Gilbert Cisneros

Gilbert Cisneros

U.S. RepresentativeCA3135 filings1871 transactions
View on House Disclosures

Total Purchases (max)

$28.4M

Total Sales (max)

$3.1M

Net Portfolio Value

$25.2M

339 active positions of 709 total · Using max values from amount ranges

#TickerAssetPurchasesSalesNet ValueTxns% of Portfolio
1Bank of America Audent Hospitality Real Estate Fund I L.P.$5.0M$5.0M119.8%
2U.S. Trust Holdings PORTOLA VALLEY CA SCH DIST GO BONDS$1.0M$1.0M14.0%
3Bank of America Southeast Energy Authority Cooperative District, Alabama Bonds$500K$500K12.0%
4Bank of America Milwaukee, Wisconsin GO Promissory Notes Series N2$500K$500K12.0%
5Bank of America Missouri Health and Educational Facilities Authority Revenue Bonds$500K$500K12.0%
6Bank of America New York Liberty Development Corporation Revenue Bonds$500K$500K12.0%
7Bank of America Washington State Health Care Facilities Authority Revenue Bonds$500K$500K12.0%
8Bank of America Bucks County, PA Industrial Development Authority Hospital Rev Bonds$500K$500K12.0%
9Bank of America Antioch, CA, Unified School District GO Bonds$500K$500K12.0%
10Bank of America El Camino CA Community College District GO Bonds$500K$500K12.0%
11U.S. Trust Holdings WEST KERN CMNTY COLLEGE DISTRICT Go boNdS$500K$500K12.0%
12U.S. Trust Holdings JOHN SWETT Ca USD Go boNdS$500K$500K12.0%
13U.S. Trust Holdings STANISLAUS Ca UN SCHOOL DIST$500K$500K12.0%
14AAPLBank of America Apple Inc. - Common Stock$880K$515K$365K81.4%
15WBIBank of America WaterBridge Infrastructure LLC Class A Shares Representing Limited Liability Company Interests$350K$350K31.4%
16LBWells Fargo Advisors LandBridge Company LLC Class A Shares Representing Limited Liability Company Interests$250K$250K31.0%
17U.S. Trust Holdings PLACER CA UN HIGH SCHOOL DIST$250K$250K11.0%
18SPYU.S. Trust Holdings SPDR S&P 500$250K$250K11.0%
19U.S. Trust Holdings REdLaNdS Ca UNI SCH DIST Go boNdS$250K$250K11.0%
20U.S. Trust Holdings SAN DIEGO Ca COMM COLLEGE DIST Go boNdS$250K$250K11.0%
21U.S. Trust Holdings LOS ANGELES Ca USD Go REF bdS SER C$250K$250K11.0%
22U.S. Trust Holdings IShares Gold Trust [oT]$250K$250K11.0%
23MSFTBank of America Microsoft Corporation - Common Stock$275K$50K$225K90.9%
24VU.S. Trust Holdings Visa Inc.$180K$15K$165K60.7%
25AMZNBank of America Amazon.com, Inc. - Common Stock$210K$60K$150K110.6%
26TSLATesla, Inc. - Common Stock$160K$15K$145K60.6%
27PTCPTC Inc. - Common Stock$140K$140K70.6%
28JPMBank of America JP Morgan Chase & Co. Common Stock$130K$130K30.5%
29MABank of America Mastercard Incorporated Common Stock$130K$130K40.5%
30CSGPBank of America CoStar Group, Inc. - Common Stock$220K$90K$130K160.5%
31COSTBank of America Costco Wholesale Corporation - Common Stock$175K$50K$125K80.5%
32NFLXBank of America Netflix, Inc. - Common Stock$130K$15K$115K50.5%
33U.S. Trust Holdings Westinghouse air brake Technologies Corporation (Wab)$125K$15K$110K70.4%
34KMXWells Fargo Advisors CarMax Inc$105K$105K70.4%
35Wells Fargo Advisors WaterBridge Infrastructure LLC Class A Shares Representing Limited$100K$100K10.4%
36HEBank of America Hawaiian Electric Industries, Inc. Common Stock$100K$100K10.4%
37ERICdepositary Shares each representing 1 underlying Class b share$100K$100K20.4%
38PYPLU.S. Trust Holdings PayPal Holdings, Inc.$115K$15K$100K40.4%
39ELU.S. Trust Holdings Estee Lauder Companies, Inc.$100K$100K20.4%
40U.S. Trust Holdings CaLIFoRNIa ST VAR PURP Go boNdS$100K$100K10.4%
41UBERBank of America Uber Technologies, Inc. Common Stock$95K$95K40.4%
42WDAYBank of America Workday, Inc. - Class A Common Stock$95K$95K40.4%
43SHWRaymond James - Multi-Margin Related Account A Sherwin-Williams Company$95K$95K40.4%
44CDAYU.S. Trust Holdings Filing Id #20017632 Ceridian HCM Holding Inc.$95K$95K40.4%
45SAROBank of America StandardAero, Inc. Common Stock$90K$90K60.4%
46APGBank of America API Group Corporation Common Stock$90K$90K60.4%
47WTWBank of America Willis Towers Watson Public Limited Company - Ordinary Shares$95K$15K$80K50.3%
48FERGBank of America Ferguson Enterprises Inc. Common Stock$80K$80K30.3%
49ABMDU.S. Trust Holdings ABIOMED, Inc.$95K$15K$80K50.3%
50TTU.S. Trust Holdings Trane Technologies plc$95K$15K$80K50.3%
51PLTRBank of America Palantir Technologies Inc. Class A Common Stock$75K$75K50.3%
52NOVTNovanta Inc. - Common Shares$75K$75K50.3%
53RVTYBank of America Revvity, Inc. Common Stock$75K$75K50.3%
54SKYBank of America Champion Homes, Inc. Common Stock$75K$75K50.3%
55SRPTBank of America Sarepta Therapeutics, Inc. - Common Stock$105K$30K$75K90.3%
56LNTU.S. Trust Holdings Alliant Energy Corporation$75K$75K50.3%
57HMNU.S. Trust Holdings Horace Mann Educators Corporation$75K$75K50.3%
58CRYU.S. Trust Holdings CryoLife, Inc.$75K$75K50.3%
59SSNCU.S. Trust Holdings SS&C Technologies Holdings, Inc.$75K$75K50.3%
60VCU.S. Trust Holdings Visteon Corporation$75K$75K50.3%
61JNJBank of America Johnson & Johnson Common Stock$100K$30K$70K40.3%
62SPHRWells Fargo Advisors Sphere Entertainment Co. Class A Common Stock$65K$65K20.3%
63MTCHU.S. Trust Holdings Match Group, Inc.$65K$65K20.3%
64CENTU.S. Trust Holdings Central Garden & Pet Company$80K$15K$65K40.3%
65APPBank of America Applovin Corporation - Class A Common Stock$60K$60K40.2%
66BKNGBank of America Booking Holdings Inc. - Common Stock$75K$15K$60K60.2%
67PWRQuanta Services, Inc. Common Stock$90K$30K$60K80.2%
68PHRBank of America Phreesia, Inc. Common Stock$75K$15K$60K60.2%
69WATWaters Corporation Common Stock$60K$60K40.2%
70SBCFBank of America Seacoast Banking Corporation of Florida - Common Stock$60K$60K40.2%
71IRBank of America Ingersoll Rand Inc. Common Stock$60K$60K40.2%
72LNTHBank of America Lantheus Holdings, Inc. - Common Stock$60K$60K40.2%
73EBSU.S. Trust Holdings Emergent biosolutions, Inc.$60K$60K40.2%
74PRAHU.S. Trust Holdings PRA Health Sciences, Inc.$60K$60K40.2%
75PGNYU.S. Trust Holdings Progyny, Inc.$60K$60K40.2%
76U.S. Trust Holdings broadridge Financial Solutions, Inc. (bR)$60K$60K40.2%
77BABABank of America Alibaba Group Holding Limited American Depositary Shares each representing eight Ordinary share$165K$115K$50K60.2%
78AMDBank of America Advanced Micro Devices, Inc.$50K$50K10.2%
79STRCRate Series A Perpetual Stretch Preferred Stock$50K$50K10.2%
80ADBEAdobe Inc. - Common Stock$65K$15K$50K30.2%
81BMRNU.S. Trust Holdings bioMarin Pharmaceutical Inc.$50K$50K10.2%
82INTUU.S. Trust Holdings Intuit Inc.$160K$110K$50K110.2%
83TDOCU.S. Trust Holdings Teladoc Health, Inc.$50K$50K10.2%
84MHVYFBank of America Mitsubishi Heavy Industries Ltd Ordinary Shares$45K$45K30.2%
85MBFJFMitsubishi UFJ Financial Group Inc Ordinary Shares$45K$45K30.2%
86NTDOFBank of America NINTENDO CO LTD ORD$45K$45K30.2%
87BCLYFBank of America Barclays Plc Ord Ordinary Shares$45K$45K30.2%
88HESAFBank of America HERMES INTL SA$45K$45K30.2%
89RNMBFRheinmetall Ag Ordinary Shares$45K$45K30.2%
90SMEGFBank of America SIEMENS ENERGY AG$45K$45K30.2%
91UNCFFBank of America UNICREDITO SPA ORD NEW$45K$45K30.2%
92XIACFBank of America XIAOMI CORP$45K$45K30.2%
93BEBloom Energy Corporation Class A Common Stock$45K$45K30.2%
94NETBank of America Cloudflare, Inc. Class A Common Stock$45K$45K30.2%
95COINBank of America Coinbase Global, Inc. - Class A Common Stock$45K$45K30.2%
96FISVBank of America Fiserv, Inc. - Common Stock$45K$45K30.2%
97GPNBank of America Global Payments Inc. Common Stock$45K$45K30.2%
98HDHome Depot, Inc.$45K$45K30.2%
99MDBBank of America MongoDB, Inc. - Class A Common Stock$45K$45K30.2%
100MSBank of America Morgan Stanley Common Stock$60K$15K$45K50.2%
101NXPIBank of America NXP Semiconductors N.V. - Common Stock$45K$45K30.2%
102ORCLBank of America Oracle Corporation Common Stock$45K$45K30.2%
103REGNBank of America Regeneron Pharmaceuticals, Inc. - Common Stock$45K$45K30.2%
104HOODRobinhood Markets, Inc. - Class A Common Stock$45K$45K30.2%
105SYKStryker Corporation Common Stock$45K$45K30.2%
106TDGBank of America Transdigm Group Incorporated Common Stock$45K$45K30.2%
107WPMBank of America Wheaton Precious Metals Corp Common Shares$45K$45K30.2%
108ALKTAlkami Technology, Inc. - Common Stock$45K$45K30.2%
109VIAVBank of America Viavi Solutions Inc. - Common Stock$60K$15K$45K50.2%
110CBOEBank of America Cboe Global Markets, Inc.$60K$15K$45K50.2%
111HALBank of America Halliburton Company Common Stock$45K$45K30.2%
112CVLTBank of America Commvault Systems, Inc. - Common Stock$45K$45K30.2%
113SUPNBank of America Supernus Pharmaceuticals, Inc. - Common Stock$60K$15K$45K50.2%
114DAYDayforce, Inc. Common Stock$45K$45K30.2%
115DAVABank of America Endava plc American Depositary Shares$60K$15K$45K50.2%
116ATRCAtriCure, Inc. - Common Stock$75K$30K$45K70.2%
117MTXBank of America Minerals Technologies Inc. Common Stock$45K$45K30.2%
118PCVXBank of America Vaxcyte, Inc. - Common Stock$45K$45K30.2%
119CVETU.S. Trust Holdings Covetrus, Inc.$45K$45K30.2%
120STAGU.S. Trust Holdings Stag Industrial, Inc.$45K$45K30.2%
121RPDU.S. Trust Holdings Rapid7, Inc.$45K$45K30.2%
122DISU.S. Trust Holdings Walt disney Company$110K$65K$45K70.2%
123U.S. Trust Holdings oN Semiconductor Corporation (oN)$45K$45K30.2%
124U.S. Trust Holdings amdocs Limited - ordinary Shares (doX)$45K$45K30.2%
125CPBank of America Canadian Pacific Kansas City Limited Common Shares$65K$30K$35K40.1%
126ICUIBank of America ICU Medical, Inc. - Common Stock$95K$60K$35K80.1%
127GOOGLBank of America Alphabet Inc. - Class A Common Stock$45K$15K$30K40.1%
128FWRGBank of America First Watch Restaurant Group, Inc. - Common Stock$30K$30K20.1%
129DBSDFBank of America DBS GROUP HLDGS LTD ORD$30K$30K20.1%
130TCTZFBank of America Tencent Holdings Limited Ordinary Shares$45K$15K$30K40.1%
131BABAFBank of America ALIBABA GROUP HOLDING LTD$30K$30K20.1%
132AZSEYBank of America Allianz SE ADS$30K$30K20.1%
133AZNDepositary Shares$30K$30K20.1%
134RACEBank of America Ferrari N.V. Common Shares$30K$30K20.1%
135IBDSFBank of America Iberdrola SA Bilbao Ordinary Shares$30K$30K20.1%
136SBGSFBank of America SCHNEIDER ELECTRIC SA$30K$30K20.1%
137ANETBank of America Arista Networks, Inc. Common Stock$30K$30K20.1%
138AVGOBank of America Broadcom Inc. - Common Stock$45K$15K$30K40.1%
139CATBank of America Caterpillar, Inc. Common Stock$45K$15K$30K40.1%
140CVXBank of America Chevron Corporation Common Stock$30K$30K20.1%
141STZBank of America Constellation Brands, Inc. Common Stock$30K$30K20.1%
142CSWBank of America CSW Industrials, Inc. Common Stock$30K$30K20.1%
143DASHBank of America DoorDash, Inc. - Common Stock$30K$30K20.1%
144ETNBank of America Eaton Corporation, PLC Ordinary Shares$30K$30K20.1%
145ISRGBank of America Intuitive Surgical, Inc. - Common Stock$30K$30K20.1%
146JKHYBank of America Jack Henry & Associates, Inc. - Common Stock$30K$30K20.1%
147LMTBank of America Lockheed Martin Corporation Common Stock$45K$15K$30K40.1%
148FBBank of America Meta Platforms, Inc. - Class A$30K$30K20.1%
149PGBank of America Procter & Gamble Company$30K$30K20.1%
150RBLXBank of America Roblox Corporation Class A Common Stock$30K$30K20.1%
151TRGPBank of America Targa Resources, Inc. Common Stock$30K$30K20.1%
152VRTBank of America Vertiv Holdings, LLC Class A Common Stock$30K$30K20.1%
153WMTBank of America Walmart Inc. Common Stock$30K$30K20.1%
154UNHBank of America UnitedHealth Group Incorporated Common Stock$190K$160K$30K140.1%
155EPACBank of America Enerpac Tool Group Corp. Common Stock$30K$30K20.1%
156AJINFBank of America AJINOMOTO CO INC$30K$30K20.1%
157BBIOBank of America BridgeBio Pharma, Inc. - Common Stock$30K$30K20.1%
158THRBank of America Thermon Group Holdings, Inc. Common Stock$30K$30K20.1%
159KBank of America Kellanova Common Stock$75K$45K$30K80.1%
160PPBIBank of America Pacific Premier Bancorp Inc - Common Stock$60K$30K$30K70.1%
161AVNTBank of America Avient Corporation Common Stock$30K$30K20.1%
162SMTCBank of America Semtech Corporation - Common Stock$30K$30K20.1%
163RAREBank of America Ultragenyx Pharmaceutical Inc. - Common Stock$30K$30K20.1%
164CHRWBank of America C.H. Robinson Worldwide, Inc. - Common Stock$30K$30K20.1%
165GISBank of America General Mills, Inc. Common Stock$45K$15K$30K40.1%
166GPORBank of America Gulfport Energy Corporation Common Shares$30K$30K20.1%
167HQYBank of America HealthEquity, Inc. - Common Stock$45K$15K$30K40.1%
168LHXBank of America L3Harris Technologies, Inc. Common Stock$45K$15K$30K40.1%
169USPHBank of America U.S. Physical Therapy, Inc. Common Stock$30K$30K20.1%
170UTZBank of America Utz Brands Inc Class A Common Stock$30K$30K20.1%
171AGIOAgios Pharmaceuticals, Inc. - Common Stock$30K$30K20.1%
172CRNXBank of America Crinetics Pharmaceuticals, Inc. - Common Stock$30K$30K20.1%
173CACIBank of America CACI International, Inc. Class A Common Stock$80K$50K$30K40.1%
174PARBank of America PAR Technology Corporation Common Stock$30K$30K20.1%
175ELANU.S. Trust Holdings Elanco Animal Health Incorporated$30K$30K20.1%
176HLIOU.S. Trust Holdings Helios Technologies, Inc.$30K$30K20.1%
177ADCU.S. Trust Holdings Agree Realty Corporation$30K$30K20.1%
178PATKU.S. Trust Holdings Patrick Industries, Inc.$30K$30K20.1%
179HAEU.S. Trust Holdings Haemonetics Corporation$30K$30K20.1%
180PEPU.S. Trust Holdings Pepsico, Inc.$30K$30K20.1%
181IARTU.S. Trust Holdings Integra LifeSciences Holdings Corporation$30K$30K20.1%
182POLU.S. Trust Holdings Polyone Corporation$80K$50K$30K40.1%
183ECOLU.S. Trust Holdings US Ecology, Inc.$30K$30K20.1%
184HLIU.S. Trust Holdings Houlihan Lokey, Inc. Class a$30K$30K20.1%
185RYAOFU.S. Trust Holdings Ryanair Holdings plc ordinary Shares$30K$30K20.1%
186MINIRaymond James - Multi-Margin Related account a Mobile Mini, Inc.$30K$30K30.1%
187JECU.S. Trust Holdings Jacobs Engineering Group Inc.$30K$30K20.1%
188PLNTU.S. Trust Holdings Planet Fitness, Inc.$125K$100K$25K80.1%
189TKOBank of America TKO Group Holdings, Inc. Class A Common Stock$15K$15K10.1%
190LGNWells Fargo Advisors Legence Corp. - Class A Common stock$15K$15K10.1%
191ABTAbbott Laboratories Common Stock$15K$15K10.1%
192AREBank of America Alexandria Real Estate Equities, Inc. Common Stock$15K$15K10.1%
193AMCRBank of America Amcor plc Ordinary Shares$15K$15K10.1%
194APOBank of America Apollo Global Management, Inc.$15K$15K10.1%
195AZOAutoZone, Inc. Common Stock$15K$15K10.1%
196BRK.BBerkshire Hathaway Inc. New Common Stock$30K$15K$15K30.1%
197BROBank of America Brown & Brown, Inc. Common Stock$15K$15K10.1%
198BXPBank of America BXP, Inc. Common Stock$30K$15K$15K30.1%
199Bank of America Cameco Corporation Common Stock$15K$15K10.1%
200CTRABank of America Coterra Energy Inc. Common Stock$15K$15K10.1%
201DHIBank of America D.R. Horton, Inc. Common Stock$15K$15K10.1%
202DECKBank of America Deckers Outdoor Corporation$15K$15K10.1%
203LLYBank of America Eli Lilly and Company Common Stock$30K$15K$15K30.1%
204EGBank of America Everest Group, Ltd. Common Stock$15K$15K10.1%
205EXEBank of America Expand Energy Corporation - Common Stock$15K$15K10.1%
206FDSBank of America FactSet Research Systems Inc. Common Stock$15K$15K10.1%
207FISBank of America Fidelity National Information Services, Inc. Common Stock$30K$15K$15K30.1%
208FCXBank of America Freeport-McMoRan, Inc. Common Stock$60K$45K$15K70.1%
209GEVBank of America GE Vernova Inc. Common Stock$15K$15K10.1%
210HONBank of America Honeywell International Inc.$15K$15K10.1%
211Bank of America International Business Machines$15K$15K10.1%
212IFFBank of America International Flavors & Fragrances, Inc. Common Stock$15K$15K10.1%
213IPBank of America International Paper Company Common Stock$30K$15K$15K30.1%
214LENBank of America Lennar Corporation Class A Common Stock$30K$15K$15K30.1%
215MTBBank of America M&T Bank Corporation Common Stock$15K$15K10.1%
216MCKBank of America McKesson Corporation Common Stock$45K$30K$15K50.1%
217MRKBank of America Merck & Company, Inc. Common Stock$95K$80K$15K70.1%
218TAPBank of America Molson Coors Beverage Company Class B Common Stock$30K$15K$15K30.1%
219OKEBank of America ONEOK, Inc. Common Stock$15K$15K10.1%
220SWSmurfit WestRock plc Ordinary Shares$15K$15K10.1%
221TSMBank of America Taiwan Semiconductor Manufacturing Company Ltd.$15K$15K10.1%
222CPBBank of America The Campbell's Company - Common Stock$15K$15K10.1%
223WBDBank of America Warner Bros. Discovery, Inc. - Series A Common Stock$15K$15K10.1%
224BCRXBank of America BioCryst Pharmaceuticals, Inc. - Common Stock$15K$15K10.1%
225KVUEKenvue Inc. Common Stock$15K$15K10.1%
226LULUBank of America lululemon athletica inc. - Common Stock$15K$15K10.1%
227SBACBank of America SBA Communications Corporation - Class A Common Stock$15K$15K10.1%
228VTRBank of America Ventas, Inc. Common Stock$30K$15K$15K30.1%
229KKRBank of America KKR & Co. Inc. Common Stock$30K$15K$15K30.1%
230CNSBank of America Cohen & Steers Inc Common Stock$30K$15K$15K30.1%
231CRDOBank of America Credo Technology Group Holding Ltd - Ordinary Shares$15K$15K10.1%
232CCJBank of America Cameco Corporation Common Stock$15K$15K10.1%
233FLEXBank of America Flex Ltd. - Ordinary Shares$60K$45K$15K70.1%
234METABank of America Meta Platforms, Inc. - Class A Common Stock$15K$15K10.1%
235Bank of America Spotify Technology S.A. Ordinary$15K$15K10.1%
236Bank of America Taiwan Semiconductor Manufacturing$15K$15K10.1%
237AZTAAzenta, Inc. - Common Stock$15K$15K10.1%
238CYTKBank of America Cytokinetics, Incorporated - Common Stock$15K$15K10.1%
239AVAVAeroVironment, Inc. - Common Stock$15K$15K10.1%
240COLBBank of America Columbia Banking System, Inc. - Common Stock$15K$15K10.1%
241SKWDSkyward Specialty Insurance Group, Inc. - Common Stock$15K$15K10.1%
242Bank of America Solaris Energy Infrastructure, Inc.$15K$15K10.1%
243APABank of America APA Corporation - Common Stock$15K$15K10.1%
244ELVBank of America Elevance Health, Inc. Common Stock$30K$15K$15K30.1%
245CDRECadre Holdings, Inc. Common Stock$15K$15K10.1%
246ENGQFBank of America ENGIE SA ORD$15K$15K10.1%
247NEOBank of America NeoGenomics, Inc. - Common Stock$15K$15K10.1%
248SEIBank of America Solaris Energy Infrastructure, Inc. Class A Common Stock$15K$15K10.1%
249BDRFFBeiersdorf A G Ordinary Shares$15K$15K10.1%
250ARMKBank of America Aramark Common Stock$15K$15K10.1%
251CBZBank of America CBIZ, Inc. Common Stock$15K$15K10.1%
252TNDMBank of America Tandem Diabetes Care, Inc. - Common Stock$15K$15K10.1%
253Bank of America The Vita Coco Company, Inc. -$15K$15K10.1%
254HLMNBank of America Hillman Solutions Corp. - Common Stock$15K$15K10.1%
255FNABank of America Paragon 28, Inc. Common Stock$15K$15K10.1%
256Bank of America Walgreens Boots Alliance, Inc. -$15K$15K10.1%
257U.S. Trust Holdings Facebook, Inc. - Class A (Fb)$45K$30K$15K50.1%
258CSTLU.S. Trust Holdings Castle biosciences, Inc. - Common stock$15K$15K10.1%
259ABBVAbbVie Inc.$15K$15K10.1%
260LUMNU.S. Trust Holdings CenturyLink, Inc. d/b/a Lumen Technologies, Inc.$15K$15K10.1%
261FTDRU.S. Trust Holdings frontdoor, inc.$15K$15K10.1%
262GEU.S. Trust Holdings General Electric Company$60K$45K$15K70.1%
263GILDU.S. Trust Holdings Gilead Sciences, Inc.$30K$15K$15K30.1%
264BRKSU.S. Trust Holdings brooks Automation, Inc.$15K$15K10.1%
265CRNCU.S. Trust Holdings Cerence Inc.$15K$15K10.1%
266CYRXU.S. Trust Holdings CryoPort, Inc.$30K$15K$15K30.1%
267SHYFU.S. Trust Holdings The Shyft Group, Inc.$15K$15K10.1%
268VRTUVirtusa Corporation$45K$30K$15K50.1%
269OCFCU.S. Trust Holdings OceanFirst Financial Corp.$15K$15K10.1%
270TELTE Connectivity Ltd. New Switzerland Registered Shares$15K$15K10.1%
271ABCBU.S. Trust Holdings Ameris bancorp$15K$15K10.1%
272U.S. Trust Holdings Endava plc American depositary$15K$15K10.1%
273NKEU.S. Trust Holdings Nike, Inc.$30K$15K$15K30.1%
274AIGU.S. Trust Holdings American International Group, Inc. New$30K$15K$15K30.1%
275CCLU.S. Trust Holdings Carnival Corporation$15K$15K10.1%
276TDYU.S. Trust Holdings Teledyne Technologies Incorporated$15K$15K10.1%
277ATVIActivision Blizzard, Inc$125K$110K$15K110.1%
278NWENorthWestern Corporation$15K$15K10.1%
279EBSBU.S. Trust Holdings Meridian bancorp, Inc.$30K$15K$15K30.1%
280AONU.S. Trust Holdings Aon plc Class A Ordinary Shares$15K$15K10.1%
281BCPCU.S. Trust Holdings balchem Corporation$15K$15K10.1%
282OLLIU.S. Trust Holdings Ollie's bargain Outlet Holdings, Inc.$30K$15K$15K30.1%
283U.S. Trust Holdings duPont de Nemours, Inc. (dd)$45K$30K$15K50.1%
284FRCU.S. Trust Holdings FIRST REPUBLIC BANK$15K$15K10.1%
285MKCRaymond James - Multi-Margin Related account a McCormick & Company, Incorporated$15K$15K10.1%
286TMUSU.S. Trust Holdings T-Mobile US, Inc.$15K$15K10.1%
287TWTRU.S. Trust Holdings Twitter, Inc.$60K$45K$15K70.1%
288U.S. Trust Holdings ameris bancorp (abCb)$15K$15K10.1%
289U.S. Trust Holdings abIoMEd, Inc. (abMd)$15K$15K10.1%
290U.S. Trust Holdings aon plc Class a ordinary Shares (aoN)$15K$15K20.1%
291SEERaymond James - Multi-Margin Related account a Sealed air Corporation$65K$50K$15K30.1%
292ALGTU.S. Trust Holdings allegiant Travel Company$30K$15K$15K30.1%
293GBCIU.S. Trust Holdings Glacier bancorp, Inc.$15K$15K10.1%
294HTLDU.S. Trust Holdings Heartland Express, Inc.$15K$15K10.1%
295U.S. Trust Holdings IdaCoRP, Inc. (Ida)$15K$15K10.1%
296NHIU.S. Trust Holdings National Health Investors, Inc.$15K$15K10.1%
297U.S. Trust Holdings abbott Laboratories (abT)$15K$15K10.1%
298U.S. Trust Holdings berkshire Hathaway Inc. New (BRK.b)$15K$15K10.1%
299CAHU.S. Trust Holdings Cardinal Health, Inc.$15K$15K10.1%
300CFGU.S. Trust Holdings Citizens Financial Group, Inc.$15K$15K10.1%
301CTVAU.S. Trust Holdings Corteva, Inc.$30K$15K$15K40.1%
302DISCAU.S. Trust Holdings discovery, Inc. - Series a$15K$15K10.1%
303EXCU.S. Trust Holdings Exelon Corporation$15K$15K10.1%
304FITBU.S. Trust Holdings Fifth Third bancorp$15K$15K10.1%
305FLTU.S. Trust Holdings FleetCor Technologies, Inc.$15K$15K10.1%
306PEAKU.S. Trust Holdings Healthpeak Properties, Inc.$15K$15K10.1%
307HBANU.S. Trust Holdings Huntington bancshares Incorporated$15K$15K10.1%
308INFOU.S. Trust Holdings IHS Markit Ltd. Common Shares$15K$15K10.1%
309LVSU.S. Trust Holdings Las Vegas Sands Corp.$15K$15K10.1%
310LYVU.S. Trust Holdings Live Nation Entertainment, Inc.$15K$15K10.1%
311MCHPU.S. Trust Holdings Microchip Technology Incorporated$15K$15K10.1%
312NATIU.S. Trust Holdings National Instruments Corporation$15K$15K10.1%
313NTRSU.S. Trust Holdings Northern Trust Corporation$15K$15K10.1%
314PAYXU.S. Trust Holdings Paychex, Inc.$15K$15K10.1%
315PRGOU.S. Trust Holdings Perrigo Company plc ordinary Shares$15K$15K10.1%
316PNCPNC Financial Services Group, Inc.$15K$15K10.1%
317PGRU.S. Trust Holdings Progressive Corporation$15K$15K10.1%
318PEGU.S. Trust Holdings Public Service Enterprise Group Incorporated$15K$15K10.1%
319PVHU.S. Trust Holdings PVH Corp.$15K$15K10.1%
320ROPU.S. Trust Holdings Roper Technologies, Inc.$15K$15K10.1%
321RCLU.S. Trust Holdings Royal Caribbean Cruises Ltd.$15K$15K10.1%
322TTWOU.S. Trust Holdings Take-Two Interactive Software, Inc.$15K$15K10.1%
323UNPU.S. Trust Holdings Union Pacific Corporation$15K$15K10.1%
324UHSU.S. Trust Holdings Universal Health Services, Inc.$15K$15K10.1%
325VRSNU.S. Trust Holdings VeriSign, Inc.$15K$15K10.1%
326WYU.S. Trust Holdings Weyerhaeuser Company$30K$15K$15K30.1%
327VIACU.S. Trust Holdings ViacomCbS Inc. - Class b$15K$15K10.1%
328CMPU.S. Trust Holdings Compass Minerals Intl Inc$30K$15K$15K30.1%
329RHPU.S. Trust Holdings Ryman Hospitality Properties, Inc.$15K$15K10.1%
330IVZU.S. Trust Holdings Invesco Ltd$30K$15K$15K30.1%
331SERVU.S. Trust Holdings ServiceMaster Global Holdings, Inc.$15K$15K10.1%
332U.S. Trust Holdings Insulet Corporation (Podd)$30K$15K$15K30.1%
333CATYU.S. Trust Holdings Cathay General bancorp$15K$15K10.1%
334U.S. Trust Holdings Filing Id #20012253 alliance data Systems Corporation (adS)$15K$15K10.1%
335ROLLU.S. Trust Holdings RBC bearings Incorporated$15K$15K10.1%
336DGXU.S. Trust Holdings Quest diagnostics Incorporated$15K$15K10.1%
337U.S. Trust Holdings Canada Goose Holdings Inc.$15K$15K10.1%
338WFCWells Fargo Advisors Wells Fargo & Company Common Stock$95K$90K$5K100.0%
339ROKUU.S. Trust Holdings Roku, Inc. - Class A$100K$95K$5K60.0%
340SPOTBank of America Spotify Technology S.A. Ordinary Shares$15K$15K$02
341SFBank of America Stifel Financial Corporation Common Stock$15K$15K$02
342SQBank of America Block, Inc. Class A Common Stock,$130K$130K$07
343DOWBank of America Dow Inc. Common Stock$15K$15K$02
344INTCBank of America Intel Corporation - Common Stock$15K$15K$02
345VTRSBank of America Viatris Inc. - Common Stock$15K$15K$03
346ZTSZoetis Inc. Class A Common Stock$15K$15K$02
347INTAIntapp, Inc. - Common Stock$30K$30K$04
348MTSIBank of America MACOM Technology Solutions Holdings, Inc. - Common Stock$30K$30K$04
349BABank of America Boeing Company$30K$30K$04
350BMYBank of America Bristol-Myers Squibb Company Common Stock$60K$60K$08
351CAGBank of America ConAgra Brands, Inc. Common Stock$45K$45K$06
352IBMBank of America International Business Machines Corporation Common Stock$30K$30K$04
353MOHMolina Healthcare Inc Common Stock$30K$30K$04
354OXYBank of America Occidental Petroleum Corporation Common Stock$15K$15K$02
355OBank of America Realty Income Corporation Common Stock$15K$15K$02
356SMCIBank of America Super Micro Computer, Inc. - Common Stock$15K$15K$02
357VCYTBank of America Veracyte, Inc. - Common Stock$60K$60K$08
358RSNHFRESONA HOLDINGS INC$15K$15K$02
359SAPBank of America SAP SE ADS$15K$15K$02
360QBank of America Qnity Electronics, Inc. Common Stock$01
361DSGXBank of America The Descartes Systems Group Inc. - Common Stock$15K$15K$02
362MEDPBank of America Medpace Holdings, Inc. - Common Stock$30K$30K$04
363Bank of America Anaheim CA Elementary School District GO Bonds$250K$250K$02
364ARISWells Fargo Advisors Aris Water Solutions, Inc. Class A Common Stock$100K$100K$03
365OKTABank of America Okta, Inc. - Class A Common Stock$15K$15K$02
366KMIBank of America Kinder Morgan, Inc. Common Stock$30K$30K$04
367NOCBank of America Northrop Grumman Corporation Common Stock$15K$15K$02
368METBank of America MetLife, Inc. Common Stock$15K$15K$02
369CNCCentene Corporation Common Stock$60K$60K$08
370SLBBank of America Schlumberger N.V. Common Stock$15K$15K$02
371ASMLYork Registry Shares$15K$15K$02
372BOOTBank of America Boot Barn Holdings, Inc. Common Stock$15K$15K$02
373ORLYBank of America O'Reilly Automotive, Inc. - Common Stock$15K$15K$02
374YUMBank of America Yum! Brands, Inc.$15K$15K$02
375CPRIBank of America Capri Holdings Limited Ordinary Shares$15K$15K$02
376FBank of America Ford Motor Company Common Stock$60K$60K$08
377HALOBank of America Halozyme Therapeutics, Inc. - Common Stock$15K$15K$02
378AKAMAkamai Technologies, Inc. - Common Stock$15K$15K$02
379ALGNBank of America Align Technology, Inc. - Common Stock$60K$60K$08
380DGBank of America Dollar General Corporation Common Stock$15K$15K$02
381WBABank of America Walgreens Boots Alliance, Inc. - Common Stock$15K$15K$02
382CCIBank of America Crown Castle Inc. Common Stock$30K$30K$04
383CVSBank of America CVS Health Corporation Common Stock$30K$30K$04
384SJMBank of America The J.M. Smucker Company Common Stock$15K$15K$02
385TU.S. Trust Holdings AT&T Inc.$80K$80K$06
386BIIBU.S. Trust Holdings biogen Inc.$45K$45K$06
387DXCMU.S. Trust Holdings dexCom, Inc.$15K$15K$02
388DLRU.S. Trust Holdings digital Realty Trust, Inc.$15K$15K$02
389INCYU.S. Trust Holdings Incyte Corporation$15K$15K$02
390NBIXU.S. Trust Holdings Neurocrine biosciences, Inc.$15K$15K$02
391CCMPU.S. Trust Holdings CMC Materials, Inc.$15K$15K$02
392SYNHSyneos Health, Inc. - Class A$15K$15K$02
393ETFCU.S. Trust Holdings E*TRADE Financial Corporation$01
394PKIU.S. Trust Holdings PerkinElmer, Inc.$15K$15K$02
395KEYU.S. Trust Holdings KeyCorp$15K$15K$02
396VNOU.S. Trust Holdings Vornado Realty Trust$15K$15K$02
397RXNU.S. Trust Holdings Rexnord Corporation$30K$30K$04
398AGNU.S. Trust Holdings Allergan plc Ordinary Shares$30K$30K$04
399MMM3M Company$15K$15K$02
400U.S. Trust Holdings boeing Company (ba)$30K$30K$04
401CTLU.S. Trust Holdings CenturyLink, Inc.$45K$45K$06
402CFU.S. Trust Holdings CF Industries Holdings, Inc.$15K$15K$02
403U.S. Trust Holdings Chubb Limited (Cb)$15K$15K$02
404CU.S. Trust Holdings Citigroup, Inc.$15K$15K$02
405CLU.S. Trust Holdings Colgate-Palmolive Company$30K$30K$04
406U.S. Trust Holdings dow Inc. (doW)$15K$15K$02
407BENU.S. Trust Holdings Franklin Resources, Inc.$15K$15K$02
408GSGoldman Sachs Group, Inc.$15K$15K$02
409HRBU.S. Trust Holdings H&R block, Inc.$15K$15K$02
410HOGU.S. Trust Holdings Harley-davidson, Inc.$15K$15K$02
411IPGU.S. Trust Holdings Interpublic Group of Companies, Inc.$15K$15K$02
412NWSAU.S. Trust Holdings News Corporation - Class a$15K$15K$02
413NWSU.S. Trust Holdings News Corporation - Class b$15K$15K$02
414NUEU.S. Trust Holdings Nucor Corporation$30K$30K$04
415SPGU.S. Trust Holdings Simon Property Group, Inc.$30K$30K$04
416SYFU.S. Trust Holdings Synchrony Financial$15K$15K$02
417U.S. Trust Holdings The bank of New York Mellon Corporation (bK)$15K$15K$02
418TFCU.S. Trust Holdings Truist Financial Corporation$15K$15K$02
419WELLU.S. Trust Holdings Welltower Inc.$15K$15K$02
420CARRU.S. Trust Holdings Carrier Global Corporation$01
421GOOSU.S. Trust Holdings Canada Goose Holdings Inc. Subordinate Voting Shares$110K$110K$010
422AMGU.S. Trust Holdings affiliated Managers Group, Inc.$15K$15K$02
423GOOGU.S. Trust Holdings alphabet Inc. - Class C Capital Stock$15K$15K$02
424ANTMU.S. Trust Holdings anthem, Inc.$15K$15K$02
425COFU.S. Trust Holdings Capital one Financial Corporation$15K$15K$02
426COTYU.S. Trust Holdings Coty Inc. Class a$30K$30K$04
427DLTRU.S. Trust Holdings dollar Tree, Inc.$15K$15K$02
428U.S. Trust Holdings General dynamics Corporation (Gd)$15K$15K$02
429U.S. Trust Holdings L brands, Inc. (Lb)$15K$15K$02
430LINU.S. Trust Holdings Linde plc ordinary Share$15K$15K$02
431LYBRaymond James - Multi-Margin Related account a Lyondellbasell Industries NV ordinary Shares Class a$15K$15K$02
432MGMU.S. Trust Holdings MGM Resorts International$15K$15K$02
433SLGU.S. Trust Holdings SL Green Realty Corp$15K$15K$02
434STTU.S. Trust Holdings State Street Corporation$15K$15K$02
435STEU.S. Trust Holdings STERIS plc$15K$15K$03
436KHCU.S. Trust Holdings The Kraft Heinz Company$45K$45K$06
437UNMU.S. Trust Holdings Unum Group$15K$15K$02
438GWWU.S. Trust Holdings W.W. Grainger, Inc.$15K$15K$02
439WRKU.S. Trust Holdings Westrock Company$15K$15K$02
440EXASU.S. Trust Holdings Exact Sciences Corporation$15K$15K$02
441U.S. Trust Holdings alliance data Systems Corporation (adS)$30K$30K$04
442FDXU.S. Trust Holdings FedEx Corporation$30K$30K$04
443MU.S. Trust Holdings Macy's Inc$15K$15K$02
444CHUYU.S. Trust Holdings Chuy's Holdings, Inc.$15K$15K$02
445WCGU.S. Trust Holdings Wellcare Health Plans, Inc.$15K$15K$03
446FOXAU.S. Trust Holdings Fox Corporation - Class a$15K$15K$02
447KSSU.S. Trust Holdings Kohl's Corporation$15K$15K$02
448MYLU.S. Trust Holdings Mylan N.V.$15K$15K$02
449NLSNU.S. Trust Holdings Nielsen N.V. ordinary Shares$15K$15K$02
450JWNU.S. Trust Holdings Nordstrom, Inc.$15K$15K$02
451CMPRU.S. Trust Holdings Cimpress PLC - ordinary Shares$01
452VARU.S. Trust Holdings Varian Medical Systems, Inc.$15K$15K$02
453CELGU.S. Trust Holdings Celgene Corporation$15K$15K$02
454IBKCU.S. Trust Holdings IbERIabaNK Corporation$15K$15K$02
455U.S. Trust Holdings albemarle Corporation (aLb)$15K$15K$02
456U.S. Trust Holdings archer-daniels-Midland Company (adM)$15K$15K$02
457MNSTU.S. Trust Holdings Monster beverage Corporation$15K$15K$02
458NEMU.S. Trust Holdings Newmont Goldcorp Corporation$15K$15K$02
459QCOMU.S. Trust Holdings QUALCOMM Incorporated$15K$15K$02
460U.S. Trust Holdings amerisourcebergen Corporation (abC)$15K$15K$02
461FLRU.S. Trust Holdings Fluor Corporation$15K$15K$02
462TFCFAU.S. Trust Holdings Twenty-First Century Fox, Inc. - Class a$01
463TFCFdisney's acquisition of assets from Twenty-First Century Fox and spin-off of Fox Corporation. Twenty-First Century Fox, Inc. - Class b$01
464SCGU.S. Trust Holdings SCANA Corporation$01
465PRIMBank of America Primoris Services Corporation$15K$30K-$15K3
466CMGBank of America Chipotle Mexican Grill, Inc. Common Stock$15K$30K-$15K3
467BYDDFBank of America BYD Company Ltd H Shares$15K-$15K1
468CLXBank of America Clorox Company$15K-$15K1
469DDBank of America DuPont de Nemours, Inc. Common Stock$15K-$15K1
470HUMBank of America Humana Inc. Common Stock$45K$60K-$15K7
471KMBBank of America Kimberly-Clark Corporation Common Stock$15K-$15K1
472ITTBank of America ITT Inc. Common Stock$15K-$15K1
473SPXCBank of America SPX Technologies, Inc. Common Stock$15K-$15K1
474AORTBank of America Artivion, Inc. Common Stock$15K-$15K1
475BWINBank of America The Baldwin Insurance Group, Inc. - Class A Common Stock$15K-$15K1
476USBBank of America U.S. Bancorp Common Stock$30K$45K-$15K5
477WMBank of America Waste Management, Inc. Common Stock$15K-$15K1
478MMCBank of America Marsh & McLennan Companies, Inc. Common Stock$15K-$15K1
479SYYBank of America Sysco Corporation Common Stock$15K$30K-$15K3
480VLOValero Energy Corporation Common Stock$15K-$15K1
481Bank of America Oracle Corporation Common Stock$15K-$15K1
482ANSSBank of America ANSYS, Inc. - Common Stock$15K-$15K2
483MGYBank of America Magnolia Oil & Gas Corporation Class A Common Stock$15K-$15K1
484DSKYFBank of America Daiichi Sankyo Co Ltd Ordinary Shares$15K-$15K1
485RIOBank of America Rio Tinto Plc Common Stock$15K-$15K1
486NEEBank of America NextEra Energy, Inc. Common Stock$15K-$15K1
487COPBank of America ConocoPhillips Common Stock$15K-$15K1
488PLDBank of America Prologis, Inc. Common Stock$15K-$15K1
489SMFNFSumitomo Mitsui Financial Group Inc Ordinary Shares$15K-$15K1
490HLTBank of America Hilton Worldwide Holdings Inc. Common Stock$15K-$15K1
491Bank of America DT Midstream, Inc. Common Stock$15K-$15K1
492DXCBank of America DXC Technology Company Common Stock$30K$45K-$15K5
493ZIONBank of America Zions Bancorporation N.A. - Common Stock$15K-$15K1
494FLYWCommon Stock$15K-$15K1
495CHXBank of America ChampionX Corporation$15K-$15K1
496TMEWells Fargo Advisors Tencent Music Entertainment Group American Depositary Shares, each representing two Class A Ordinary Shares$15K-$15K1
497HSICBank of America Henry Schein, Inc. - Common Stock$15K-$15K1
498HOLXBank of America Hologic, Inc. - Common Stock$15K-$15K1
499LHBank of America Labcorp Holdings Inc. Common Stock$15K$30K-$15K3
500WYNNBank of America Wynn Resorts, Limited - Common Stock$15K$30K-$15K3
501RBABank of America RB Global, Inc. Common Stock$15K$30K-$15K3
502ANCTFALIMENTATION COUCHE-TARD$15K-$15K1
503Bank of America Paragon 28, Inc. Common Stock$15K-$15K1
504DHRBank of America Danaher Corporation Common Stock$15K-$15K1
505ICFIICF International, Inc. - Common Stock$30K$45K-$15K5
506ABNBBank of America Airbnb, Inc. - Class A Common Stock$15K-$15K1
507DDominion Energy, Inc. Common Stock$15K-$15K1
508Bank of America Quest Diagnostics Incorporated$15K-$15K1
509KLACBank of America KLA Corporation - Common Stock$15K$30K-$15K3
510dominion Energy, Inc. (d)$15K-$15K1
511RTXU.S. Trust Holdings Raytheon Technologies Corporation$15K$30K-$15K5
512HELEU.S. Trust Holdings Helen of Troy Limited$15K$30K-$15K3
513RCIU.S. Trust Holdings Rogers Communication, Inc.$15K-$15K1
514LHCGU.S. Trust Holdings LHC Group - common stock$15K$30K-$15K3
515WBSU.S. Trust Holdings Webster Financial Corporation$15K$30K-$15K3
516WSCU.S. Trust Holdings WillScot Mobile Mini Holdings Corp. - Class A$15K-$15K1
517IDXXU.S. Trust Holdings IDEXX Laboratories, Inc.$45K$60K-$15K7
518OTISU.S. Trust Holdings Otis Worldwide Corporation$15K-$15K2
519BKThe Bank of New York Mellon Corporation$15K-$15K1
520UDRU.S. Trust Holdings UDR, Inc.$15K-$15K1
521LADU.S. Trust Holdings Lithia Motors, Inc.$15K-$15K1
522QTSU.S. Trust Holdings QTS Realty Trust, Inc. Class A$15K-$15K1
523WDFCU.S. Trust Holdings Wd-40 Company$15K$30K-$15K3
524U.S. Trust Holdings belden Inc (bdC)$15K$30K-$15K3
525U.S. Trust Holdings Central Garden & Pet Company$15K-$15K1
526GLWU.S. Trust Holdings Corning Incorporated$15K-$15K1
527U.S. Trust Holdings LOS RIOS Ca COMMUNTY COLLEGE DISTRICT$15K-$15K1
528U.S. Trust Holdings Realty Income Corporation (o)$15K-$15K1
529TJXU.S. Trust Holdings TJX Companies, Inc.$15K-$15K1
530VFCU.S. Trust Holdings V.F. Corporation$15K-$15K1
531U.S. Trust Holdings Walgreens boots alliance, Inc. (Wba)$45K$60K-$15K7
532AIRU.S. Trust Holdings aaR Corp.$15K-$15K1
533EXLSU.S. Trust Holdings ExlService Holdings, Inc.$15K-$15K1
534GLOBU.S. Trust Holdings Globant S.a. Common Shares$15K$30K-$15K3
535AFLU.S. Trust Holdings Filing Id #20016402 AFLAC Incorporated$15K-$15K1
536BHFU.S. Trust Holdings brighthouse Financial, Inc.$15K-$15K1
537CNPU.S. Trust Holdings CenterPoint Energy, Inc$15K-$15K1
538CTSHU.S. Trust Holdings Cognizant Technology Solutions Corporation - Class a$15K-$15K1
539CMAU.S. Trust Holdings Comerica Incorporated$15K-$15K1
540U.S. Trust Holdings delta air Lines, Inc. (daL)$15K-$15K1
541DFSU.S. Trust Holdings discover Financial Services$15K-$15K1
542EMNU.S. Trust Holdings Eastman Chemical Company$15K-$15K1
543HIGU.S. Trust Holdings Hartford Financial Services Group, Inc.$15K-$15K1
544HPEU.S. Trust Holdings Hewlett Packard Enterprise Company$15K-$15K1
545HSTU.S. Trust Holdings Host Hotels & Resorts, Inc.$15K-$15K1
546IRMU.S. Trust Holdings Iron Mountain Incorporated$15K$30K-$15K3
547JEFU.S. Trust Holdings Jefferies Financial Group Inc.$15K-$15K1
548KIMU.S. Trust Holdings Kimco Realty Corporation$15K-$15K1
549LNCU.S. Trust Holdings Lincoln National Corporation$15K-$15K1
550MDTU.S. Trust Holdings Medtronic plc. ordinary Shares$15K-$15K1
551MOSU.S. Trust Holdings Mosaic Company$30K$45K-$15K5
552NWLU.S. Trust Holdings Newell brands Inc.$15K$30K-$15K3
553PPLU.S. Trust Holdings PPL Corporation$15K-$15K1
554PFGU.S. Trust Holdings Principal Financial Group Inc$15K-$15K1
555PRUU.S. Trust Holdings Prudential Financial, Inc.$15K-$15K1
556SWKU.S. Trust Holdings Stanley black & decker, Inc.$15K-$15K1
557TRVU.S. Trust Holdings The Travelers Companies, Inc.$15K-$15K1
558TSNU.S. Trust Holdings Tyson Foods, Inc.$15K-$15K1
559URIU.S. Trust Holdings United Rentals, Inc.$15K-$15K1
560WDCU.S. Trust Holdings Western digital Corporation$15K-$15K1
561NCLHU.S. Trust Holdings Norwegian Cruise Line Holdings Ltd. ordinary Shares$15K-$15K1
562JBTU.S. Trust Holdings John bean Technologies Corporation$15K-$15K1
563PFPTU.S. Trust Holdings Proofpoint, Inc.$15K-$15K1
564U.S. Trust Holdings RBC bearings Incorporated$15K-$15K1
565UBSIU.S. Trust Holdings United bankshares, Inc.$15K$30K-$15K3
566MACU.S. Trust Holdings Macerich Company$30K$45K-$15K5
567U.S. Trust Holdings California Department of Water Resources$15K-$15K1
568CENTAU.S. Trust Holdings Filing Id #20013867 Central Garden & Pet Company - Class a Common Stock Nonvoting$15K-$15K1
569albemarle Corporation (aLb)$15K-$15K1
570CBSU.S. Trust Holdings CBS Corporation Class b$15K-$15K1
571EXPEU.S. Trust Holdings Expedia Group, Inc.$15K-$15K1
572VIABU.S. Trust Holdings Viacom Inc. - Class b$15K-$15K1
573CBMU.S. Trust Holdings Cambrex Corporation$15K-$15K1
574TUPU.S. Trust Holdings Tupperware brands Corporation$15K-$15K1
575abbVie Inc. (abbV)$15K-$15K1
576EWU.S. Trust Holdings Edwards Lifesciences Corporation$15K-$15K1
577PRAU.S. Trust Holdings Proassurance Corporation$15K-$15K1
578U.S. Trust Holdings LONG BEACH Ca UNIFIED$15K-$15K1
579TCBIU.S. Trust Holdings Texas Capital bancshares, Inc.$15K-$15K1
580LOPEU.S. Trust Holdings Grand Canyon Education, Inc.$15K-$15K1
581AMRXU.S. Trust Holdings Filing Id #20011797 amneal Pharmaceuticals, Inc. Class$15K-$15K1
582DWDPU.S. Trust Holdings dowduPont Inc.$15K-$15K2
583ARNCU.S. Trust Holdings arconic Inc.$15K-$15K1
584U.S. Trust Holdings Coca-Cola Company (Ko)$15K-$15K1
585U.S. Trust Holdings daVita Inc. (dVa)$15K-$15K1
586CTRPU.S. Trust Holdings Ctrip.com International, Ltd. - american depositary Shares$15K-$15K1
587DPLOU.S. Trust Holdings diplomat Pharmacy, Inc.$15K-$15K1
588IBPU.S. Trust Holdings Installed building Products, Inc.$15K-$15K1
589AIMCU.S. Trust Holdings altra Industrial Motion Corp.$15K-$15K1
590aCadIa Pharmaceuticals Inc. (aCad)$15K-$15K1
591BLKBU.S. Trust Holdings blackbaud, Inc.$15K-$15K1
592ESRXU.S. Trust Holdings Express Scripts Holding Company$15K-$15K1
593SNHYfollowing merger. Sun Hydraulics Corporation$15K-$15K1
594LUVBank of America Southwest Airlines Company Common Stock$60K$80K-$20K7
595RBCBank of America RBC Bearings Incorporated Common Stock$30K-$30K2
596SNPSBank of America Synopsys, Inc. - Common Stock$30K-$30K2
597UPSUnited Parcel Service, Inc. Common Stock$45K$75K-$30K8
598CIThe Cigna Group Common Stock$30K$60K-$30K6
599UFPIBank of America UFP Industries, Inc. - Common Stock$30K-$30K2
600STRLBank of America Sterling Infrastructure, Inc. - Common Stock$15K$45K-$30K4
601EIXBank of America Edison International Common Stock$30K-$30K2
602GTLSBank of America Chart Industries, Inc.$30K-$30K2
603MDLZBank of America Mondelez International, Inc. - Class A Common Stock$30K-$30K2
604CDNSBank of America Cadence Design Systems, Inc. - Common Stock$30K-$30K2
605PSABank of America Public Storage Common Stock$30K-$30K2
606FWONKLiberty Media Corporation - Series C Liberty Formula One Common Stock$30K-$30K2
607SLABBank of America Silicon Laboratories, Inc. - Common Stock$15K$45K-$30K4
608ITCIBank of America Intra-Cellular Therapies Inc.$30K-$30K2
609PANWBank of America Palo Alto Networks, Inc.$30K-$30K2
610GMBank of America General Motors Company Common Stock$30K-$30K2
611PCGBank of America Pacific Gas & Electric Co. Common Stock$30K-$30K2
612XRAYBank of America DENTSPLY SIRONA Inc. - Common Stock$30K-$30K2
613SPLKSplunk Inc.$15K$45K-$30K4
614CRMSalesforce.com Inc$15K$45K-$30K4
615PRAARaymond James - Multi-Margin Related Account A PRA Group, Inc.$30K-$30K2
616AMTDU.S. Trust Holdings Td Ameritrade Holding Corporation$15K$45K-$30K5
617U.S. Trust Holdings dominion Energy, Inc. (d)$30K-$30K2
618LU.S. Trust Holdings Loews Corporation$15K$45K-$30K4
619TCOMdepositary Shares$50K$80K-$30K4
620GMEDU.S. Trust Holdings Globus Medical, Inc. Class A$15K$45K-$30K4
621CMDU.S. Trust Holdings Cantel Medical Corp.$15K$45K-$30K4
622JU.S. Trust Holdings Jacobs Engineering Group Inc.$30K-$30K2
623CHDNU.S. Trust Holdings Churchill downs, Incorporated$15K$45K-$30K4
624U.S. Trust Holdings Lithia Motors, Inc. (Lad)$30K-$30K2
625U.S. Trust Holdings alibaba Group Holding Limited american depositary Shares each representing eight ordinary share (baba)$30K-$30K2
626PEBU.S. Trust Holdings Pebblebrook Hotel Trust Common Shares of beneficial Interest$15K$45K-$30K4
627WMGIU.S. Trust Holdings Wright Medical Group N.V. - ordinary Shares$15K$45K-$30K4
628OMCU.S. Trust Holdings omnicom Group Inc.$30K-$30K2
629U.S. Trust Holdings Facebook, Inc. - Class a (Fb)$30K-$30K2
630HCSGU.S. Trust Holdings Healthcare Services Group, Inc.$30K-$30K2
631NVDABank of America NVIDIA Corporation - Common Stock$125K$160K-$35K12
632PFEBank of America Pfizer, Inc. Common Stock$60K$95K-$35K8
633SWTXBank of America SpringWorks Therapeutics, Inc. - common stock$15K$50K-$35K2
634VRSKBank of America Verisk Analytics, Inc. - Common Stock$45K$90K-$45K9
635AVTRAvantor, Inc. Common Stock$45K-$45K3
636WRBBank of America W.R. Berkley Corporation Common Stock$45K$90K-$45K9
637EDUU.S. Trust Holdings New Oriental Education & Technology Group, Inc. Sponsored ADR representing 1 Ordinary Share$30K$75K-$45K7
638SITEU.S. Trust Holdings SiteOne Landscape Supply, Inc.$45K$90K-$45K9
639NICEdepositary Shares each representing one Ordinary Share$45K-$45K3
640FIVEU.S. Trust Holdings Five below, Inc.$15K$60K-$45K5
641QDELU.S. Trust Holdings Quidel Corporation$15K$60K-$45K5
642SLGNU.S. Trust Holdings Silgan Holdings Inc.$45K-$45K3
643POWIU.S. Trust Holdings Power Integrations, Inc.$45K-$45K3
644ENTGU.S. Trust Holdings Entegris, Inc.$30K$75K-$45K7
645MDSOU.S. Trust Holdings Medidata Solutions, Inc.$45K-$45K3
646Bank of America Long Beach, CA Unified School District Bonds$50K-$50K1
647Bank of America Calaveras County, CA GO Ref. Bonds$50K-$50K1
648LRCXBank of America Lam Research Corporation - Common Stock$50K-$50K1
649AMEU.S. Trust Holdings AMETEK, Inc.$50K-$50K1
650CRIU.S. Trust Holdings Carter's, Inc.$50K-$50K1
651ATHNFirst Republic Securities Company LLC Filing Id #20011260 athenahealth, Inc.$50K-$50K1
652First Republic Securities Company LLC LONG BEACH Ca HBR REV$50K-$50K1
653BSXBank of America Boston Scientific Corporation Common Stock$45K$105K-$60K10
654CMCSABank of America Comcast Corporation - Class A Common Stock$15K$75K-$60K6
655INSMInsmed Incorporated - Common Stock$60K-$60K4
656AMATU.S. Trust Holdings Applied Materials, Inc.$60K-$60K4
657PCTYU.S. Trust Holdings Paylocity Holding Corporation$60K-$60K4
658XLNXXilinx, Inc.$15K$75K-$60K6
659CTLTU.S. Trust Holdings Catalent, Inc.$45K$105K-$60K10
660ITU.S. Trust Holdings Gartner, Inc.$15K$75K-$60K6
661NOWServiceNow, Inc. Common Stock$45K$110K-$65K8
662WABBank of America Westinghouse Air Brake Technologies Corporation Common Stock$65K-$65K2
663CSLU.S. Trust Holdings Filing Id #20017157 Carlisle Companies Incorporated$65K-$65K2
664CGNXU.S. Trust Holdings Cognex Corporation$15K$80K-$65K4
665FTVBank of America Fortive Corporation Common Stock$15K$95K-$80K5
666GDDYBank of America GoDaddy Inc. Class A Common Stock$250K$335K-$85K24
667MSCIU.S. Trust Holdings MSCI Inc$90K-$90K6
668TEAMU.S. Trust Holdings atlassian Corporation Plc - Class a ordinary Shares$15K$105K-$90K8
669EPAMU.S. Trust Holdings EPAM Systems, Inc.$95K-$95K4
670Bank of America Wiseburn, CA, Unified School District GO Ref. A Bonds$100K-$100K1
671Bank of America Cajon Valley, CA, Unified School District GO Bonds$100K-$100K1
672Bank of America Healdsburg, CA Unified School Dist. GO Bonds$100K-$100K1
673Bank of America Oakland, CA GO Bonds$100K-$100K1
674RALBank of America Ralliant Corporation Common Stock$100K-$100K2
675Alameda County, CA Water District Financing Authority Bonds$100K-$100K1
676Bank of America San Diego, CA Unified School District GO Bonds$100K-$100K1
677DNKNU.S. Trust Holdings dunkin' brands Group, Inc.$100K-$100K1
678SCHWU.S. Trust Holdings Filing Id #20012735 Charles Schwab Corporation$100K-$100K1
679ALXNU.S. Trust Holdings Alexion Pharmaceuticals, Inc.$75K$180K-$105K9
680HUBSU.S. Trust Holdings HubSpot, Inc.$105K-$105K7
681IQVU.S. Trust Holdings IQVIA Holdings, Inc.$110K-$110K5
682MELIBank of America MercadoLibre, Inc. - Common Stock$30K$145K-$115K7
683VRTXU.S. Trust Holdings Vertex Pharmaceuticals Incorporated$115K-$115K3
684DOXBank of America Amdocs Limited - Ordinary Shares$155K-$155K8
685Bank of America Fountain Valley, CA Public Financing Authority Bonds$250K-$250K1
686Bank of America San Diego, CA, Cmnty. College Dist. GO Bonds$250K-$250K1
687Bank of America Perris, CA Union High School District GO Ref. Bonds$250K-$250K1
688Bank of America San Jacinto CA Uni. School Dist. GO Bonds$250K-$250K1
689Bank of America Selma, CA, Unified School District Bonds$250K-$250K1
690Bank of America Moreno Valley, CA, USD Bonds$250K-$250K1
691U.S. Trust Holdings California department of Water Resources$250K-$250K1
692Portola Valley, CA Sch. Dist. Go Bonds$500K-$500K1
693Bank of America California State Public Works Board Lease Rev. Bonds$500K-$500K1
694Bank of America Chula Vista, CA Elementary School Bonds$500K-$500K1
695Bank of America Eastern Municipal Water District Financing Authority, CA, Water & Wastewater Revenue Bonds$500K-$500K1
696Bank of America Gilroy, CA, Unified School District GO Bonds$500K-$500K1
697Bank of America Los Angeles County, CA, Met. Transportation Authority Bonds$500K-$500K1
698Bank of America Santa Clara County, CA, Financing Authority Bonds$500K-$500K1
699Bank of America Southwestern Community College Dist. CA, Bonds$500K-$500K1
700Bank of America Puente Basin Water Agency CA Bonds$500K-$500K1
701Bank of America U.S. Treasury Bills$500K-$500K1
702U.S. Trust Holdings SAN JOAQUIN CNTY CA TRANSN AUTH SALES TAX$500K-$500K1
703Raymond James - Multi-Margin Related account a LOS ANGELES Ca HaRboR DEPT$500K-$500K1
704U.S. Trust Holdings SANTA CLARA Ca UNIFIED SCHOOL DISTRICT$500K-$500K1
705U.S. Trust Holdings SCHERTZ CIboLo UNIVERSAL CITY TX$500K-$500K1
706Wells Fargo Advisors Bay Area Toll Authority, CA, Toll Bridge Revenue Bonds$1.0M-$1.0M1
707Bank of America California State GO Bonds$1.0M-$1.0M1
708LONG BEACH Ca HBR REV$1.0M-$1.0M1
709Raymond James - Multi-Margin Related account a LOS ANGELES CNTY Ca MET TRaNSPoRTaTIoN AUTHORITY$1.0M-$1.0M1