David Block
@Sanders Morris Harris Llc
Latest period2024 - Q4ReportedManaged Assets$669.897MTotal holdings291
Assets growth rate11.12%Assets growth rate (2-Q avg)5.06%Continuous growth in asset value1 quarters
Portfolio positions
This chart displays the top 10 holdings in Sanders Morris Harris Llc's 2024 - Q4 portfolio, based on their 13F SEC filing, out of a total of 291 positions.
Assets under management
The assets under management (AUM) of Sanders Morris Harris Llc over the past 10 years (40 quarters) show continuous growth in total asset value over the last 1 quarters. As of the latest 13F SEC filing for 2024 - Q4, they manage 669.897M in assets, with a quarterly growth rate of 11.12% and a 2-quarter average growth rate of 5.06%. The portfolio is managed by David Block, and others.
Portfolio holdings
Investment | Portfolio % | Reported Value | Recent Activity |
---|---|---|---|
RSPInvesco Exchange Traded Fd T
| 1.23% | $8.187M 46,720 shares@ $175.24 avg price | Increased 313.24% |
LLYEli Lilly & Co
| 1.13% | $7.563M 9,703 shares@ $779.49 avg price | Decreased -1.39% |
IWFIshares Tr
| 1.04% | $6.944M 16,933 shares@ $410.09 avg price | Decreased -42.39% |
MSAIMultisensor Ai Holdings Inc
| 0.96% | $6.43M 3.282M shares@ $1.96 avg price | Decreased -2.77% |
DKNGDraftkings Inc New
| 0.93% | $6.165M 162,591 shares@ $37.93 avg price | New Position |
EQWLInvesco Exchange Traded Fd T
| 0.92% | $6.137M 60,005 shares@ $102.28 avg price | Increased 2475.33% |
BRK.ABerkshire Hathaway Inc Del
| 0.92% | $6.128M 9 shares@ $680920.0 avg price | |
AMDAdvanced Micro Devices Inc
| 0.87% | $5.821M 47,982 shares@ $121.32 avg price | Increased 62.24% |
MSFTMicrosoft Corp
| 0.84% | $5.566M 13,113 shares@ $424.45 avg price | Decreased -3.88% |
RSVRReservoir Media Inc
| 0.82% | $5.464M 616,709 shares@ $8.87 avg price | Decreased -16% |