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Beck Bode, LLC

SEC CIK
0001790548
Latest filing
Aug 13, 2026

Holdings in Q4 2022

Holdings as of Dec 31, 2022, filed Feb 8, 2023. Long positions only; changes compare share counts with Q3 2022.

Institution overview
Positions
202
−22 vs. Q3 2022
Portfolio value
$444.7M
−$16.9M (−3.7%) vs. Q3 2022
Filed
Feb 8, 2023
SEC
Holdings of Beck Bode, LLC in Q4 2022
SecurityClassSharesValue% of portfolioShare changeActionHistory
Uber Technologies, Inc90353TAJ9NOTE 12/110,000$8.38K<0.1%−8,000−44.4%Reduced–
Euronet Worldwide, Inc.298736AL3NOTE 0.750% 3/110,000$9.44K<0.1%−71,000−87.7%Reduced–
New Relic, Inc.64829BAB6NOTE 0.500% 5/012,000$11.7K<0.1%−17,000−58.6%Reduced–
Block, Inc.852234AJ2NOTE 5/015,000$12.3K<0.1%−78,000−83.9%Reduced–
BridgeBio Pharma, Inc.10806XAB8NOTE 2.500% 3/134,000$15.3K<0.1%−62,000−64.6%Reduced–
Microchip Technology Inc595017AU8NOTE 0.125%11/115,000$16.2K<0.1%−62,000−80.5%Reduced–
Cyberark Software Ltd23248VAB1NOTE 11/118,000$19.0K<0.1%−38,000−67.9%Reduced–
DISH Network CORP25470MAB5NOTE 3.375% 8/142,000$26.4K<0.1%−78,000−65.0%Reduced–
Lyft, Inc.55087PAB0NOTE 1.500% 5/130,000$26.4K<0.1%−60,000−66.7%Reduced–
Everbridge, Inc.29978AAC8NOTE 0.125%12/130,000$26.9K<0.1%−84,000−73.7%Reduced–
Fti Consulting, Inc302941AP4NOTE 2.000% 8/118,000$28.3K<0.1%−43,000−70.5%Reduced–
RH74967XAA1NOTE 6/122,000$30.2K<0.1%−40,000−64.5%Reduced–
Square Inc852234AD5NOTE 0.500% 5/129,000$30.5K<0.1%−85,000−74.6%Reduced–
Zillow Group, Inc.98954MAH4NOTE 2.750% 5/132,000$30.8K<0.1%−62,000−66.0%Reduced–
MIDDLEBY Corp596278AB7NOTE 1.000% 9/027,000$31.9K<0.1%−73,000−73.0%Reduced–
Chegg, Inc163092AD1NOTE 0.125% 3/135,000$32.2K<0.1%−83,000−70.3%Reduced–
Snap Inc83304AAB2NOTE 0.750% 8/039,000$33.0K<0.1%−92,000−70.2%Reduced–
Liveperson Inc538146AB7NOTE 0.750% 3/038,000$35.6K<0.1%−62,000−62.0%Reduced–
Chegg, Inc163092AF6NOTE 9/047,000$36.9K<0.1%−128,000−73.1%Reduced–
Rapid7, Inc.753422AD6NOTE 2.250% 5/039,000$37.4K<0.1%−82,000−67.8%Reduced–
iQIYI, Inc.46267XAD0NOTE 2.000% 4/047,000$37.7K<0.1%−123,000−72.4%Reduced–
INOInovio Pharmaceuticals, Inc.COM NEW27,226$42.5K<0.1%+27,226NewHistory
Datadog, Inc.23804LAB9NOTE 0.125% 6/139,000$43.1K<0.1%−102,000−72.3%Reduced–
INSMED Inc457669AB5NOTE 0.750% 6/056,000$45.4K<0.1%−122,000−68.5%Reduced–
Solaredge Technologies, Inc.83417MAD6NOTE 9/137,000$46.2K<0.1%−77,000−67.5%Reduced–
Zscaler, Inc.98980GAB8NOTE 0.125% 7/045,000$47.1K<0.1%−95,000−67.9%Reduced–
HubSpot Inc443573AD2NOTE 0.375% 6/039,000$48.2K<0.1%−65,000−62.5%Reduced–
CONMED Corp207410AF8NOTE 2.625% 2/045,000$51.0K<0.1%−111,000−71.2%Reduced–
Benefitfocus, Inc.08180DAB2NOTE 1.250%12/155,000$52.3K<0.1%−126,000−69.6%Reduced–
Shopify Inc.82509LAA5NOTE 0.125%11/063,000$53.6K<0.1%−141,000−69.1%Reduced–
Alteryx, Inc.02156BAD5NOTE 0.500% 8/062,000$57.3K<0.1%−122,000−66.3%Reduced–
Penn Natl Gaming Inc707569AU3NOTE 2.750% 5/141,000$60.0K<0.1%−67,000−62.0%Reduced–
MongoDB, Inc.60937PAD8NOTE 0.250% 1/152,000$60.9K<0.1%−130,000−71.4%Reduced–
Repligen Corp759916AB5NOTE 0.375% 7/140,000$63.4K<0.1%−66,000−62.3%Reduced–
Booking Holdings Inc.09857LAN8NOTE 0.750% 5/048,000$64.4K<0.1%−126,000−72.4%Reduced–
Etsy Inc29786AAJ5NOTE 0.125%10/043,000$66.4K<0.1%−99,000−69.7%Reduced–
Burlington Stores, Inc.122017AB2NOTE 2.250% 4/158,000$66.5K<0.1%−141,000−70.9%Reduced–
Live Nation Entertainment IN538034AQ2NOTE 2.500% 3/163,000$67.1K<0.1%−163,000−72.1%Reduced–
Wayfair Inc.94419LAM3NOTE 0.625%10/0106,000$68.5K<0.1%−330,000−75.7%Reduced–
Starwood Ppty Tr Inc85571BAH8NOTE 4.375% 4/070,000$68.6K<0.1%−181,000−72.1%Reduced–
Royal Caribbean Group780153BB7NOTE 4.250% 6/173,000$72.2K<0.1%−158,000−68.4%Reduced–
Atlas Air Worldwide Hldgs IN049164BJ4NOTE 1.875% 6/046,000$76.4K<0.1%−105,000−69.5%Reduced–
Liberty Media Corp Del531229AF9NOTE 1.000% 1/352,000$84.2K<0.1%−130,000−71.4%Reduced–
Neurocrine Biosciences Inc64125CAD1NOTE 2.250% 5/154,000$85.3K<0.1%−122,000−69.3%Reduced–
EQT Corp26884LAK5NOTE 1.750% 5/039,000$89.8K<0.1%−101,000−72.1%Reduced–
Palo Alto Networks Inc697435AF2NOTE 0.375% 6/063,000$92.8K<0.1%−157,000−71.4%Reduced–
Southwest Airls Co844741BG2NOTE 1.250% 5/095,000$115.4K<0.1%−209,000−68.8%Reduced–
Dick's Sporting Goods, Inc.253393AD4NOTE 3.250% 4/135,000$129.0K<0.1%−72,000−67.3%Reduced–
Insulet Corp45784PAK7NOTE 0.375% 9/092,000$130.4K<0.1%−196,000−68.1%Reduced–
On Semiconductor Corp682189AP0NOTE 1.625%10/145,000$135.7K<0.1%−95,000−67.9%Reduced–
ProShares Tr74347B714SHORT QQQ NEW11,599$170.7K<0.1%−161,035−93.3%Reduced–
FFord Motor CoStock15,638$181.9K<0.1%−42,200−73.0%ReducedHistory
Western Digital Corp958102AP0NOTE 1.500% 2/0198,000$188.7K<0.1%−510,000−72.0%Reduced–
BRK.BBerkshire Hathaway IncStock649$200.5K<0.1%+649NewHistory
SBUXStarbucks CorpStock2,021$200.5K<0.1%−1,112−35.5%ReducedHistory
OXYOccidental Petroleum CorpStock3,230$203.5K<0.1%−8,251−71.9%ReducedHistory
BMEBlackRock Health Sciences TrustCOM4,671$203.6K<0.1%+4,671NewHistory
DISWalt Disney CoStock2,353$204.4K<0.1%+2,353NewHistory
SPDR Series Trust78464A755ST STR SP METAL4,209$209.7K<0.1%−8,646−67.3%Reduced–
Cyberark Software LtdM2682V108SHS1,625$210.7K<0.1%+1,625New–
LHLabcorp Holdings Inc.COM NEW900$211.9K<0.1%−2,190−70.9%ReducedHistory
Dexcom Inc252131AK3NOTE 0.250%11/1210,000$228.0K0.1%−504,000−70.6%Reduced–
ProShares Tr74347B425SHORT S&P 500 NE14,733$236.2K0.1%−151,950−91.2%Reduced–
MDYSPDR S&P Midcap 400 ETF TrustETF543$240.4K0.1%−1,091−66.8%ReducedHistory
CSCOCisco Systems, Inc.Stock5,050$240.6K0.1%−2,400−32.2%ReducedHistory
SLViShares Silver TrustETF11,476$252.7K0.1%−30,076−72.4%ReducedHistory
BMYBristol Myers Squibb CoStock3,669$264.0K0.1%−135−3.5%ReducedHistory
ProShares Tr74347B235PSHS SHORT DOW307,926$264.2K0.1%−21,446−73.0%Reduced–
iShares Tr464288372GLB INFRASTR ETF6,249$286.5K0.1%−17,725−73.9%Reduced–
Vitru LtdG9440D103COM13,059$293.8K0.1%+13,059New–
PFEPfizer IncStock6,114$313.3K0.1%−1,142−15.7%ReducedHistory
MRNAModerna, Inc.Stock1,842$330.9K0.1%−3,947−68.2%ReducedHistory
NVDANVIDIA CorpStock2,360$344.9K0.1%−89,761−97.4%ReducedHistory
iShares Tr4642874407-10 YR TRSY BD3,993$382.4K0.1%+3,993New–
VVisa Inc.Stock2,009$417.4K0.1%−3,414−63.0%ReducedHistory
iShares Select Dividend ETF464287168ETF3,466$418.0K0.1%−6,612−65.6%Reduced–
WMTWalmart Inc.Stock3,087$437.7K0.1%−4,172−57.5%ReducedHistory
PGProcter & Gamble CoStock2,891$438.2K0.1%−2,225−43.5%ReducedHistory
ADBEAdobe Inc.Stock1,460$491.3K0.1%−1,912−56.7%ReducedHistory
JNJJohnson & JohnsonStock2,901$512.5K0.1%−4,738−62.0%ReducedHistory
GOOGLAlphabet Inc.Stock5,882$519.0K0.1%−6,880−53.9%ReducedHistory
INTUIntuit Inc.Stock1,407$547.6K0.1%+1,407NewHistory
MDRXVeradigm Inc.COM31,509$555.8K0.1%+31,509NewHistory
AMZNAmazon Com IncStock6,634$557.3K0.1%−9,102−57.8%ReducedHistory
TKRTimken CoCOM8,010$566.1K0.1%+8,010NewHistory
HSYHershey CoCOM2,483$575.0K0.1%+2,483NewHistory
STNGScorpio Tankers Inc.SHS10,880$585.0K0.1%+10,880NewHistory
RTXRTX CorpStock6,089$614.5K0.1%−230−3.6%ReducedHistory
HPEHewlett Packard Enterprise CoCOM38,564$615.5K0.1%+38,564NewHistory
HDHome Depot, Inc.Stock1,987$627.7K0.1%−582−22.7%ReducedHistory
NSCNorfolk Southern CorpStock2,552$628.9K0.1%−8,042−75.9%ReducedHistory
KEYSKeysight Technologies, Inc.Stock3,763$643.7K0.1%+3,763NewHistory
NVONovo Nordisk A SADR4,811$651.1K0.1%+4,811NewHistory
GLDSPDR Gold TrustETF4,067$689.9K0.2%−14,126−77.6%ReducedHistory
ABTAbbott LaboratoriesStock6,645$729.5K0.2%−14,610−68.7%ReducedHistory
MRSHMarsh & McLennan Companies, Inc.Stock4,702$778.1K0.2%+4,702NewHistory
BILLBILL Holdings, Inc.Stock7,314$796.9K0.2%+7,314NewHistory
TAT&T Inc.Stock43,927$808.7K0.2%+43,927NewHistory
CATCaterpillar IncStock3,404$815.5K0.2%+774+29.4%AddedHistory
EQNREquinor ASASPONSORED ADR22,945$821.7K0.2%−415−1.8%ReducedHistory

Sold out since Q3 2022 (80)

Positions held at the end of Q3 2022 that are gone from this filing.

Positions of Beck Bode, LLC sold out since Q3 2022
SecurityClassShares in Q3 2022Value in Q3 2022% of portfolio in Q3 2022History
VSTVistra Corp.Stock674,579$14.2M3.1%History
WTRGEssential Utilities, Inc.COM267,609$11.1M2.4%History
PORPortland General Electric CoCOM NEW249,022$10.8M2.3%History
GTMZoomInfo Technologies Inc.Stock254,639$10.6M2.3%History
XELXcel Energy IncStock161,171$10.3M2.2%History
NGGNational Grid PLCSPONSORED ADR NE171,228$8.82M1.9%History
TMOThermo Fisher Scientific Inc.Stock17,357$8.80M1.9%History
TSCOTractor Supply CoCOM44,927$8.35M1.8%History
MRVLMarvell Technology, Inc.COM164,484$7.06M1.5%History
TTCToro CoCOM80,106$6.93M1.5%History
PLYAPlaya Hotels & Resorts N.V.SHS1,076,844$6.27M1.4%History
FTITechnipFMC plcCOM600,490$5.08M1.1%History
ORCLOracle CorpStock83,165$5.08M1.1%History
EWBCEast West Bancorp IncCOM74,739$5.02M1.1%History
SONSonoco Products CoCOM87,681$4.97M1.1%History
DRVNDriven Brands Holdings Inc.COM140,662$3.94M0.9%History
FNVFranco Nevada CorpStock32,903$3.93M0.9%History
Invesco QQQ Trust Series I46090E103ETF13,475$3.60M0.8%–
CFCF Industries Holdings, Inc.COM33,834$3.26M0.7%History
FRTFederal Realty Investment TrustSH BEN INT NEW31,907$2.88M0.6%History
JBHTHunt J B Transport Services IncCOM14,917$2.33M0.5%History
FIVEFive Below, IncCOM16,576$2.28M0.5%History
TAKTakeda Pharmaceutical Co LtdADR138,997$1.80M0.4%History
PBRPetrobras - Petroleo Brasileiro SASPONSORED ADR110,743$1.37M0.3%History
PGZPrincipal Real Estate Income FundSHS BEN INT119,718$1.32M0.3%History
SNPSSynopsys IncCOM4,283$1.31M0.3%History
APHAmphenol CorpCL A18,809$1.26M0.3%History
CLSCelestica IncSUB VTG SHS146,251$1.23M0.3%History
CHHChoice Hotels International IncCOM11,225$1.23M0.3%History
LNTHLantheus Holdings, Inc.Stock16,874$1.19M0.3%History
KSSKOHLS CorpStock45,248$1.14M0.2%History
TGTTarget CorpStock7,664$1.14M0.2%History
AXPAmerican Express CoStock7,540$1.02M0.2%History
GSKGSK plcADR32,666$961.0K0.2%History
METAMeta Platforms, Inc.Stock5,657$768.0K0.2%History
VOYAVoya Financial, Inc.COM12,688$768.0K0.2%History
RHPRyman Hospitality Properties, Inc.COM10,243$754.0K0.2%History
ODFLOld Dominion Freight Line, Inc.COM2,653$660.0K0.1%History
ITGartner IncCOM2,370$656.0K0.1%History
VRTVVeritiv CorpCOM6,321$618.0K0.1%History
CCICrown Castle Inc.REIT4,267$617.0K0.1%History
WEIBO Corp948596AC5NOTE 1.250%11/1613,000$604.0K0.1%–
iShares Tr464288646ISHS 1-5YR INVS11,990$591.0K0.1%–
SNVSynovus Financial CorpCOM NEW14,971$562.0K0.1%History
DHRDanaher CorpStock2,142$553.0K0.1%History
iShares U.S. Medical Devices ETF464288810ETF10,805$510.0K0.1%–
QCOMQualcomm IncStock4,485$507.0K0.1%History
PIMCO Enhanced Short Maturity Active Exchange-Traded Fund72201R833ETF5,105$505.0K0.1%–
TWLOTwilio IncCL A6,369$440.0K0.1%History
Invesco Exchange Traded FD T46137V720LEISU ENTMT ETF10,204$354.0K0.1%–
VanEck Semiconductor ETF92189F676ETF1,892$350.0K0.1%–
State Street Energy Select Sector SPDR ETF81369Y506ETF4,303$310.0K0.1%–
Invesco Exchange Traded FD T46137V142WATER RES ETF6,254$286.0K0.1%–
NIONIO Inc.ADR17,264$272.0K0.1%History
ZTSZoetis Inc.Stock1,766$262.0K0.1%History
State Street Utilities Select Sector SPDR ETF81369Y886ETF3,920$257.0K0.1%–
Danaher Corp2358514095% CONV PFD B188$253.0K0.1%–
Boston Scientific Corp1011372065.50% CNV PFD A2,424$245.0K0.1%–
CRMSalesforce, Inc.Stock1,668$240.0K0.1%History
DIASPDR Dow Jones Industrial Average ETF TrustUT SER 1762$219.0K<0.1%History
NFLXNetflix IncStock903$213.0K<0.1%History
GOOGAlphabet Inc.Stock2,091$201.0K<0.1%History
LBRTLiberty Energy Inc.COM CL A15,368$195.0K<0.1%History
Twitter, Inc.90184LAF9NOTE 0.250% 6/1145,000$147.0K<0.1%–
MMTAberdeen Multi-Market Income FundSH BEN INT12,371$52.0K<0.1%History
Sarepta Therapeutics, Inc.803607AB6DBCV 1.500%11/131,000$52.0K<0.1%–
Enphase Energy, Inc.29355AAK3NOTE 3/040,000$48.0K<0.1%–
Pioneer Nat Res Co723787AP2NOTE 0.250% 5/119,000$42.0K<0.1%–
Teradyne, Inc880770AG7NOTE 1.250%12/116,000$39.0K<0.1%–
Expedia Group, Inc.30212PBE4NOTE 2/136,000$31.0K<0.1%–
Airbnb, Inc.009066AB7NOTE 3/137,000$30.0K<0.1%–
Cerence Inc.156727AB5NOTE 3.000% 6/029,000$25.0K<0.1%–
Lumentum Hldgs Inc55024UAD1NOTE 0.500%12/123,000$21.0K<0.1%–
Bill Com Hldgs Inc090043AB6NOTE 12/017,000$19.0K<0.1%–
Teladoc Health, Inc.87918AAF2NOTE 1.250% 6/021,000$15.0K<0.1%–
On Semiconductor Corp682189AS4NOTE 5/010,000$14.0K<0.1%–
Shake Shack Inc.819047AB7NOTE 3/021,000$14.0K<0.1%–
Wayfair Inc.94419LAF8NOTE 1.000% 8/121,000$13.0K<0.1%–
Rapid7, Inc.753422AF1NOTE 0.250% 3/114,000$11.0K<0.1%–
Five9, Inc.338307AD3NOTE 0.500% 6/012,000$11.0K<0.1%–