News + Filings Holdings
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HF Advisory Group, LLC
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Changes: All | New | Increased | Decreased | Sold Out |
Portfolio as of: |
Name | Ticker | Class | Shares | Change | Value | Change | % Port | % OS | Hist | Date |
TC ENERGY CORP
| TRP | COM | 41,307 | 41,307 | 1,669,216,000 | 1,669,216,000 | 1.32 | 0.00 |
Hist
| 06/30/2023 |
VODAFONE GROUP PUBLIC LTD CO
| VOD | Common | 93,871 | 93,871 | 887,082,000 | 887,082,000 | 0.70 | |
Hist
| 06/30/2023 |
ORACLE CORP
| ORCL | Common | 4,734 | 4,734 | 563,824,000 | 563,824,000 | 0.45 | 0.00 |
Hist
| 06/30/2023 |
Air Products & Chemicals, Inc.
| APD | Common | 1,860 | 1,860 | 557,196,000 | 557,196,000 | 0.44 | 0.00 |
Hist
| 06/30/2023 |
WILLIAMS COMPANIES, INC.
| WMB | Common | 15,667 | 15,667 | 511,221,000 | 511,221,000 | 0.40 | 0.00 |
Hist
| 06/30/2023 |
COMCAST CORP
| CMCSA | Common | 12,087 | 12,087 | 502,224,000 | 502,224,000 | 0.40 | |
Hist
| 06/30/2023 |
PLAINS GP HOLDINGS LP
| PAGP | COM | 27,675 | 27,675 | 410,422,000 | 410,422,000 | 0.32 | |
Hist
| 06/30/2023 |
VEEVA SYSTEMS INC
| VEEV | Common | 1,990 | 1,990 | 393,483,000 | 393,483,000 | 0.31 | |
Hist
| 06/30/2023 |
Philip Morris International Inc.
| PM | Common | 3,551 | 3,551 | 346,642,000 | 346,642,000 | 0.27 | |
Hist
| 06/30/2023 |
ANALOG DEVICES INC
| ADI | Common | 1,082 | 1,082 | 210,766,000 | 210,766,000 | 0.17 | 0.00 |
Hist
| 06/30/2023 |
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