Investment Managers articles

Exxon Mobil Corporation (XOM), The Coca-Cola Company (KO), Colgate-Palmolive Company (CL): Top 3 Stock Holdings of Paragon Capital Management Ltd

Exxon Mobil Corporation (XOM), The Coca-Cola Company (KO), Colgate-Palmolive Company (CL): Top 3 Stock Holdings of Paragon Capital Management Ltd

Paragon Capital Management Ltd has a 13F portfolio of $143 million with its primary focus in the finance industry, as per its recent SEC 13F filing. Alexander N. Feick is the managing director of Paragon Capital Management Ltd with Exxon Mobil Corporation (NYSE:XOM), The Coca-Cola Company (NYSE:KO), Colgate-Palmolive Company (NYSE:CL) as the top three holdings of the

Eli Lilly and Co (LLY), Apple Inc. (AAPL), Netflix, Inc. (NFLX): Top 3 Stocks of Weatherly Asset Management L. P.

Weatherly Asset Management L. P. has a 13F portfolio value of $232 million with healthcare as its largest investment area, as per its recent SEC 13F filing. Carolyn P. Taylor is the manager of the fund with Eli Lilly and Co (NYSE:LLY), Apple Inc (NASDAQ:AAPL), and Netflix, Inc. (NASDAQ:NFLX) as the top three holdings of

The Walt Disney Company (DIS), Texas Pacific Land Trust (TPL), and Chicago Bridge & Iron Company N.V. (CBI): Top Holdings of Lawson Kroeker Investment Management

Lawson Kroeker Investment Management filed its latest 13F form on October 3, 2014. The firm has 73 different positions in its 13F portfolio which worth $282 million at the end of third quarter of 2014. The firms largest positions in this filing are The Walt Disney Company (NYSE:DIS), Texas Pacific Land Trust (NYSE:TPL), and Chicago

Hewlett-Packard Company (HPQ), Micron Technology, Inc. (MU), ChipMOS Technologies (Bermuda) Ltd (IMOS): Favorite Stocks of Dls Capital Management

Dls Capital Management is primarily dedicated to the technology industry with its current portfolio standing at $17 million, as per its recent SEC 13F filing. ChipMOS Technologies (Bermuda) Ltd (NASDAQ:IMOS), Hewlett-Packard Company (NYSE:HPQ), Micron Technology, Inc. (NASDAQ:MU) are the three top investments of the fund indicating its inclination towards the technology sector. David Steinberg manages

Bed Bath & Beyond Inc. (BBBY), Triple-S Management Corp. (GTS), Kinder Morgan Energy Partners LP (KMP): Top 3 Stock Picks of Accipiter Capital Management

Accipiter Capital Management is often called as a healthcare specialist hedge fund and it is currently managed by Gabe Hoffman. It has a current portfolio of $54.13 million, as per its latest SEC 13F filing, with its primary investments in healthcare and service industry. Bed Bath & Beyond Inc. (NASDAQ:BBBY), Triple-S Management Corp. (NYSE:GTS), Kinder

Microsoft Corporation (MSFT), Norfolk Southern Corp. (NSC), SBA Communications Corporation (SBAC): Top Holdings Of Personal Capital Advisors Corp

Personal Capital Advisors Corp Released Its Form 13F-HR on October 2, 2014. The fund has 13F portfolio of 135 different positions which worth $702 million as of September 30, 2014. The funds top three stock positions are Microsoft Corporation (NASDAQ:MSFT), Norfolk Southern Corp. (NYSE:NSC) and SBA Communications Corporation (NASDAQ:SBAC). Personal Capital Advisors Corp had $7.1

Yahoo! Inc. (YHOO), Liberty Interactive Corp (LINTA), AstraZeneca plc (ADR) (AZN): Top 3 New Stock Picks of Owl Creek Asset Management

Jeffrey Altman manages Owl Creek Asset Management, which started in June 2001 with best returns of 40% in 2007. It has a current portfolio of $2.03 billion with technology and service industry constituting majority of its current portfolio. Yahoo! Inc. (NASDAQ:YHOO), Liberty Interactive Corp (NASDAQ:LINTA), AstraZeneca plc (ADR) (NYSE:AZN) are the top three latest stock

Micron Technology, Inc. (MU), Mead Johnson Nutrition CO (MJN), Twenty-First Century Fox Inc (FOX): Top Three Stocks of Azentus Capital Management

Morgan Sze is the manager of Azentus Capital Management and it is among one of the largest hedge funds of Hong Kong. It has a current portfolio of $184 million, as per its recent SEC 13F filing, with its primary focus in Technology industry and consumer goods sector. Micron Technology, Inc. (NASDAQ:MU), Mead Johnson Nutrition

QUALCOMM, Inc. (QCOM), United Technologies Corporation (UTX), McGraw Hill Financial Inc (MHFI): Top Investments of Rit Capital Partners

Rit Capital Partners has a current portfolio of $181 million, according to its recent SEC 13F filing, with Jacob Rothschild as its manager. The fund has it primary focus in technology, conglomerates, and service industry. QUALCOMM, Inc. (NASDAQ:QCOM), United Technologies Corporation (NYSE:UTX), McGraw Hill Financial Inc (NYSE:MHFI) are the top three investments of Rit Capital

Cisco Systems, Inc. (CSCO), Twitter Inc (TWTR), Signet Jewelers Ltd. (SIG): Top 3 New Stock Picks of Brookside Capital

Bain Capital manages Brookside Capital and it has a current portfolio of $4.12 billion, as per recent SEC 13F filing, with services and technology forming the primary investments of the fund. Brookside capital started in 1980s and its investments grew in multiple industries. Cisco Systems, Inc. (NASDAQ:CSCO), Twitter Inc (NYSE:TWTR), Signet Jewelers Ltd. (NYSE:SIG) are

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