SMITH ASSET MANAGEMENT GROUP LP - Q1 2014 holdings

$2.62 Billion is the total value of SMITH ASSET MANAGEMENT GROUP LP's 405 reported holdings in Q1 2014. The portfolio turnover from Q4 2013 to Q1 2014 was - .

 Value Shares↓ Weighting
RHT NewRed Hat Inc$48,506,000917,606
+100.0%
1.85%
UNP NewUnion Pacific Corp$36,311,000193,163
+100.0%
1.38%
DPS NewDr Pepper Snapple Group Inc$29,632,000544,100
+100.0%
1.13%
SYK NewStryker Corp$29,526,000362,417
+100.0%
1.13%
GOOG NewGoogle Inc$28,939,00025,966
+100.0%
1.10%
FFIV NewF5 Networks Inc$28,428,000266,600
+100.0%
1.08%
A309PS NewDirectv$26,220,000343,100
+100.0%
1.00%
ENDP NewEndo International Plc$26,163,000381,100
+100.0%
1.00%
LVLT NewLevel 3 Communications Inc$22,764,000581,600
+100.0%
0.87%
BCR NewBard (c.r.) Inc$20,693,000140,767
+100.0%
0.79%
GILD NewGilead Sciences Inc$19,218,000270,808
+100.0%
0.73%
CVC NewCablevision Sys Corp -cl A$15,679,000929,382
+100.0%
0.60%
BRO NewBrown & Brown Inc$15,091,000490,600
+100.0%
0.58%
ZBRA NewZebra Technologies Cp -cl A$13,535,000195,000
+100.0%
0.52%
JAZZ NewJazz Pharmaceuticals Plc$12,065,00087,000
+100.0%
0.46%
STRZA NewStarz$11,143,000345,200
+100.0%
0.42%
AGN NewAllergan Inc$7,793,00062,800
+100.0%
0.30%
CTSH NewCognizant Tech Solutions$7,033,000139,000
+100.0%
0.27%
CRUS NewCirrus Logic Inc$4,310,000216,900
+100.0%
0.16%
UNF NewUnifirst Corp$4,098,00037,277
+100.0%
0.16%
JCOM NewJ2 Global Inc$4,018,00080,273
+100.0%
0.15%
MTRX NewMatrix Service Co$3,926,000116,230
+100.0%
0.15%
DW NewDrew Industries Inc$3,596,00066,342
+100.0%
0.14%
AIMC NewAltra Industrial Motion Corp$3,422,00095,850
+100.0%
0.13%
DXPE NewDxp Enterprises Inc$3,286,00034,620
+100.0%
0.12%
JJSF NewJ & J Snack Foods Corp$2,794,00029,110
+100.0%
0.11%
HLX NewHelix Energy Solutions Group$2,086,00090,778
+100.0%
0.08%
KERX NewKeryx Biopharmaceuticals Inc$1,399,00082,100
+100.0%
0.05%
EBS NewEmergent Biosolutions Inc$1,330,00052,614
+100.0%
0.05%
HURN NewHuron Consulting Group Inc$1,316,00020,770
+100.0%
0.05%
RCPT NewReceptos Inc$1,254,00029,910
+100.0%
0.05%
ADTN NewAdtran Inc$1,127,00046,170
+100.0%
0.04%
INSM NewInsmed Inc$1,089,00057,210
+100.0%
0.04%
TTPH NewTetraphase Pharmaceuticals$1,026,00094,187
+100.0%
0.04%
CNSL NewConsolidated Comm Hldgs Inc$966,00048,280
+100.0%
0.04%
LOGM NewLogmein Inc$960,00021,380
+100.0%
0.04%
CLDX NewCelldex Therapeutics Inc$901,00050,990
+100.0%
0.03%
CLW NewClearwater Paper Corp$793,00012,650
+100.0%
0.03%
FSS NewFederal Signal Corp$740,00049,680
+100.0%
0.03%
ZIOP NewZiopharm Oncology Inc$699,000152,660
+100.0%
0.03%
FOLD NewAmicus Therapeutics Inc$554,000267,480
+100.0%
0.02%
AON NewAon Plc$281,0003,336
+100.0%
0.01%
TYC NewTyco International Ltd$283,0006,683
+100.0%
0.01%
CM NewCanadian Imperial Bank$235,0002,722
+100.0%
0.01%
SCHYY NewSands China Ltd$197,0002,621
+100.0%
0.01%
IFF NewIntl Flavors & Fragrances$203,0002,117
+100.0%
0.01%
ORCL NewOracle Corp$123,0003,000
+100.0%
0.01%
MYL NewMylan Inc$134,0002,740
+100.0%
0.01%
MET NewMetlife Inc$79,0001,500
+100.0%
0.00%
PRU NewPrudential Financial Inc$85,0001,000
+100.0%
0.00%
UNH NewUnitedhealth Group Inc$82,0001,000
+100.0%
0.00%
MRK NewMerck & Co$85,0001,500
+100.0%
0.00%
NTRS NewNorthern Trust Corp$77,0001,170
+100.0%
0.00%
KAI NewKadant Inc$42,0001,160
+100.0%
0.00%
STRA NewStrayer Education Inc$52,0001,130
+100.0%
0.00%
DHT NewDht Holdings Inc$28,0003,590
+100.0%
0.00%
ANIP NewAni Pharmaceuticals Inc$32,0001,020
+100.0%
0.00%
AFAM NewAlmost Family Inc$33,0001,420
+100.0%
0.00%
BSTC NewBiospecifics Technologies Cp$39,0001,511
+100.0%
0.00%
CDI NewCdi Corp$23,0001,330
+100.0%
0.00%
FVE NewFive Star Quality Care Inc$33,0006,780
+100.0%
0.00%
IIIN NewInsteel Industries$20,0001,000
+100.0%
0.00%
XUE NewXueda Education Group -adr$32,0005,940
+100.0%
0.00%
CIMT NewCimatron Ltd$33,0004,590
+100.0%
0.00%
CKSW NewClicksoftware Technologies$33,0003,280
+100.0%
0.00%
WOR NewWorthington Industries$13,000343
+100.0%
0.00%
BHE NewBenchmark Electronics Inc$11,000494
+100.0%
0.00%
ANSS NewAnsys Inc$1,00018
+100.0%
0.00%
SO NewSouthern Co$5,000123
+100.0%
0.00%
PAYX NewPaychex Inc$1,00033
+100.0%
0.00%
M NewMacy's Inc$1,00023
+100.0%
0.00%
HSH NewHillshire Brands Co$1,00038
+100.0%
0.00%
GB NewGreatbatch Inc$12,000270
+100.0%
0.00%
VOD NewVodafone Group Plc$5,000133
+100.0%
0.00%
Other managers

Other managers that, in addition to the filing manager(s), that filed the EDGAR filing(s):

  • DundeeWealth US #1
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2014-04-23
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
Apple Inc33Q2 20218.6%
Microsoft Corp33Q2 20217.8%
Mcdonald's Corp33Q2 20212.8%
Discover Financial Svcs Inc33Q2 20210.9%
Wal-Mart Stores Inc33Q2 20211.3%
Chevron Corp33Q2 20210.8%
Johnson & Johnson33Q2 20212.3%
Travelers Cos Inc33Q2 20211.9%
Exxon Mobil Corp33Q2 20210.7%
Kimberly-Clark Corp33Q2 20211.8%

View SMITH ASSET MANAGEMENT GROUP LP's complete holdings history.

Latest filings
TypeFiled
13F-HR2021-08-06
13F-HR2021-05-07
13F-HR2021-02-09
13F-HR2020-11-04
13F-HR2020-08-06
13F-HR2020-05-12
13F-HR2020-02-04
13F-HR2019-11-12
13F-HR/A2019-08-15
13F-HR2019-08-08

View SMITH ASSET MANAGEMENT GROUP LP's complete filings history.

Compare quarters

Issues

The following issues were detected while analyzing the report:

  • The reported total value is incorrect (2623188000.0 != 2623201000.0)

Export SMITH ASSET MANAGEMENT GROUP LP's holdings