← Holdings

Horizon Kinetics

Horizon Kinetics Asset Management LLCData: SEC EDGAR 13F · Filed 2026-05-15 · 13F filings are quarterly snapshots disclosed up to 45 days late; current positions may differ — not a real-time trading signal.
Period
2026 Q1
Total value
$9.2B
AUM QoQ +24.8%
Positions
353 positions
Filing date
2026-05-15
Letters & ResearchFull archive (11) →
2026-05-061st Quarter 2026 CommentaryThis commentary explains how market fads create opportunities. When everyone piles into one sector (like AI), other sectors (like energy or metals) get ignored and become cheap. For ordinary investors…2026-04-01In Memory of Murray Stahl — A Message from the BoardThis notice announces the death of Murray Stahl, founder and CEO of investment firm Horizon Kinetics. But the company had a plan: two co-founders who worked with him for over 40 years take over immedi…2026-01-294th Quarter 2025 CommentaryThis report digs into the real story behind the AI data center boom. While many focus on building facilities and buying chips, the author argues the true winners are those who own scarce resources lik…2026-01-152026 New Year Letter from Our FoundersThis founder letter explains why they've recently invested in private funds, crypto mining, and data centers—it's not a departure from value investing but an extension. Their core insight: stocks are…2025-11-01Cryptocurrency by the NumbersThis report uses hard data to make a simple point: the dollar keeps losing value, while Bitcoin keeps gaining. Since 1913, the dollar has lost over 96% of its purchasing power. Meanwhile, Bitcoin's to…2025-10-303rd Quarter 2025 CommentaryThis report says that over the past 25 years, ETFs (funds that track an index) have only returned 7%-8% annually, far below the 10%+ many expect. The stock market is now too concentrated in a few tech…
Year
Quarter
44 new positions · 70 adds · 134 trims · biggest add FRMI +389.81%
#CompanyPeriod priceTodayValueWeight %Shares (QoQ)Change %
1
Texas Pacific Land Corporati
TPL
$474.56
$4.75B
51.49%
10.02M
10.33M
-3.08%
-318K sh
2
Grayscale Bitcoin Trust Etf
GBTC
$52.76
$739M
8%
14.00M
14.11M
-0.77%
-109K sh
3
Landbridge Company Llc
LB
$69.05
$391M
4.23%
5.66M
5.64M
4
Hawaiian Elec Inds Inc Mtn B
HE
$14.84
$321M
3.48%
21.64M
19.39M
+11.57%
+2.24M sh
5
Wheaton Precious Metals Corp
WPM
$131.01
$231M
2.5%
1.76M
2.49M
-29.36%
-732K sh
6
Waterbridge Infrastructure L
WBI
$26.79
$197M
2.13%
7.34M
6.84M
+7.38%
+505K sh
7
Franco Nev Corp
FNV
$247.05
$187M
2.03%
757K
968K
-21.78%
-211K sh
8
Permian Basin Rty Tr
PBT
$21.52
$137M
1.49%
6.38M
6.19M
+3.1%
+192K sh
9
Miami Intl Hldgs Inc
MIAX
$38.92
$134M
1.46%
3.45M
1.82M
+89.67%
+1.63M sh
10
Intercontinental Exchange In
ICE
$157.28
$132M
1.43%
839K
831K
+0.98%
+8K sh
11
Cheniere Energy Inc
LNG
$283.76
$119M
1.29%
420K
463K
-9.28%
-43K sh
12
Cboe Global Mkts Inc
CBOE
$281.07
$115M
1.25%
410K
408K
13
Mesabi Tr
MSB
$31.5
$99M
1.07%
3.14M
3.03M
+3.74%
+113K sh
14
Grayscale Bitcoin Mini Tr Et
BTC
$29.99
$90M
0.98%
3.00M
3.00M
15
Caci Intl Inc
CA8A
$543.87
$84M
0.91%
155K
159K
-2.49%
-4K sh
16
Cme Group Inc
CME
$295.35
$80M
0.86%
270K
276K
-1.94%
-5K sh
17
Viper Energy Inc
VNOM
$46.99
$78M
0.85%
1.66M
1.71M
-3.05%
-52K sh
18
Cameco Corp
CCO
$108.61
$71M
0.77%
652K
674K
-3.3%
-22K sh
19
Or Royalties Inc.
OR
$38.02
$67M
0.72%
1.75M
1.82M
-3.35%
-61K sh
20
Brookfield Corp
BN
$40.47
$64M
0.69%
1.57M
1.58M
-0.74%
-12K sh
21
Civeo Corp Cda
CVEO
$26.46
$62M
0.67%
2.35M
2.45M
-3.97%
-97K sh
22
Autonation Inc
AN
$195.26
$44M
0.48%
225K
256K
-12.25%
-31K sh
23
Bunge Global Sa
$127.2
$43M
0.46%
337K
349K
-3.45%
-12K sh
24
Tejon Ranch Co
TRC
$18.84
$36M
0.39%
1.90M
1.91M
-0.52%
-10K sh
25
Horizon Kinetics Hldg Corp Com
HKHC
$33
$35M
0.38%
1.08M
1.08M
26
St Joe Co
JOE
$62.8
$34M
0.37%
543K
555K
-2.2%
-12K sh
27
San Juan Basin Rty Tr
SJT
$4.81
$34M
0.36%
6.98M
6.23M
+12%
+748K sh
28
Ishares Bitcoin Trust Etf
IBIT
$38.42
$30M
0.33%
793K
797K
29
Sprott Inc
SII
$142.9
$30M
0.32%
207K
215K
-3.55%
-8K sh
30
White Mtns Ins Group Ltd
$2196.96
$29M
0.31%
13K
13K
31
Marsh & Mclennan Cos Inc
MMC
$173.45
$26M
0.28%
151K
157K
-3.41%
-5K sh
32
Carnival Corp
CCL
$25.88
$25M
0.27%
958K
958K
33
Live Nation Entertainment In
LYV
$152.51
$24M
0.26%
157K
170K
-7.48%
-13K sh
34
Dorchester Minerals L P
DMLP
$27.1
$23M
0.25%
860K
876K
-1.76%
-15K sh
35
Galaxy Digital Inc.
GLXY
$18.45
$23M
0.25%
1.25M
1.25M
36
Penske Automotive Grp Inc
PAG
$149.52
$21M
0.23%
143K
170K
-16.11%
-27K sh
37
Berkshire Hathaway Inc Del
BRK.B
$479.2
$18M
0.2%
38K
38K
38
Rb Global Inc
RBA
$95.85
$18M
0.19%
187K
108K
+73.5%
+79K sh
39
Strategy Inc
MIGA
$124.8
$17M
0.19%
139K
139K
40
Oshkosh Corp
OSK
$147.21
$17M
0.18%
116K
116K
41
Vanguard Bd Index Fds
VUSB
$49.78
$17M
0.18%
339K
343K
-1.02%
-3K sh
42
Royalty Pharma Plc
RPRX
$47.97
$16M
0.18%
341K
353K
-3.56%
-13K sh
43
Digitalbridge Group Inc
DBRG
$15.42
$14M
0.16%
939K
3.05M
-69.17%
-2.11M sh
44
Triple Flag Precious Metal
TFPM
$34.71
$14M
0.16%
413K
425K
-2.79%
-12K sh
45
Royal Caribbean Group
$275.18
$14M
0.15%
52K
53K
-2.01%
-1K sh
46
Interparfums Inc
IPAR
$90.84
$13M
0.14%
138K
139K
47
Howard Hughes Holdings Inc
HHH
$63.26
$12M
0.13%
196K
293K
-33.05%
-97K sh
48
Royal Gold Inc
RGLD
$254.49
$12M
0.13%
47K
95K
-50.31%
-48K sh
49
Williams Cos Inc
WMB
$72.78
$10M
0.11%
138K
137K
+0.71%
+980 sh
50
Mastercard Incorporated
MA
$499.65
$10M
0.11%
20K
20K
51
Brookfield Asset Managmt Ltd
BAM
$44.45
$8M
0.09%
190K
190K
52
Sabine Rty Tr
SBR
$75.34
$8M
0.09%
111K
109K
+1.52%
+2K sh
53
Liberty Energy Inc
LBRT
$28.8
$8M
0.09%
288K
343K
-15.9%
-54K sh
54
Alliancebernstein Hldg L P
AB
$37.44
$8M
0.09%
217K
194K
+12.24%
+24K sh
55
Energy Transfer L P
ET
$19.3
$8M
0.08%
399K
360K
+10.86%
+39K sh
56
Madison Square Grdn Sprt Cor
MSGS
$321.4
$8M
0.08%
23K
23K
57
Natural Resource Partners Lp
NRP
$121
$7M
0.08%
58K
25K
+132.74%
+33K sh
58
Western Midstream Partners L
WES
$41.17
$7M
0.08%
170K
134K
+26.59%
+36K sh
59
Liberty Media Corp Del
FWONK
$85.02
$7M
0.07%
81K
82K
-0.77%
-627 sh
60
Exxon Mobil Corp
XOM
$169.66
$7M
0.07%
40K
39K
+2.88%
+1K sh
61
Listed Fds Tr
SPAQ
$90.73
$7M
0.07%
72K
72K
62
Nasdaq Inc
NDAQ
$84.89
$6M
0.07%
71K
71K
63
Vanguard Scottsdale Fds
VGSH
$58.54
$6M
0.06%
99K
110K
-10.3%
-11K sh
64
Alps Etf Tr
AMLP
$52.64
$6M
0.06%
107K
60K
+76.63%
+46K sh
65
Ea Series Trust
BOXX
$116.29
$6M
0.06%
47K
New
66
Sphere Entertainment Co
SPHR
$117.4
$5M
0.06%
46K
47K
-2.55%
-1K sh
67
Freeport Mcmoran Inc
FCX
$58.78
$5M
0.06%
92K
93K
-1.32%
-1K sh
68
Listed Fds Tr
INFL
$52.06
$5M
0.06%
100K
99K
+1.39%
+1K sh
69
Listed Fds Tr
JAPN
$22.65
$5M
0.06%
228K
182K
+24.93%
+45K sh
70
Listed Fds Tr
BCDF
$30.74
$5M
0.06%
166K
156K
+6.45%
+10K sh
71
Grayscale Bitcoin Cash Trust Bch
BCHG
$3.35
$5M
0.05%
1.49M
1.49M
72
Science Applications Intl Co
SAIC
$94.92
$5M
0.05%
51K
53K
-3.95%
-2K sh
73
Enterprise Prods Partners L
EPD
$37.84
$4M
0.05%
115K
112K
+2.46%
+3K sh
74
Archer Daniels Midland Co
ADM
$72.69
$4M
0.05%
59K
60K
-1.48%
-890 sh
75
Consensus Mining & Seigniorage Corp Com
CMSG
$26
$4M
0.05%
165K
New
76
Abbvie Inc
ABBV
$217.49
$4M
0.05%
19K
20K
-1.7%
-332 sh
77
Markel Group Inc
MKL
$1913.62
$4M
0.04%
2K
2K
78
Tri Pointe Homes Inc
TPH
$46.73
$4M
0.04%
86K
86K
79
Nutrien Ltd
NTR
$75.46
$4M
0.04%
51K
52K
-1.25%
-648 sh
80
Johnson & Johnson
JNJ
$244.44
$4M
0.04%
16K
16K
-1.5%
-240 sh
81
Costamare Inc
$16.9
$4M
0.04%
222K
222K
82
Suncor Energy Inc New
SU
$66.11
$4M
0.04%
56K
55K
+2.67%
+1K sh
83
Eli Lilly & Co
LLY
$919.77
$4M
0.04%
4K
4K
-3.43%
-141 sh
84
Broadridge Finl Solutions In
BR
$162.48
$4M
0.04%
22K
20K
+8.58%
+2K sh
85
Merck & Co Inc
MRK
$120.29
$3M
0.04%
28K
28K
+0.84%
+236 sh
86
Nuveen Amt Free Qlty Mun Inc
XNEAX
$11.23
$3M
0.04%
296K
295K
87
Philip Morris Intl Inc
PM
$165.34
$3M
0.04%
20K
20K
-0.59%
-117 sh
88
Eagle Matls Inc
EXP
$189.45
$3M
0.03%
17K
17K
+0.73%
+122 sh
89
Kla Corp
KLAC
$1472.41
$3M
0.03%
2K
3K
-24.15%
-687 sh
90
L3harris Technologies Inc
LHX
$345.16
$3M
0.03%
9K
9K
-2.5%
-235 sh
91
Fermi Inc
FRMI
$5.84
$3M
0.03%
532K
109K
+389.81%
+424K sh
92
Renn Fd Inc
RCG
$3.28
$3M
0.03%
912K
866K
+5.33%
+46K sh
93
Caterpillar Inc
CAT
$708.46
$3M
0.03%
4K
5K
-10.83%
-500 sh
94
Cisco Sys Inc
CTAS
$77.59
$3M
0.03%
37K
39K
-3.72%
-1K sh
95
Chevron Corporation
CI
$206.9
$3M
0.03%
14K
13K
+5.18%
+690 sh
96
Alliance Resource Partners L
ARLP
$27.65
$3M
0.03%
105K
64K
+63.25%
+41K sh
97
Patterson-uti Energy Inc
PTEN
$10.83
$3M
0.03%
259K
259K
98
Vertiv Holdings Co
VRT
$250.58
$3M
0.03%
11K
11K
99
Bristol-myers Squibb Co
BMY
$60.65
$3M
0.03%
45K
45K
-0.9%
-404 sh
100
Eqt Corp
EQT
$63.64
$3M
0.03%
43K
41K
+3.07%
+1K sh
101
Metalla Rty & Streaming Ltd
MTA
$6.63
$3M
0.03%
404K
404K
102
Liberty Media Corp Del
FWONA
$78.08
$3M
0.03%
34K
36K
-5.35%
-2K sh
103
Altria Group Inc
MO
$65.99
$3M
0.03%
39K
39K
+0.91%
+350 sh
104
Microsoft Corp
MSFT
$370.16
$3M
0.03%
7K
7K
-3.94%
-284 sh
105
Wisdomtree Inc
WT
$14.56
$2M
0.03%
168K
198K
-15.33%
-30K sh
106
Grayscale Litecoin Trust Ltc Shs
LTCN
$4.08
$2M
0.03%
588K
504K
+16.69%
+84K sh
107
Bakkt Inc
BKKT
$7.36
$2M
0.03%
317K
325K
-2.52%
-8K sh
108
Rtx Corporation
RTX
$192.9
$2M
0.02%
12K
13K
-6.57%
-836 sh
109
Black Stone Minerals L P
BSM
$15.12
$2M
0.02%
151K
151K
110
Apyx Medical Corporation
APYX
$3.69
$2M
0.02%
615K
615K
111
Fitlife Brands Inc
FTLF
$14.2
$2M
0.02%
154K
154K
112
Blackrock Muniyield Quality
MYI
$10.51
$2M
0.02%
208K
102K
+103.72%
+106K sh
113
Emerson Elec Co
EMR
$131.02
$2M
0.02%
17K
17K
-0.9%
-150 sh
114
Las Vegas Sands Corp
LVS
$53.88
$2M
0.02%
40K
39K
+1.9%
+747 sh
115
Madison Square Garden Entmt
MSGE
$58.91
$2M
0.02%
36K
36K
116
Charles Riv Labs Intl Inc
CRL
$172.5
$2M
0.02%
12K
13K
-3.08%
-388 sh
117
Toronto Dominion Bk Ont
TD
$93.31
$2M
0.02%
23K
23K
-3.5%
-817 sh
118
Openlane Inc
OPLN
$29.15
$2M
0.02%
71K
72K
119
Fidelity Natl Finl Inc
FNF
$46.38
$2M
0.02%
44K
44K
+1.69%
+738 sh
120
Ishares Silver Tr
SLV
$68.14
$2M
0.02%
30K
29K
+1.56%
+460 sh
121
Plains All Amern Pipeline L
PAA
$22.33
$2M
0.02%
90K
New
122
Atlanta Braves Hldgs Inc
BATRB
$42.7
$2M
0.02%
46K
46K
-0.52%
-240 sh
123
Pfizer Inc
PFE
$28.08
$2M
0.02%
69K
68K
+1.89%
+1K sh
124
Iron Mtn Inc Del
IRM
$102.14
$2M
0.02%
18K
18K
125
Wendys Co
WEN
$6.95
$2M
0.02%
269K
360K
-25.21%
-91K sh
126
Nuveen Quality Muncp Income
NAD
$11.5
$2M
0.02%
162K
162K
127
Ge Aerospace
GE
$283.77
$2M
0.02%
6K
6K
128
Vanguard Index Fds
VOO
$597.55
$2M
0.02%
3K
3K
129
Hubbell Inc
HUBB
$490.74
$2M
0.02%
4K
New
130
Resideo Technologies Inc
REZI
$33.71
$2M
0.02%
51K
54K
-5.21%
-3K sh
131
Sonoco Prods Co
SON
$54.09
$2M
0.02%
31K
31K
+2.02%
+617 sh
132
Novartis Ag
NVSN
$152.75
$2M
0.02%
11K
11K
-3.54%
-403 sh
133
Spdr Gold Tr
GLD
$430.29
$2M
0.02%
4K
4K
+6.04%
+220 sh
134
Apple Inc
AAPL
$253.79
$2M
0.02%
6K
7K
-7.38%
-512 sh
135
S&p Global Inc
SPGI
$425.35
$2M
0.02%
4K
4K
-12.34%
-528 sh
136
Rio Tinto Plc
RIO
$93.29
$2M
0.02%
16K
16K
137
Royce Micro-cap Tr Inc
RMT
$11.31
$2M
0.02%
133K
134K
-1.06%
-1K sh
138
Wp Carey Inc
WPC
$67.96
$1M
0.02%
22K
22K
139
Honeywell Intl Inc
HON
$226.03
$1M
0.02%
7K
6K
+7.89%
+481 sh
140
Nuveen Ny Amt Free
NRK
$10.21
$1M
0.02%
138K
135K
+2.36%
+3K sh
141
Visa Inc
V
$302.24
$1M
0.02%
5K
5K
142
Sealed Air Corp New
SEE
$42.05
$1M
0.02%
33K
34K
-1.48%
-500 sh
143
Rockwell Automation Inc
ROK
$358.88
$1M
0.02%
4K
4K
-7.59%
-320 sh
144
Gsk Plc
GSK
$55.19
$1M
0.01%
24K
25K
-1.9%
-473 sh
145
Verisk Analytics Inc
VRSK
$189.75
$1M
0.01%
7K
7K
146
Pimco Income Strategy Fd Ii
PFN
$6.89
$1M
0.01%
191K
191K
147
Kinder Morgan Inc Del
KMI
$33.53
$1M
0.01%
39K
50K
-21.92%
-11K sh
148
Grayscale Coindesk Crypto
$31.19
$1M
0.01%
41K
41K
149
Brookfield Wealth Sol Ltd
$41.4
$1M
0.01%
31K
31K
150
Marathon Pete Corp
MPC
$244.18
$1M
0.01%
5K
5K
-1.29%
-68 sh
151
Ge Vernova Inc
GEV
$872.9
$1M
0.01%
1K
1K
152
Vanguard Index Fds
VXF
$205.81
$1M
0.01%
6K
26K
-76.65%
-20K sh
153
Bank New York Mellon Corp
BK
$118.63
$1M
0.01%
10K
12K
-13.12%
-2K sh
154
Nvidia Corporation
NVDA
$174.4
$1M
0.01%
7K
7K
-5.4%
-400 sh
155
Analog Devices Inc
ADI
$318.18
$1M
0.01%
4K
4K
-11.11%
-470 sh
156
Star Bulk Carriers Corp.
$22.97
$1M
0.01%
52K
51K
+2.11%
+1K sh
157
Atlanta Braves Hldgs Inc
BATRA
$47.15
$1M
0.01%
25K
25K
-0.63%
-160 sh
158
Equity Lifestyle Properties
ELS
$62.42
$1M
0.01%
19K
25K
-24.09%
-6K sh
159
Cra Intl Inc
CRAI
$161.89
$1M
0.01%
7K
8K
-7.97%
-606 sh
160
Seaport Entmt Group Inc
SEG
$21.48
$1M
0.01%
52K
53K
161
General Mills Inc
GIS
$37.22
$1M
0.01%
30K
New
162
Proshares Tr Ii
SVXY
$45.8
$1M
0.01%
24K
23K
+2.73%
+638 sh
163
Eog Res Inc
EOG
$144.57
$1M
0.01%
8K
6K
+16.54%
+1K sh
164
Booz Allen Hamilton Hldg Cor
BAH
$78.03
$1M
0.01%
14K
14K
165
Mcdonalds Corp
MCD
$310.79
$1M
0.01%
3K
3K
+2.99%
+100 sh
166
Astrazeneca Plc
$197.22
$1M
0.01%
5K
New
167
Abbott Laboratories
ABT
$102.67
$1M
0.01%
10K
10K
-4.83%
-485 sh
168
Vaneck Etf Trust
GDX
$404.26
$1M
0.01%
2K
3K
-29.37%
-1K sh
169
Cms Energy Corp
CMS
$77.58
$1M
0.01%
12K
12K
170
Alphabet Inc
GOOG
$286.86
$1M
0.01%
3K
3K
+1.14%
+37 sh
171
Blackrock Muniyild Qult Fd I
MQY
$10.98
$1M
0.01%
83K
New
172
Nuveen Floating Rate Income
JFR
$7.52
$1M
0.01%
119K
119K
173
Pimco Dynamic Income Fd
PDI
$17.11
$1M
0.01%
51K
51K
+1.43%
+727 sh
174
Norfolk Southn Corp
NSC
$287
$1M
0.01%
3K
3K
175
International Business Machs
IBM
$242.39
$1M
0.01%
4K
4K
-3.37%
-125 sh
176
Ionis Pharmaceuticals Inc
ISI
$75.09
$1M
0.01%
11K
12K
-4.38%
-524 sh
177
Citigroup Inc
C
$113.41
$1M
0.01%
7K
7K
+5.45%
+386 sh
178
Amgen Inc
AMGN
$351.85
$1M
0.01%
2K
2K
-3.96%
-99 sh
179
Alphabet Inc
GOOGL
$287.56
$1M
0.01%
3K
3K
-4.87%
-150 sh
180
Blackrock Muniholdings Fd In
MHD
$11.28
$1M
0.01%
75K
17K
+343.71%
+58K sh
181
Danaher Corp Del
DHR
$189.6
$1M
0.01%
4K
4K
-1.29%
-57 sh
182
State Str Spdr S&p 500 Etf T
SPY
$650.34
$1M
0.01%
1K
1K
-3.86%
-50 sh
183
Bank America Corp
BAC
$48.75
$1M
0.01%
16K
21K
-19.94%
-4K sh
184
Aehr Test Sys
AEHR
$37.08
$1M
0.01%
22K
21K
+1.41%
+300 sh
185
Rayonier Advanced Matls Inc
RYAM
$11.07
$1M
0.01%
69K
95K
-27.51%
-26K sh
186
Barclays Bank Plc
VXXCall
$75
$1M
0.01%
10K
10K
187
Ishares Gold Tr
IAU*
$88.16
$1M
0.01%
9K
9K
188
Alnylam Pharmaceuticals Inc
ALNY
$330.87
$1M
0.01%
2K
2K
-4.38%
-104 sh
189
Alkermes Plc
$35.36
$1M
0.01%
21K
22K
-4.38%
-967 sh
190
Pimco Income Strategy Fd
PFL
$8
$1M
0.01%
93K
93K
191
3m Co
MMM
$145.23
$1M
0.01%
5K
6K
-12.28%
-700 sh
192
Berkshire Hathaway Inc Del
BRK.B
$718140
$1M
0.01%
1
1
193
Qualcomm Inc
QCOM
$128.78
$1M
0.01%
6K
6K
-11.58%
-722 sh
194
Banco Santander Sa
SAN
$11.28
$1M
0.01%
62K
65K
-4.23%
-3K sh
195
Constellation Brands Inc
STZ
$150
$1M
0.01%
5K
5K
196
Newmont Corp
NEMCL
$108.25
$1M
0.01%
6K
8K
-17.82%
-1K sh
197
Linde Plc
LIN
$495.76
$1M
0.01%
1K
1K
-2.78%
-40 sh
198
Loews Corp
L
$106.74
$1M
0.01%
6K
5K
+18.32%
+1K sh
199
Spdr Series Trust
XES
$116.33
$1M
0.01%
6K
6K
+1.49%
+85 sh
200
Ebay Inc.
EBA
$91.02
$1M
0.01%
7K
7K
201
Vaneck Etf Trust
GDXJ
$120.04
$1M
0.01%
6K
11K
-47.69%
-5K sh
202
Circle Internet Group Inc
CRCL
$95.41
$1M
0.01%
7K
New
203
Blackrock Floating Rate Inco
XFRAX
$11.02
$1M
0.01%
59K
59K
204
Rayonier Inc
RYN
$20.62
$1M
0.01%
31K
16K
+93.6%
+15K sh
205
Tradeweb Mkts Inc
TW
$117.66
$1M
0.01%
5K
5K
206
Cohen & Steers Quality Incom
RQI
$12.05
$1M
0.01%
50K
50K
207
Invesco Exchange Traded Fd T
RSP
$191.94
$1M
0.01%
3K
3K
-8.59%
-293 sh
208
Siriusxm Holdings Inc
SIRI
$23.08
$1M
0.01%
26K
29K
-12.12%
-4K sh
209
Blackstone Inc
BX
$114.99
$1M
0.01%
5K
8K
-38.29%
-3K sh
210
Doubleline Income Solutions
DSL
$10.83
$1M
0.01%
53K
53K
+1.48%
+780 sh
211
Sprott Asset Management Lp
PHYS
$35.44
$1M
0.01%
16K
16K
212
Occidental Pete Corp
OXY
$65
$1M
0.01%
9K
6K
+58.69%
+3K sh
213
Quest Diagnostics Inc
DGX
$195.98
$1M
0.01%
3K
3K
-3.33%
-100 sh
214
Novo-nordisk A S
NVO
$36.75
$1M
0.01%
15K
15K
215
Affiliated Managers Group
AMG
$276.7
$1M
0.01%
2K
2K
-8.97%
-197 sh
216
United Rentals Inc
URI
$728.56
$1M
0.01%
756
756
217
Bwx Technologies Inc
BWXT
$204.49
$1M
0.01%
3K
3K
218
Goldman Sachs Group Inc
GS
$845.99
$1M
0.01%
623
953
-34.63%
-330 sh
219
Kimbell Rty Partners Lp
KRP
$14.47
$1M
0.01%
36K
39K
-6.66%
-3K sh
220
Biogen Inc
BIIB
$183.33
$1M
0.01%
3K
3K
-4.38%
-131 sh
221
Regeneron Pharmaceuticals
REGN
$772.64
$1M
0.01%
675
705
-4.26%
-30 sh
222
Pure Cycle Corp
PCYO
$10.06
$1M
0.01%
51K
51K
223
Proshares Tr
TQQQ
$41.68
$1M
0.01%
12K
New
224
Proshares Tr
SQQQ
$80.49
$0M
0.01%
6K
New
225
Federated Hermes Inc
FHI
$56.71
$0M
0.01%
9K
9K
-1.01%
-87 sh
226
Valmont Inds Inc
VMI
$399.57
$0M
0.01%
1K
1K
-7.69%
-100 sh
227
Mondelez Intl Inc
MDLZ
$57.64
$0M
0.01%
8K
8K
228
Crispr Therapeutics Ag
$47.57
$0M
0.01%
10K
10K
-4.33%
-443 sh
229
Vaneck Etf Trust
GDX
$91.77
$0M
0%
5K
9K
-42.22%
-4K sh
230
Unitedhealth Group Inc
UNH
$270.59
$0M
0%
2K
2K
+6.27%
+100 sh
231
Greenbrier Cos Inc
GBX
$52.65
$0M
0%
9K
9K
232
Disney Walt Co
DIS
$96.38
$0M
0%
5K
5K
233
Bp Plc
BP
$47
$0M
0%
9K
9K
234
Listed Fds Tr
TEXX
$28.16
$0M
0%
16K
New
235
Barrick Mng Corp
GOLD
$40.79
$0M
0%
11K
11K
+2.37%
+250 sh
236
Centerpoint Energy Inc
CNP
$43.16
$0M
0%
10K
8K
+30.84%
+2K sh
237
Lennar Corp
LEN
$86.84
$0M
0%
5K
5K
+4.8%
+225 sh
238
Costamare Bulkers Hldgs Ltd
$15.47
$0M
0%
28K
32K
-13.57%
-4K sh
239
Jpmorgan Chase & Co
JPM
$294.16
$0M
0%
1K
2K
-23.96%
-453 sh
240
Gallagher Arthur J & Co
AJG
$216.58
$0M
0%
2K
2K
241
Neuberger Mun Fd Inc
NBH
$10.15
$0M
0%
41K
41K
242
Blackrock Cr Allocation
BTZ
$10.1
$0M
0%
41K
41K
243
Slb Limited
SLB
$51.39
$0M
0%
8K
New
244
Diamondback Energy Inc
FANG
$197.79
$0M
0%
2K
New
245
American Express Co
AXP
$302.48
$0M
0%
1K
675
+93.48%
+631 sh
246
Vanguard Bd Index Fds
BSV
$78.41
$0M
0%
5K
7K
-33.12%
-2K sh
247
General Mtrs Co
GM
$74.5
$0M
0%
5K
5K
+9.76%
+467 sh
248
Nuveen Taxable Municpal Inm
NBB
$15.66
$0M
0%
25K
25K
-0.61%
-153 sh
249
Verizon Communications Inc
BAC
$50.2
$0M
0%
8K
7K
+12.59%
+840 sh
250
Federated Hermes Prem Muni I
FMN
$10.93
$0M
0%
34K
34K
251
Ishares Tr
WOOD
$70.95
$0M
0%
5K
6K
-4.45%
-245 sh
252
Conocophillips
COF
$132
$0M
0%
3K
New
253
Listed Fds Tr
NVIR
$40.26
$0M
0%
9K
9K
+3.76%
+325 sh
254
Marketaxess Hldgs Inc
MKTX
$164.98
$0M
0%
2K
2K
+7.79%
+152 sh
255
Liberty Live Holdings Inc
LLYVK
$94.11
$0M
0%
4K
4K
-4.49%
-168 sh
256
Fidelity Wise Origin Bitcoin
FBTC
$59.03
$0M
0%
6K
6K
257
Ww Grainger Inc
GWW
$1090.81
$0M
0%
305
New
258
Amer States Wtr Co
AWR
$75.62
$0M
0%
4K
4K
+3.06%
+130 sh
259
Aflac Inc
AFL
$109.71
$0M
0%
3K
3K
260
Meta Platforms Inc
META
$572.04
$0M
0%
568
570
261
Nuveen Mun Cr Income Fd
NZF
$12.18
$0M
0%
26K
26K
+1.85%
+480 sh
262
Grayscale Zcash Tr Zec Com
ZCSH
$20.67
$0M
0%
15K
15K
263
Grayscale Ethereum Classic Trust
ETCG
$4.4
$0M
0%
71K
71K
264
Lockheed Martin Corp
LMT
$604.39
$0M
0%
507
New
265
Power Solutions Intl Inc
PSIX
$60.88
$0M
0%
5K
New
266
Modine Mfg Co
MOD
$216.71
$0M
0%
1K
New
267
Doubleline Opportunistic Cr
DBL
$14.6
$0M
0%
20K
21K
-1.47%
-306 sh
268
Vanguard Index Fds
VTI
$320.81
$0M
0%
922
930
-0.86%
-8 sh
269
Movado Group Inc
MOV
$24.42
$0M
0%
12K
12K
270
Energy Recovery Inc
ERII
$10.07
$0M
0%
29K
28K
+1.72%
+488 sh
271
Pepsico Inc
PEP
$155.29
$0M
0%
2K
2K
-9.8%
-200 sh
272
Eaton Corp Plc
ETN
$357.67
$0M
0%
797
811
-1.73%
-14 sh
273
Broadcom Inc
AVGO
$309.51
$0M
0%
899
1K
-25.52%
-308 sh
274
Nuveen Ny Divi Adv
NAN
$11.15
$0M
0%
25K
22K
+15.56%
+3K sh
275
Nextera Energy Inc
NEE
$92.88
$0M
0%
3K
3K
-2.39%
-70 sh
276
At&t Inc
T
$28.99
$0M
0%
9K
10K
-4.86%
-464 sh
277
Cheniere Energy Partners L P
CQP
$64.63
$0M
0%
4K
4K
278
Pimco New York Mun Fd Ii
PNI
$6.85
$0M
0%
38K
New
279
Colgate Palmolive Co
CL
$85.23
$0M
0%
3K
3K
280
Cintas Corp
CIT
$169.14
$0M
0%
1K
1K
281
Weyerhaeuser Co
WY
$24.43
$0M
0%
10K
11K
-6.09%
-671 sh
282
Lowes Cos Inc
LOW
$236.28
$0M
0%
1K
1K
283
Amazon Com Inc
AMZN
$208.27
$0M
0%
1K
2K
-23.22%
-359 sh
284
Northrop Grumman Corp
NOC
$682.24
$0M
0%
360
360
285
Proshares Tr Ii
VIXYCall
$40
$0M
0%
6K
6K
286
American Tower Corp
AMT
$172.58
$0M
0%
1K
1K
287
Bhp Billiton Limited
BHP
$72.74
$0M
0%
3K
New
288
Netflix Inc.
NFLX
$96.15
$0M
0%
2K
2K
289
Genuine Parts Co
GPC
$105.75
$0M
0%
2K
2K
290
Dow Hldgs Inc
DOW
$41.65
$0M
0%
5K
New
291
American Wtr Wks Co Inc New
AWC
$136.08
$0M
0%
2K
2K
292
Thermo Fisher Scientific Inc
TMO
$491.53
$0M
0%
438
438
293
Invesco Quality Mun Income T
IQI
$9.62
$0M
0%
22K
22K
-0.68%
-150 sh
294
Eaton Vance Sr Fltng Rte Tr
XEFRX
$10.54
$0M
0%
20K
20K
295
Liberty Live Holdings Inc
LLYVA
$91.64
$0M
0%
2K
New
296
Nrg Energy Inc
NRG
$146.14
$0M
0%
1K
New
297
Beam Therapeutics Inc
BEAM
$23.83
$0M
0%
9K
9K
-4.38%
-403 sh
298
Enerflex Ltd
EFXT
$20.92
$0M
0%
10K
New
299
Costco Wholesale Corporation
COST
$996.43
$0M
0%
208
New
300
Ge Healthcare Technologies I
GEHC
$71.18
$0M
0%
3K
3K
301
Fidelity Natl Information Sv
FIS
$46.91
$0M
0%
4K
20K
-78.38%
-16K sh
302
Liberty Broadband Corp
LBRDK
$50.3
$0M
0%
4K
4K
-2.12%
-88 sh
303
Nuveen Select Mat Mun Fd
NIM
$9.45
$0M
0%
22K
22K
304
Boeing Co
BA
$199.03
$0M
0%
1K
1K
305
Burford Capital Limited
BUR
$4.52
$0M
0%
39K
62K
-37.33%
-23K sh
306
Ladder Cap Corp
LADR
$9.77
$0M
0%
18K
18K
307
Eaton Vance Mun Bd Fd
EIM
$9.77
$0M
0%
18K
18K
308
Listed Fds Tr
MEDX
$33.31
$0M
0%
5K
New
309
Intellia Therapeutics Inc
NTLA
$12.82
$0M
0%
13K
14K
-4.38%
-604 sh
310
Vanda Pharmaceuticals Inc
VNDA
$6.91
$0M
0%
24K
25K
-4.38%
-1K sh
311
Invesco Tr Invt Grade New Yo
VTN
$10.94
$0M
0%
15K
12K
+20.08%
+2K sh
312
Nuveen Amt Free Mun Cr Inc F
NVG
$12.33
$0M
0%
12K
10K
+17.36%
+2K sh
313
Pcm Fd Inc
PCM
$5.71
$0M
0%
25K
25K
314
Tetra Technologies Inc Del
TTI
$8.52
$0M
0%
16K
14K
+20%
+3K sh
315
Brookfield Real Assets Incom
RA
$12.86
$0M
0%
11K
11K
316
Galectin Therapeutics Inc
PHPN
$2.79
$0M
0%
49K
51K
-4.39%
-2K sh
317
Blackrock Floating Rate Inc
BGT
$10.76
$0M
0%
13K
13K
318
Haleon Plc
HLN
$10.01
$0M
0%
13K
13K
-4.38%
-591 sh
319
Nuveen Pfd & Income Opportun
JPC
$7.54
$0M
0%
16K
16K
320
Eaton Vance Limited Duration
XEVVX
$9.45
$0M
0%
12K
12K
321
Blackrock Muniyield N Y Qual
MYN
$9.6
$0M
0%
12K
New
322
Pimco Mun Income Fd Ii
PML
$7.57
$0M
0%
15K
15K
323
Ishares Tr
IWC
$159.61
$0M
0%
690
New
324
Eaton Vance Sr Income Tr
EVF
$4.99
$0M
0%
22K
22K
325
Nuveen Mun High Income Oppor
NMZ
$10.38
$0M
0%
10K
New
326
Nuveen Mun Value Fd Inc
NUV
$8.99
$0M
0%
12K
12K
327
Replimune Group Inc
REPL
$7.65
$0M
0%
13K
14K
-4.38%
-604 sh
328
Energy Transfer L P
ET 9.25 PERP I
$11.57
$0M
0%
8K
New
329
Grayscale Ethereum Staking E
ETHE
$17.07
$0M
0%
5K
5K
330
Ishares Tr
IEZ
$28.95
$0M
0%
3K
New
331
Mfs High Income Mun Tr
CXE
$3.71
$0M
0%
22K
27K
-19.42%
-5K sh
332
Editas Medicine Inc
EDIT
$2.47
$0M
0%
29K
30K
-4.38%
-1K sh
333
Bicycle Therapeutics Plc
BCYC
$4.64
$0M
0%
13K
14K
-4.38%
-604 sh
334
Vaneck Etf Trust
PFXF
$17.54
$0M
0%
3K
New
335
Vanguard Index Fds
VB
$261.92
$0M
0%
219
New
336
Liberty Broadband Corp
LBRDA
$50.22
$0M
0%
923
New
337
Allogene Therapeutics Inc
ALLO
$2.44
$0M
0%
18K
18K
-4.38%
-806 sh
338
Ishares Tr
PFF
$30.32
$0M
0%
1K
New
339
Ishares Tr
SHV
$110.39
$0M
0%
338
New
340
Lantern Pharma Inc
LTRN
$1.37
$0M
0%
26K
28K
-4.38%
-1K sh
341
Bitfarms Ltd
BITF
$1.95
$0M
0%
18K
18K
342
Ishares Tr
ITA
$218.75
$0M
0%
160
New
343
Vanguard Index Fds
VBR
$217.25
$0M
0%
135
New
344
Spdr Series Trust
BIL
$91.64
$0M
0%
250
New
345
Invesco Exchange Traded Fd T
RFV
$129.97
$0M
0%
163
New
346
Vaneck Etf Trust
HYD
$50.14
$0M
0%
296
New
347
Pacific Biosciences Calif In
PACB
$1.32
$0M
0%
11K
11K
-4.38%
-483 sh
348
Grayscale Ethereum Staking
ETH
$19.86
$0M
0%
653
652
349
Lennar Corp
LEN-B
$84.12
$0M
0%
57
New
350
Listed Fds Tr
METV
$15.93
$0M
0%
155
New
351
Grayscale Basic Attention Token Tr
GBAT
$0.56
$0M
0%
2K
2K
352
Ishares Tr
AIA
$106.12
$0M
0%
8
New
353
Grayscale Decentraland Trust
MANA
$0.79
$0M
0%
691
691