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Holdings

NORTH STAR ASSET MANAGEMENT INC

Changes: All | New | Increased | Decreased | Sold Out

Portfolio as of:
NameTickerClassSharesChangeValueChange% Port% OSHistDate
ACI WORLDWIDE, INC. ACIWCommon810,752-1,05818,785,124,000-3,117,509,0001.040.75 Hist 06/30/2023
WSFS FINANCIAL CORP WSFSCommon55,199-46,3052,082,106,000-1,735,478,0000.110.09 Hist 06/30/2023
Walt Disney Co DISCommon99,747-9808,905,383,000-1,180,379,0000.490.01 Hist 06/30/2023
VERIZON COMMUNICATIONS INC VZCommon270,960-10,29710,077,000,000-861,069,0000.560.01 Hist 06/30/2023
Prestige Consumer Healthcare Inc. PBHCommon238,880-1,51014,196,639,000-858,987,0000.78  Hist 06/30/2023
PFIZER INC PFECommon137,473-3,8495,042,515,000-723,419,0000.280.00 Hist 06/30/2023
Discover Financial Services DFSCommon25,675-11,2093,000,124,000-645,491,0000.170.01 Hist 06/30/2023
UNITED PARCEL SERVICE INC UPSCommon21,336-1,3673,824,546,000-579,683,0000.210.00 Hist 06/30/2023
NAVIENT CORP NAVICOM665,226-143,93112,359,899,000-578,521,0000.68  Hist 06/30/2023
Schwab US Dividend Equity ETF SCHDcommon7,723-6,836560,844,000-504,292,0000.03  Hist 06/30/2023
JOHN HANCOCK FINANCIAL OPPORTUNITIES FUND BTOCommon90,307-3,5132,422,034,000-443,229,0000.13  Hist 06/30/2023
HOLOGIC INC HOLXCommon242,762-5,27919,656,438,000-360,470,0001.08  Hist 06/30/2023
TWEEDY, BROWNE FUND INC. TBGVXCOM174,488-15,4414,810,612,000-347,857,0000.27  Hist 06/30/2023
ILLINOIS TOOL WORKS INC ITWCommon34,726-2,3798,687,056,000-346,156,0000.48  Hist 06/30/2023
QUALCOMM INC/DE QCOMCommon31,798-2413,785,254,000-302,300,0000.21  Hist 06/30/2023
WATERS CORP /DE/ WATCommon6,010-701,601,905,000-280,645,0000.090.01 Hist 06/30/2023
SELECT SECTOR SPDR TRUST XLESBI INT-ENERGY50,017-1,9774,059,880,000-246,783,0000.22  Hist 06/30/2023
3M CO MMMCommon26,257-1,0872,628,063,000-246,065,0000.14  Hist 06/30/2023
AMGEN INC AMGNCommon10,003-1652,220,866,000-237,248,0000.120.00 Hist 06/30/2023
UNION PACIFIC CORP UNPCommon89,683-2,52018,350,935,000-205,841,0001.010.01 Hist 06/30/2023
EXXON MOBIL CORP XOMCommon38,482-8774,127,194,000-188,914,0000.230.00 Hist 06/30/2023
Veradigm Inc. MDRXCommon30,940-13,000389,844,000-183,573,0000.02  Hist 06/30/2023
Amcor plc AMCRCom128,626-1511,283,687,000-181,795,0000.070.01 Hist 06/30/2023
CISCO SYSTEMS, INC. CSCOCommon47,994-2,9522,483,234,000-179,992,0000.140.00 Hist 06/30/2023
BOEING CO BACommon16,411-7083,465,379,000-171,243,0000.190.00 Hist 06/30/2023
OSHKOSH CORP OSKCommon2,770-2,088239,888,000-164,232,0000.010.00 Hist 06/30/2023
Walgreens Boots Alliance, Inc. WBACOM7,781-3,229221,681,000-159,045,0000.010.00 Hist 06/30/2023
MASIMO CORP MASICommon5,361-194882,153,000-142,967,0000.050.01 Hist 06/30/2023
RESMED INC RMDCommon6,632-6101,449,092,000-136,834,0000.08  Hist 06/30/2023
ASSOCIATED BANC-CORP ASBCommon65,490-1,0001,062,903,000-132,587,0000.06  Hist 06/30/2023
TEXAS INSTRUMENTS INC TXNCommon8,800-3501,584,176,000-117,815,0000.09  Hist 06/30/2023
AMERICAN EUROPACIFIC GROWTH FUND CL F2  Mutual Fund72,040-3,3263,938,424,000-110,242,0000.22  Hist 06/30/2023
Warner Bros. Discovery, Inc. WBDCommon25,803-2,822323,570,000-108,668,0000.020.00 Hist 06/30/2023
AVANOS MEDICAL, INC. AVNSStock21,513-325549,872,000-99,590,0000.03  Hist 06/30/2023
Tencent Holdings LTD ADR TCEHYCOM13,156-25558,998,000-85,421,0000.03  Hist 06/30/2023
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