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Latest CAPITAL MANAGEMENT ASSOCIATES /NY/ Stock Portfolio

$83.94Million

Equity Portfolio Value
Last Reported on: 03 May, 2024

About CAPITAL MANAGEMENT ASSOCIATES /NY/ and it’s 13F Hedge Fund Stock Holdings

CAPITAL MANAGEMENT ASSOCIATES /NY/ is a hedge fund based in NEW YORK, NY. On 29-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $99.6 Millions. In it's latest 13F Holdings report, CAPITAL MANAGEMENT ASSOCIATES /NY/ reported an equity portfolio of $83.9 Millions as of 31 Mar, 2024.

The top stock holdings of CAPITAL MANAGEMENT ASSOCIATES /NY/ are MSFT, AMZN, AFK. The fund has invested 6.2% of it's portfolio in MICROSOFT CORP COM and 3.7% of portfolio in AMAZON COM INC COM.

The fund managers got completely rid off ADOBE INC COM (ADBE), VANECK GOLD MINERS ETF (AFK) and MCDONALDS CORP COM (MCD) stocks. They significantly reduced their stock positions in DIAMONDBACK ENERGY INC COM (FANG), GXO LOGISTICS INC (GXO) and UNION PAC CORP COM (UNP). CAPITAL MANAGEMENT ASSOCIATES /NY/ opened new stock positions in META PLATFORMS INC CL A (META), BERKSHIRE HATHAWAY INC DEL CL B NEW and ELI LILLY & CO COM (LLY). The fund showed a lot of confidence in some stocks as they added substantially to ISHARES EXPANDED TECH-SOFTWARE SECTOR ETF (AGG), WALMART INC COM (WMT) and EMERSON ELEC CO COM (EMR).

New Buys

Ticker$ Bought
META PLATFORMS INC CL A1,699,530
BERKSHIRE HATHAWAY INC DEL CL B NEW1,261,560
ELI LILLY & CO COM1,244,740
MASTERCARD INCORPORATED CL A963,140
GLOBAL X URANIUM ETF864,900

New stocks bought by CAPITAL MANAGEMENT ASSOCIATES /NY/

Additions

Ticker% Inc.
ISHARES EXPANDED TECH-SOFTWARE SECTOR ETF400
ISHARES SEMICONDUCTOR ETF292
WALMART INC COM200
EMERSON ELEC CO COM150
JPMORGAN CHASE & CO COM117
APOLLO GLOBAL MGMT INC COM106
HEALTH CARE SELECT SECTOR SPDR FUND97.85
COSTAR GROUP INC COM54.55

Additions to existing portfolio by CAPITAL MANAGEMENT ASSOCIATES /NY/

Reductions

Ticker% Reduced
DIAMONDBACK ENERGY INC COM-60.00
GXO LOGISTICS INC-54.55
UNION PAC CORP COM-50.25
CONSTELLATION ENERGY CORP COM-50.00
CURTISS WRIGHT CORP COM-40.00
CHENIERE ENERGY INC COM NEW-30.77
AMERICAN EXPRESS CO COM-16.67
TRUIST FINL CORP COM-14.15

CAPITAL MANAGEMENT ASSOCIATES /NY/ reduced stake in above stock

Sold off

Ticker$ Sold
SOUTHWESTERN ENERGY CO COM-589,500
VANECK GOLD MINERS ETF-1,085,350
GLOBAL X U.S. INFRASTRUCTURE DEVELOPMENT ETF-569,452
COCA COLA CO COM-618,765
NEXTERA ENERGY INC COM-455,550
QUALCOMM INC COM-843,482
SPDR S&P OIL & GAS EXPLORATION & PRODUCTION ETF-547,640
MCDONALDS CORP COM-978,483

CAPITAL MANAGEMENT ASSOCIATES /NY/ got rid off the above stocks

Current Stock Holdings of CAPITAL MANAGEMENT ASSOCIATES /NY/

Last Reported on: 03 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC COM3.4416,8242,884,980REDUCED-8.66
AAXJISHARES PREFERRED & INCOME SECURITIES ETF0.082,14869,230UNCHANGED0.00
ACNACCENTURE PLC IRELAND SHS CLASS A1.754,2501,473,090UNCHANGED0.00
ACTXGLOBAL X URANIUM ETF1.0330,000864,900NEW
ACTXGLOBAL X U.S. INFRASTRUCTURE DEVELOPMENT ETF0.000.000.00SOLD OFF-100
ADBEADOBE INC COM0.000.000.00SOLD OFF-100
AFKVANECK SEMICONDUCTOR ETF3.5213,1222,952,320REDUCED-8.12
AFKVANECK GOLD MINERS ETF0.000.000.00SOLD OFF-100
AGGISHARES EXPANDED TECH-SOFTWARE SECTOR ETF1.1211,000937,970ADDED400
AGGISHARES SEMICONDUCTOR ETF0.923,420772,646ADDED292
AMATAPPLIED MATLS INC COM1.074,375902,256REDUCED-12.5
AMZNAMAZON COM INC COM3.6917,1903,100,730REDUCED-1.9
ASMLASML HOLDING N V N Y REGISTRY SHS1.01875849,161REDUCED-12.5
AXPAMERICAN EXPRESS CO COM1.174,308980,889REDUCED-16.67
BABOEING CO COM1.436,2031,197,120ADDED53.92
BACBANK AMERICA CORP COM0.378,238312,385REDUCED-1.93
BILSPDR S&P METALS & MINING ETF1.0414,474872,493ADDED6.17
BILSPDR S&P OIL & GAS EXPLORATION & PRODUCTION ETF0.000.000.00SOLD OFF-100
BLKBLACKROCK INC COM1.891,9001,584,030UNCHANGED0.00
BXBLACKSTONE INC COM3.4822,2122,917,990REDUCED-1.96
CCITIGROUP INC COM NEW0.8411,195707,972REDUCED-7.21
CEGCONSTELLATION ENERGY CORP COM1.215,5001,016,680REDUCED-50.00
CGCARLYLE GROUP INC COM1.0118,004844,568REDUCED-6.74
COFCAPITAL ONE FINL CORP COM1.166,560976,718REDUCED-7.94
CRMSALESFORCE INC COM1.133,150948,717REDUCED-10.00
CSDINVESCO S&P 500 EQUAL WEIGHT ETF1.015,000846,850UNCHANGED0.00
CSGPCOSTAR GROUP INC COM0.988,500821,100ADDED54.55
CTASCINTAS CORP COM0.901,100755,733UNCHANGED0.00
CWCURTISS WRIGHT CORP COM0.923,000767,820REDUCED-40.00
DEDEERE & CO COM0.000.000.00SOLD OFF-100
DISDISNEY WALT CO COM0.0141.005,017UNCHANGED0.00
EMREMERSON ELEC CO COM1.3510,0001,134,200ADDED150
FANGDIAMONDBACK ENERGY INC COM0.944,000792,680REDUCED-60.00
FHNFIRST HORIZON CORPORATION COM0.0175011,550UNCHANGED0.00
GEGE AEROSPACE COM NEW0.0210017,553UNCHANGED0.00
GOOGALPHABET INC CAP STK CL C3.0917,0282,592,680REDUCED-1.01
GOOGALPHABET INC CAP STK CL A2.1612,0001,811,160UNCHANGED0.00
GTLSCHART INDUSTRIES2.1611,0001,811,920UNCHANGED0.00
GVAGRANITE CONSTR INC COM1.3620,0001,142,600UNCHANGED0.00
GWWGRAINGER W W INC COM1.701,4001,424,220UNCHANGED0.00
GXOGXO LOGISTICS INC0.6410,000537,600REDUCED-54.55
HONHONEYWELL INTL INC COM1.596,5001,334,120UNCHANGED0.00
IBMINTERNATIONAL BUSINESS MACHS COM1.145,000954,800ADDED11.11
JPMJPMORGAN CHASE & CO COM2.5510,6712,137,400ADDED117
KOCOCA COLA CO COM0.000.000.00SOLD OFF-100
LHXL3HARRIS TECHNOLOGIES INC COM0.652,546542,553REDUCED-4.86
LINLINDE PLC SHS2.775,0002,321,600UNCHANGED0.00
LLYELI LILLY & CO COM1.481,6001,244,740NEW
LNGCHENIERE ENERGY INC COM NEW0.864,500725,760REDUCED-30.77
MAMASTERCARD INCORPORATED CL A1.152,000963,140NEW
MCDMCDONALDS CORP COM0.000.000.00SOLD OFF-100
MCKMCKESSON CORP COM1.532,4001,288,440UNCHANGED0.00
METAMETA PLATFORMS INC CL A2.023,5001,699,530NEW
MSFTMICROSOFT CORP COM6.2512,4735,247,640REDUCED-2.71
NEENEXTERA ENERGY INC COM0.000.000.00SOLD OFF-100
NFENEW FORTRESS ENERGY INC COM CL A0.7320,000611,800UNCHANGED0.00
NVDANVIDIA CORPORATION COM2.152,0001,807,120REDUCED-11.11
PANWPALO ALTO NETWORKS INC COM1.695,0001,420,650UNCHANGED0.00
PFEPFIZER INC COM0.0145012,488UNCHANGED0.00
PWRQUANTA SVCS INC COM1.504,8501,260,030UNCHANGED0.00
PXDPIONEER NAT RES CO COM1.504,8001,260,000UNCHANGED0.00
QCOMQUALCOMM INC COM0.000.000.00SOLD OFF-100
QQQINVESCO QQQ TRUST SERIES I0.0362.0027,529UNCHANGED0.00
ROPROPER TECHNOLOGIES INC COM1.141,700953,428UNCHANGED0.00
RTXRTX CORPORATION COM0.716,081593,080REDUCED-8.94
SHWSHERWIN WILLIAMS CO COM0.791,900659,927UNCHANGED0.00
STZCONSTELLATION BRANDS INC CL A1.133,500951,160UNCHANGED0.00
SWNSOUTHWESTERN ENERGY CO COM0.000.000.00SOLD OFF-100
TAT&T INC COM0.031,45025,520UNCHANGED0.00
TFCTRUIST FINL CORP COM1.0221,967856,274REDUCED-14.15
TMOTHERMO FISHER SCIENTIFIC INC COM1.041,500871,815UNCHANGED0.00
TSLATESLA INC COM0.0128.004,922UNCHANGED0.00
UNHUNITEDHEALTH GROUP INC COM1.061,800890,460UNCHANGED0.00
UNPUNION PAC CORP COM0.0930073,779REDUCED-50.25
VAWVANGUARD ENERGY ETF1.8411,7431,546,550REDUCED-3.29
VAWVANGUARD COMMUNICATION SERVICES ETF0.0742055,112UNCHANGED0.00
VOOVANGUARD S&P 500 ETF2.404,1982,017,980REDUCED-5.85
WMTWALMART INC COM1.5922,2001,335,770ADDED200
XLBHEALTH CARE SELECT SECTOR SPDR FUND1.609,0991,344,200ADDED97.85
XLBCOMMUNICATION SERVICES SELECT SECTOR SPDR FUND0.666,830557,738ADDED7.34
XLBENERGY SELECT SECTOR SPDR FUND0.665,820549,466ADDED15.59
APOLLO GLOBAL MGMT INC COM2.4418,2242,049,290ADDED106
BERKSHIRE HATHAWAY INC DEL CL B NEW1.503,0001,261,560NEW
ARES CAPITAL CORP COM1.0040,395841,024REDUCED-2.93
GE HEALTHCARE TECHNOLOGIES INC COMMON STOCK0.0033.003,000UNCHANGED0.00