED0.00
UNITED STS TREAS NTS 2.500 05/31/24 B/E DTD 05/31/220.07464,000461,866UNCHANGED0.00
UNITED STS TREAS NTS 4.250 09/30/24 B/E DTD 09/30/220.07463,000460,680UNCHANGED0.00
PIMA CNTY AZ INDL DEV AUTH EDU REVENUE GRIFFIN FNDTN PROJ SER B0.06450,000427,500UNCHANGED0.00
UNITED STATES TREAS NTS 2.000 05/31/24 B/E DTD 05/31/170.06400,000397,840UNCHANGED0.00
FANNIN CNTY TX PUBLIC FAC CORP REVENUE TXBLE-REF0.05540,000342,079UNCHANGED0.00
SILICON VLY CA TOBACCO SECURITIZATION AUTH TABACCO SETTLEM CAP APPREC0.053,500,000341,390UNCHANGED0.00
UNITED STS TREAS NTS 4.250 10/15/25 B/E DTD 10/15/220.05330,000327,330UNCHANGED0.00
UNITED STS TREAS NTS 4.375 10/31/24 B/E DTD 10/31/220.05322,000320,358UNCHANGED0.00
NORTH TEX TWY AUTH REV REF BDS 2015 B 5.000 01/01/45 B/E DTD 09/24/15 0.04250,000251,225UNCHANGED0.00
UNITED STATES TREAS NTS 2.250 10/31/24 B/E DTD 10/31/170.04250,000245,768UNCHANGED0.00
TOBACCO SETTLEMENT FING CORP VA RFDG-FIRST SUB-SER C0.03830,000227,320UNCHANGED0.00
UNITED STATES TREAS NTS 2.125 07/31/24 B/EDTD 07/31/170.03226,000223,611UNCHANGED0.00
UNITED STATES TREAS NTS 2.125 09/30/24 B/E DTD 09/30/170.03226,000222,565UNCHANGED0.00
GE HEALTHCARE TECHNOLOGIES INC0.032,257205,192NEW
CHICAGO ILL O HARE INTL ARPT REV REV REF BDS 2012B 5.000 01/01/31 B0.03200,000200,134UNCHANGED0.00
WESTERN ASSET GLOBAL CORP DEFINED OPPTNTY0.000.000.00SOLD OFF-100
UNITED STATES TREAS NTS 2.750 02/15/24 B/E DTD 02/15/140.000.000.00SOLD OFF-100
UNITED STATES TREAS NTS 2.625 12/31/23 B/E DTD 12/31/180.000.000.00SOLD OFF-100