Scott M. Brown
@Pinnacle Associates Ltd
Latest period2024 - Q3ReportedManaged Assets$5.881BTotal holdings800
Assets growth rate-7.91%Assets growth rate (2-Q avg)-3.62%Continuous growth in asset value0 quarters
Portfolio positions
This chart displays the top 10 holdings in Pinnacle Associates Ltd's 2024 - Q3 portfolio, based on their 13F SEC filing, out of a total of 800 positions.
Assets under management
The assets under management (AUM) of Pinnacle Associates Ltd over the past 10 years (40 quarters) show continuous growth in total asset value over the last 0 quarters. As of the latest 13F SEC filing for 2024 - Q3, they manage 5.881B in assets, with a quarterly growth rate of -7.91% and a 2-quarter average growth rate of -3.62%. The portfolio is managed by Scott M. Brown, and others.
Portfolio holdings
Investment | Portfolio % | Reported Value | Recent Activity |
---|---|---|---|
VTIVanguard Index Fds
| 0.88% | $51.229M 215,957 shares@ $237.22 avg price | Increased 0.59% |
NVDANvidia Corporation
| 0.87% | $51.138M 103,263 shares@ $495.23 avg price | Decreased -89.05% |
METAMeta Platforms Inc
| 0.87% | $50.852M 143,665 shares@ $353.97 avg price | Decreased -9.45% |
SCHDSchwab Strategic Tr
| 0.83% | $48.355M 635,170 shares@ $76.14 avg price | Decreased -2.44% |
VEUVanguard Intl Equity Index F
| 0.8% | $46.854M 834,585 shares@ $56.15 avg price | Decreased -3.84% |
RCLRoyal Caribbean Group
| 0.78% | $45.733M 353,175 shares@ $129.49 avg price | Increased 0.93% |
QRVOQorvo Inc
| 0.76% | $44.542M 395,546 shares@ $112.61 avg price | Increased 2.51% |
MSMorgan Stanley
| 0.75% | $43.994M 471,784 shares@ $93.25 avg price | Increased 4.25% |
BYDBoyd Gaming Corp
| 0.73% | $42.523M 679,178 shares@ $62.61 avg price | Increased 2.44% |
CSCOCisco Sys Inc
| 0.69% | $40.298M 797,674 shares@ $50.52 avg price | Increased 7.93% |