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Holdings

LMCG INVESTMENTS, LLC

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
Waste Connections, Inc. WCNCOM88,49688,49612,307,139,00012,307,139,0000.82  Hist 03/31/2023
iSHARES TRUST ILFS&P LTN AM 40228,256228,2565,448,471,0005,448,471,0000.36  Hist 03/31/2023
FIFTH THIRD BANCORP FITBCommon142,814142,8143,804,565,0003,804,565,0000.250.02 Hist 03/31/2023
OLIN Corp OLNCommon54,13754,1373,004,604,0003,004,604,0000.200.04 Hist 03/31/2023
WESTLAKE CORP WLKCommon19,35719,3572,245,025,0002,245,025,0000.150.02 Hist 03/31/2023
GILLETTE CO GCommon47,85847,8582,211,997,0002,211,997,0000.15  Hist 03/31/2023
WYNDHAM HOTELS & RESORTS, INC. WHCOM28,24228,2421,916,220,0001,916,220,0000.13  Hist 03/31/2023
STATE STREET CORP STTCommon5,6725,672429,314,000429,314,0000.03  Hist 03/31/2023
LINDE PLC LINSHS998998354,729,000354,729,0000.020.00 Hist 03/31/2023
GE HealthCare Technologies Inc. GEHCCommon3,2313,231265,039,000265,039,0000.02  Hist 03/31/2023
FIRST SOLAR, INC. FSLRCommon1,0201,020221,850,000221,850,0000.01  Hist 03/31/2023
Invesco Exchange-Traded Fund Trust II PXHExchange Traded Fund11,21611,216205,926,000205,926,0000.01  Hist 03/31/2023
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