Skip to main content

Colony Group LLC

SEC CIK
0001080628
Latest filing
Nov 14, 2023

Holdings in Q3 2021

Holdings as of Sep 30, 2021, filed Nov 17, 2021. Long positions only; changes compare share counts with Q2 2021.

Institution overview
Positions
818
+54 vs. Q2 2021
Portfolio value
$5.22B
+$184.9M (+3.7%) vs. Q2 2021
Filed
Nov 17, 2021
SEC
Holdings of Colony Group LLC in Q3 2021
SecurityClassSharesValue% of portfolioShare changeActionHistory
STORStore Capital LLCCOM12,429$398.0K<0.1%+52+0.4%AddedHistory
Vanguard Information Technology ETF92204A702ETF1,002$402.0K<0.1%−134−11.8%Reduced–
TEAMAtlassian CorpCL A1,029$403.0K<0.1%+1,029NewHistory
IPGInterpublic Group of Companies, Inc.COM11,023$404.0K<0.1%00.0%UnchangedHistory
BCBrunswick CorpCOM4,367$416.0K<0.1%+604+16.1%AddedHistory
HDBHDFC Bank LtdSPONSORED ADS5,699$417.0K<0.1%+561+10.9%AddedHistory
APAAPA CorpStock19,487$418.0K<0.1%−6,420−24.8%ReducedHistory
WCNWaste Connections, Inc.COM3,338$420.0K<0.1%−84−2.5%ReducedHistory
iShares Tr464287689RUSSELL 3000 ETF1,649$420.0K<0.1%00.0%Unchanged–
ISRGIntuitive Surgical IncCOM NEW422$420.0K<0.1%−46−9.8%ReducedHistory
J P Morgan Exchange Traded F46641Q852INTL BD OPP ETF8,220$422.0K<0.1%+8,220New–
CLXClorox CoStock2,555$423.0K<0.1%+46+1.8%AddedHistory
MKTXMarketaxess Holdings IncCOM1,017$428.0K<0.1%−15−1.5%ReducedHistory
LYFTLyft, Inc.CL A COM8,000$429.0K<0.1%00.0%UnchangedHistory
TTTrane Technologies plcSHS2,488$430.0K<0.1%00.0%UnchangedHistory
GRMNGarmin LtdSHS2,765$430.0K<0.1%−175−6.0%ReducedHistory
CHDChurch & Dwight Co IncCOM5,260$434.0K<0.1%00.0%UnchangedHistory
BCSBarclays PLCADR42,484$438.0K<0.1%+2,555+6.4%AddedHistory
CTSHCognizant Technology Solutions CorpCL A5,949$441.0K<0.1%−689−10.4%ReducedHistory
Brookfield Business PartnersG16234109UNIT LTD L P9,619$441.0K<0.1%00.0%Unchanged–
FAFFirst American Financial CorpStock6,600$443.0K<0.1%00.0%UnchangedHistory
SEDGSolaredge Technologies, Inc.COM1,670$443.0K<0.1%00.0%UnchangedHistory
iShares Global Clean Energy ETF464288224ETF20,505$444.0K<0.1%00.0%Unchanged–
CPCanadian Pacific Kansas City LtdCOM6,835$445.0K<0.1%+451+7.1%AddedHistory
AGTCApplied Genetic Technologies CorpCOM148,058$446.0K<0.1%−26,850−15.4%ReducedHistory
HCAHCA Healthcare, Inc.COM1,854$450.0K<0.1%+26+1.4%AddedHistory
FNCBFNCB Bancorp, Inc.COM55,000$453.0K<0.1%00.0%UnchangedHistory
FNFabrinetSHS4,450$456.0K<0.1%−550−11.0%ReducedHistory
State Street SPDR Portfolio S&P 500 Value ETF78464A508ETF11,722$457.0K<0.1%+4,434+60.8%Added–
LVSLas Vegas Sands CorpCOM12,554$459.0K<0.1%−1,661−11.7%ReducedHistory
UPWheels Up Experience Inc.COM69,964$461.0K<0.1%+69,964NewHistory
BUDAnheuser-Busch InBev SA/NVADR8,264$466.0K<0.1%−1,593−16.2%ReducedHistory
ERICEricsson LM Telephone CoADR B SEK 1041,619$466.0K<0.1%+3,954+10.5%AddedHistory
AVBAvalonbay Communities IncCOM2,106$467.0K<0.1%+17+0.8%AddedHistory
ABBNYABB LtdSPONSORED ADR14,040$468.0K<0.1%−649−4.4%ReducedHistory
SPDR Series Trust78468R721STATE STREET SPD9,104$469.0K<0.1%00.0%Unchanged–
MRNAModerna, Inc.Stock1,225$471.0K<0.1%−1,510−55.2%ReducedHistory
MMPMagellan Midstream Partners, L.P.COM UNIT RP LP10,349$472.0K<0.1%00.0%UnchangedHistory
YPFYpf Sociedad AnonimaSPON ADR CL D36,205$474.0K<0.1%+645+1.8%AddedHistory
BIPBrookfield Infrastructure Partners L.P.LP INT UNIT8,557$480.0K<0.1%00.0%UnchangedHistory
FDSFactset Research Systems IncStock1,218$481.0K<0.1%−40−3.2%ReducedHistory
MSIMotorola Solutions, Inc.Stock2,074$482.0K<0.1%−303−12.7%ReducedHistory
YUMYum Brands IncStock4,014$491.0K<0.1%+182+4.7%AddedHistory
VMRKVivmark ResidentialSH BEN INT6,075$492.0K<0.1%00.0%UnchangedHistory
iShares Tr464288257MSCI ACWI ETF4,920$492.0K<0.1%+932+23.4%Added–
STWDStarwood Property Trust, Inc.COM20,402$498.0K<0.1%00.0%UnchangedHistory
SMGScotts Miracle-Gro CoStock3,434$503.0K<0.1%+281+8.9%AddedHistory
State Street Consumer Staples Select Sector SPDR ETF81369Y308ETF7,311$503.0K<0.1%−439−5.7%Reduced–
iShares Tips Bond ETF464287176ETF3,956$505.0K<0.1%−83−2.1%Reduced–
VRSNVerisign IncCOM2,461$505.0K<0.1%−304−11.0%ReducedHistory
Macquarie Infrastructure Cor55608B105COM12,456$505.0K<0.1%−3,315−21.0%Reduced–
ECLEcolab Inc.Stock2,459$513.0K<0.1%−423−14.7%ReducedHistory
Vanguard Health Care ETF92204A504ETF2,090$517.0K<0.1%+151+7.8%Added–
iShares Tr464288638ISHS 5-10YR INVT8,602$517.0K<0.1%−74−0.9%Reduced–
iShares Tr464287762US HLTHCARE ETF1,883$520.0K<0.1%00.0%Unchanged–
SNXTD Synnex CorpCOM5,008$521.0K<0.1%+27+0.5%AddedHistory
CBRECbre Group, Inc.CL A5,399$526.0K<0.1%−242−4.3%ReducedHistory
NBBNuveen Taxable Municipal Income FundCOM22,950$526.0K<0.1%00.0%UnchangedHistory
State Street SPDR S&P 400 Mid Cap Value ETF78464A839ETF8,055$533.0K<0.1%−469−5.5%Reduced–
TSCOTractor Supply CoCOM2,649$537.0K<0.1%+924+53.6%AddedHistory
State Street SPDR Portfolio S&P 500 Growth ETF78464A409ETF8,425$539.0K<0.1%+793+10.4%Added–
MELIMercadolibre IncCOM322$541.0K<0.1%00.0%UnchangedHistory
Ssga Active ETF Tr78467V608ST STR BL LN ETF11,826$544.0K<0.1%+11,826New–
SLMSLM CorpCOM30,910$544.0K<0.1%+2,213+7.7%AddedHistory
OSKOshkosh CorpCOM5,337$546.0K<0.1%+365+7.3%AddedHistory
RYRoyal Bank of CanadaStock5,511$548.0K<0.1%+354+6.9%AddedHistory
CABOCable One, Inc.COM304$551.0K<0.1%−13−4.1%ReducedHistory
CERSCerus CorpCOM91,200$555.0K<0.1%+91,200NewHistory
CTXSCitrix Systems IncCOM5,210$559.0K<0.1%−18−0.3%ReducedHistory
BF.BBrown Forman CorpStock8,352$560.0K<0.1%−16−0.2%ReducedHistory
State Street SPDR S&P Biotech ETF78464A870ETF4,473$562.0K<0.1%00.0%Unchanged–
PRUPrudential Financial IncStock5,423$570.0K<0.1%+201+3.8%AddedHistory
iShares Broad Usd Investment Grade Corporate Bond ETF464288620ETF9,516$572.0K<0.1%−53−0.6%Reduced–
MPCMarathon Petroleum CorpStock9,477$586.0K<0.1%+3,940+71.2%AddedHistory
AMGAffiliated Managers Group, Inc.Stock3,901$589.0K<0.1%−38−1.0%ReducedHistory
NVSNovartis AGADR7,232$591.0K<0.1%−1,126−13.5%ReducedHistory
Vanguard Whitehall FDS921946794INTL HIGH ETF9,023$596.0K<0.1%00.0%Unchanged–
ITWIllinois Tool Works IncStock2,903$600.0K<0.1%−16−0.5%ReducedHistory
TELTE Connectivity plcREG SHS4,370$600.0K<0.1%+300+7.4%AddedHistory
CTASCintas CorpStock1,578$601.0K<0.1%−80−4.8%ReducedHistory
CRWDCrowdStrike Holdings, Inc.Stock2,446$601.0K<0.1%+2,446NewHistory
PPGPPG Industries IncStock4,222$604.0K<0.1%+46+1.1%AddedHistory
Cambria ETF Tr132061706EMRG SHAREHLDR17,048$604.0K<0.1%00.0%Unchanged–
EBSBMeridian Bancorp, Inc.COM29,174$606.0K<0.1%00.0%UnchangedHistory
CICigna GroupStock3,040$608.0K<0.1%+31+1.0%AddedHistory
IFNAberdeen India Fund, Inc.COM26,543$613.0K<0.1%+17,135+182.1%AddedHistory
TREXTrex Co IncCOM6,053$617.0K<0.1%+633+11.7%AddedHistory
SONYSony Group CorpSPONSORED ADR5,582$617.0K<0.1%+712+14.6%AddedHistory
ProShares Tr74347X831ULTRAPRO QQQ4,986$621.0K<0.1%−510−9.3%Reduced–
Invesco Exch Traded FD Tr II46138G870VAR RATE PFD23,675$621.0K<0.1%−3,355−12.4%Reduced–
iShares Tr46429B655FLTG RATE NT ETF12,249$623.0K<0.1%−443−3.5%Reduced–
BWXTBWX Technologies, Inc.COM11,605$625.0K<0.1%−1,928−14.2%ReducedHistory
DBIDesigner Brands Inc.CL A45,202$630.0K<0.1%+12,868+39.8%AddedHistory
EPDEnterprise Products Partners L.P.Stock29,194$632.0K<0.1%−170−0.6%ReducedHistory
Royal Dutch Shell PLC780259206SPONS ADR A14,189$632.0K<0.1%+2,149+17.8%Added–
LULUlululemon athletica inc.Stock1,581$640.0K<0.1%+79+5.3%AddedHistory
PFGPrincipal Financial Group IncCOM9,946$641.0K<0.1%−973−8.9%ReducedHistory
Hingham Instn SVGS Mass433323102COM1,905$641.0K<0.1%00.0%Unchanged–
CSWCSW Industrials, Inc.COM5,030$642.0K<0.1%00.0%UnchangedHistory
BIOBio-Rad Laboratories, Inc.CL A873$651.0K<0.1%+35+4.2%AddedHistory

Sold out since Q2 2021 (32)

Positions held at the end of Q2 2021 that are gone from this filing.

Positions of Colony Group LLC sold out since Q2 2021
SecurityClassShares in Q2 2021Value in Q2 2021% of portfolio in Q2 2021History
EXELExelixis, Inc.COM138,538$2.52M0.1%History
SHOSunstone Hotel Investors, Inc.COM198,785$2.47M<0.1%History
Barrick Gold Corp067901108COM82,411$1.70M<0.1%–
TDYTeledyne Technologies IncCOM1,407$589.0K<0.1%History
VLOValero Energy CorpStock5,973$466.0K<0.1%History
IIPRInnovative Industrial Properties IncCOM1,854$354.0K<0.1%History
BNLBroadstone Net Lease, Inc.COM14,288$334.0K<0.1%History
ALXNAlexion Pharmaceuticals, Inc.COM1,720$316.0K<0.1%History
MXIMMaxim Integrated Products IncCOM2,926$308.0K<0.1%History
TMToyota Motor CorpADS1,631$285.0K<0.1%History
iShares Core High Dividend ETF46429B663ETF2,849$275.0K<0.1%–
SNFIStark Novus Financial Inc.COM CL A24,666$273.0K<0.1%History
RLIRli CorpCOM2,457$257.0K<0.1%History
iShares Tr464288588MBS ETF2,335$253.0K<0.1%–
KAMNKAMAN CorpCOM4,970$250.0K<0.1%History
MLMMartin Marietta Materials IncCOM705$248.0K<0.1%History
CVETCovetrus, Inc.COM9,098$246.0K<0.1%History
PTONPeloton Interactive, Inc.CL A COM1,940$241.0K<0.1%History
LOVELovesac CoCOM3,009$240.0K<0.1%History
DGXQuest Diagnostics IncCOM1,796$237.0K<0.1%History
LYBLyondellBasell Industries N.V.SHS - A -2,287$235.0K<0.1%History
AGRAvangrid, Inc.COM4,505$232.0K<0.1%History
IPGPIpg Photonics CorpCOM1,095$231.0K<0.1%History
ZMZoom Communications, Inc.Stock584$226.0K<0.1%History
OHIOmega Healthcare Investors IncCOM6,200$225.0K<0.1%History
iShares Tr46428865310-20 YR TRS ETF1,502$221.0K<0.1%–
PCARPaccar IncCOM2,399$214.0K<0.1%History
iShares Tr46435G342MORTGE REL ETF5,694$211.0K<0.1%–
HWMHowmet Aerospace Inc.Stock6,000$207.0K<0.1%History
State Street SPDR Portfolio Short Term Corporate Bond ETF78464A474ETF6,506$204.0K<0.1%–
CHEChemed CorpCOM425$202.0K<0.1%History
NNYNuveen New York Municipal Value FundCOM10,860$109.0K<0.1%History