Bridgecreek Investment Management, LLC - Q2 2021 holdings

$688 Million is the total value of Bridgecreek Investment Management, LLC's 106 reported holdings in Q2 2021. The portfolio turnover from Q1 2021 to Q2 2021 was 5.8% .

 Value Shares↓ Weighting
AMZN SellAmazon.com Inc$37,534,000
+3.7%
10,910
-6.7%
5.46%
-2.6%
AAPL SellApple Inc$35,111,000
+3.8%
256,356
-7.4%
5.10%
-2.5%
IDXX SellIdexx Laboratories Inc$34,944,000
+21.5%
55,330
-5.9%
5.08%
+14.2%
PAYC SellPaycom Software Inc$31,442,000
-9.5%
86,505
-7.8%
4.57%
-14.9%
NVDA SellNVIDIA Corp$28,820,000
+36.7%
36,020
-8.8%
4.19%
+28.5%
FTNT SellFortinet Inc$26,619,000
+15.7%
111,755
-10.4%
3.87%
+8.7%
ISRG SellIntuitive Surgical Inc$25,448,000
+15.8%
27,672
-6.9%
3.70%
+8.8%
ADBE SellAdobe Inc$24,076,000
+12.5%
41,110
-8.7%
3.50%
+5.6%
MSCI SellMSCI Inc Cl A$21,155,000
+17.1%
39,685
-7.9%
3.08%
+10.0%
NFLX SellNetflix Inc$19,966,000
-6.0%
37,800
-7.1%
2.90%
-11.7%
TDOC SellTeladoc Inc$19,889,000
-19.0%
119,605
-11.5%
2.89%
-23.9%
CRM SellSalesforce.com Inc$18,937,000
+3.7%
77,524
-10.1%
2.75%
-2.6%
PYPL SellPaypal Holdings Inc$17,977,000
+9.2%
61,675
-9.0%
2.61%
+2.6%
MS SellMorgan Stanley$17,289,000
+8.6%
188,560
-8.0%
2.51%
+2.1%
EW SellEdwards Lifesciences Corp$15,048,000
+13.0%
145,290
-8.8%
2.19%
+6.2%
MA SellMasterCard Inc Cl Acl a$12,014,000
+0.6%
32,907
-1.8%
1.75%
-5.5%
AB SellAllianceBernstein Holding LPunit ltd partn$11,982,000
+4.3%
257,345
-10.4%
1.74%
-2.0%
UNH SellUnitedHealth Group Inc$11,549,000
-3.6%
28,840
-10.4%
1.68%
-9.4%
MKTX SellMarketaxess Holdings Inc$10,890,000
-15.9%
23,490
-9.7%
1.58%
-21.0%
APO SellApollo Global Mgmt Inc Com CL$10,786,000
+30.3%
173,410
-1.5%
1.57%
+22.5%
CYBR SellCyberark Software Ltd$10,648,000
-8.4%
81,740
-9.0%
1.55%
-13.9%
SUN SellSunoco LP$10,132,000
+3.2%
268,750
-12.9%
1.47%
-3.0%
DOCU SellDocusign Inc$9,676,000
+21.5%
34,610
-12.0%
1.41%
+14.2%
PSX SellPhillips 66$9,117,000
-2.4%
106,235
-7.3%
1.32%
-8.3%
STZ SellConstellation Brands Inc Cl Acl a$9,117,000
-5.1%
38,980
-7.5%
1.32%
-10.8%
JPM SellJPMorgan Chase & Co$8,883,000
-7.3%
57,110
-9.3%
1.29%
-12.9%
WYNN SellWynn Resorts Ltd$8,012,000
-14.2%
65,515
-12.1%
1.16%
-19.4%
MMP SellMagellan Midstream Partners LP$7,699,000
+5.7%
157,415
-6.3%
1.12%
-0.7%
JD SellJd Com Inc Sp ADR Cl Aspon adr cl a$7,625,000
-13.4%
95,540
-8.5%
1.11%
-18.6%
BABA SellAlibaba Group Holding Ltd Sp Asponsored ads$7,565,000
-11.2%
33,360
-11.3%
1.10%
-16.6%
OGE SellOGE Energy Corp$5,720,000
-4.0%
169,990
-7.7%
0.83%
-9.8%
BXMT SellBlackstone Mtg Tr Inc Cl A$5,664,000
+1.2%
177,610
-1.7%
0.82%
-5.0%
WERN SellWerner Enterprises Inc$5,571,000
-18.2%
125,140
-13.3%
0.81%
-23.1%
TMUS SellT-Mobile US Inc$5,552,000
+14.2%
38,335
-1.2%
0.81%
+7.3%
ROP SellRoper Technologies Inc Com$5,426,000
+8.7%
11,540
-6.8%
0.79%
+2.2%
RTX SellRaytheon Technologies Corp$5,412,000
+8.9%
63,435
-1.4%
0.79%
+2.3%
CVS SellCVS Health Corporation$5,414,000
-5.2%
64,885
-14.5%
0.79%
-10.9%
EPD SellEnterprise Products Partners L$5,325,000
-2.6%
220,675
-11.1%
0.77%
-8.4%
AMT SellAmerican Tower REIT$5,025,000
-2.5%
18,600
-13.7%
0.73%
-8.4%
OKE SellONEOK Inc$4,908,000
+9.0%
88,213
-0.7%
0.71%
+2.4%
EVRG SellEvergy Inc$4,874,000
-9.0%
80,650
-10.4%
0.71%
-14.6%
WMT SellWal Mart Stores Inc$4,660,000
-2.1%
33,045
-5.7%
0.68%
-8.0%
TSLA SellTesla Motors Inc$4,659,000
-2.4%
6,855
-4.1%
0.68%
-8.3%
VWOB SellVanguard Emerg Mkt Bond ETFemerg mkt bd etf$3,842,000
-8.8%
48,125
-11.5%
0.56%
-14.4%
AYX SellAlteryx Inc Cl A$3,320,000
-24.7%
38,600
-27.4%
0.48%
-29.2%
HYT SellBlackRock Corp High Yield Fund$2,704,000
-0.5%
219,500
-5.2%
0.39%
-6.4%
VZ SellVerizon Communications Inc$2,336,000
-25.9%
41,689
-23.1%
0.34%
-30.3%
PFE SellPfizer Inc$1,089,000
+6.1%
27,818
-1.8%
0.16%
-0.6%
PSA SellPublic Storage$376,000
+15.0%
1,250
-5.7%
0.06%
+7.8%
INTC ExitIntel Corp$0-3,500
-100.0%
-0.04%
PINS ExitPinterest Inc Cl Acl a$0-3,275
-100.0%
-0.04%
BNS ExitBank Nova Scotia Halifax$0-8,000
-100.0%
-0.08%
Original filings

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

  • View 13F-HR filed 2021-08-12
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
APPLE INC COM42Q3 20237.8%
AMAZON.COM INC COM42Q3 20236.6%
IDEXX LABS INC42Q3 20235.2%
INTUITIVE SURGICAL INC COM42Q3 20234.9%
SALESFORCE INC42Q3 20233.8%
MASTERCARD INCORPORATED42Q3 20232.6%
ONEOK INC NEW42Q3 20232.9%
EXXON MOBIL CORPORATION COM42Q3 20232.1%
WILLIAMS COS INC COM42Q3 20232.1%
Wal Mart Stores Inc42Q3 20231.5%

View Bridgecreek Investment Management, LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-02-13
13F-HR2023-10-27
13F-HR2023-08-03
13F-HR2023-05-12
13F-HR2023-02-14
13F-HR2022-11-07
13F-HR2022-08-11
13F-HR2022-05-12
13F-HR2022-01-27
13F-HR2021-11-12

View Bridgecreek Investment Management, LLC's complete filings history.

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