Consolidated Investment Group LLC - Q2 2020 holdings

$265 Million is the total value of Consolidated Investment Group LLC's 62 reported holdings in Q2 2020. The portfolio turnover from Q1 2020 to Q2 2020 was 0.0% .

 Value Shares↓ Weighting
IEUR  ISHARES TRcore msci euro$27,235,000
+15.3%
636,9330.0%10.29%
-1.3%
IWM  ISHARES TRrussell 2000 etf$10,082,000
+25.1%
70,4110.0%3.81%
+7.1%
PYPL  PAYPAL HLDGS INC$8,903,000
+82.0%
51,1000.0%3.36%
+55.8%
BAC  BK OF AMER CORP$7,779,000
+11.9%
327,5130.0%2.94%
-4.2%
IWR  ISHARES TRrus mid cap etf$7,673,000
+24.2%
143,1600.0%2.90%
+6.3%
AVGO  BROADCOM INC$7,497,000
+33.1%
23,7530.0%2.83%
+13.9%
MU  MICRON TECHNOLOGY INC$7,088,000
+22.5%
137,5840.0%2.68%
+4.9%
BX  BLACKSTONE GROUP INC$6,472,000
+24.3%
114,2290.0%2.45%
+6.4%
EEM  ISHARES TRmsci emg mkt etf$6,311,000
+17.2%
157,8160.0%2.38%
+0.3%
BABA  ALIBABA GROUP HLDG LTDsponsored ads$5,759,000
+10.9%
26,7000.0%2.18%
-5.1%
EQIX  EQUINIX INC$4,565,000
+12.4%
6,5000.0%1.72%
-3.7%
HD  HOME DEPOT INC$4,363,000
+34.2%
17,4170.0%1.65%
+14.8%
JPM  JPMORGAN CHASE & CO$4,044,000
+4.5%
42,9920.0%1.53%
-10.6%
AMT  AMERICAN TOWER CORP NEW$3,800,000
+18.7%
14,7000.0%1.44%
+1.6%
C  CITIGROUP INC$3,768,000
+21.3%
73,7420.0%1.42%
+3.9%
T  AT&T INC$3,723,000
+3.7%
123,1330.0%1.41%
-11.2%
AMZN  AMAZON COM INC$3,449,000
+41.5%
1,2500.0%1.30%
+21.1%
FB  FACEBOOK INCcl a$3,020,000
+36.2%
13,3000.0%1.14%
+16.5%
PENN  PENN NATL GAMING INC$2,962,000
+141.4%
97,0000.0%1.12%
+106.5%
MGM  MGM RESORTS INTERNATIONAL$2,777,000
+42.4%
165,2730.0%1.05%
+21.8%
MDT  MEDTRONIC PLC$2,668,000
+1.7%
29,1000.0%1.01%
-13.0%
MCHI  ISHARES TRmsci china etf$2,618,000
+14.3%
40,0000.0%0.99%
-2.2%
GLD  SPDR GOLD TR$2,511,000
+13.1%
15,0000.0%0.95%
-3.3%
GS  GOLDMAN SACHS GROUP INC$2,364,000
+27.9%
11,9600.0%0.89%
+9.4%
ATVI  ACTIVISION BLIZZARD INC$2,323,000
+27.6%
30,6000.0%0.88%
+9.2%
ISRG  INTUITIVE SURGICAL INC$2,279,000
+15.0%
4,0000.0%0.86%
-1.6%
NXPI  NXP SEMICONDUCTORS N V$2,073,000
+37.6%
18,1790.0%0.78%
+17.7%
CONE  CYRUSONE INC$1,819,000
+17.8%
25,0000.0%0.69%
+0.7%
SCI  SERVICE CORP INTL$1,517,000
-0.5%
39,0000.0%0.57%
-14.9%
NOMD  NOMAD FOODS LTD$1,395,000
+15.7%
65,0000.0%0.53%
-0.9%
PLD  PROLOGIS INC$1,306,000
+16.1%
14,0000.0%0.49%
-0.6%
GOOG  ALPHABET INCcap stk cl c$1,288,000
+21.6%
9110.0%0.49%
+4.1%
DIS  DISNEY WALT CO$1,277,000
+15.5%
11,4500.0%0.48%
-1.0%
IAU  ISHARES GOLD TRUSTishares$1,274,000
+12.7%
75,0000.0%0.48%
-3.6%
PDD  PINDUODUO INCsponsored ads$990,000
+138.0%
11,5340.0%0.37%
+103.3%
SBUX  STARBUCKS CORP$964,000
+12.0%
13,0980.0%0.36%
-4.2%
LOW  LOWES COS INC$828,000
+57.1%
6,1260.0%0.31%
+34.3%
LMT  LOCKHEED MARTIN CORP$638,000
+7.6%
1,7500.0%0.24%
-8.0%
RSX  VANECK VECTORS ETF TRrussia etf$514,000
+24.2%
24,7910.0%0.19%
+6.0%
PLYM  PLYMOUTH INDL REIT INC$410,000
+14.8%
32,0000.0%0.16%
-1.9%
UBS  UBS GROUP AG$354,000
+22.5%
30,7240.0%0.13%
+4.7%
LYFT  LYFT INC$330,000
+22.7%
10,0000.0%0.12%
+5.0%
PSTL  POSTAL REALTY TRUST INCcl a$255,000
+0.8%
16,0000.0%0.10%
-14.3%
Original filings

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

  • View 13F-HR filed 2020-07-16
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
BK OF AMERICA CORP42Q3 20236.1%
APPLE INC42Q3 20235.1%
ISHARES TR42Q3 20234.8%
PALO ALTO NETWORKS INC42Q3 20233.5%
ISHARES TR42Q3 20233.9%
MGM RESORTS INTERNATIONAL42Q3 20233.2%
CITIGROUP INC42Q3 20232.8%
ISHARES TR42Q3 20233.7%
HOME DEPOT INC42Q3 20232.7%
JPMORGAN CHASE & CO42Q3 20232.8%

View Consolidated Investment Group LLC's complete holdings history.

Latest filings
TypeFiled
13F-HR2024-04-22
13F-HR2024-01-18
13F-HR2023-10-19
13F-HR2023-07-14
13F-HR2023-04-27
13F-HR2023-02-07
13F-HR2022-10-25
13F-HR2022-08-02
13F-HR2022-04-28
13F-HR2022-02-01

View Consolidated Investment Group LLC's complete filings history.

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