13F Filings for DigitalBridge Group, Inc. (CIK: 1679688)
View the most recent portfolio holdings disclosed by DigitalBridge Group, Inc. in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
EQIX - EQUINIX INC(Class: COM) | 86.64K | $68.92M | 6.79% | Decreased | 135.25K (60.0%, $112M) |
SBAC - SBA COMMUNICATIONS CORP NEW(Class: CL A) | 291.55K | $68.47M | 6.74% | Decreased | 325.81K (52.0%, $67.36M) |
DOX - AMDOCS LTD(Class: SHS) | 581.02K | $53.01M | 5.22% | Increased | 14.44K (2.0%, $1.17M) |
T - ATT INC(Class: COM) | 1.65M | $47.71M | 4.70% | Decreased | 95.07K (5.0%, $1.60M) |
AMZN - AMAZON COM INC(Class: COM) | 201.95K | $44.30M | 4.36% | Increased | 35.14K (21.0%, $12.57M) |
PWR - QUANTA SVCS INC(Class: COM) | 102.78K | $38.86M | 3.83% | Decreased | 11.50K (10.0%, $9.81M) |
LYV - LIVE NATION ENTERTAINMENT IN(Class: COM) | 250.55K | $37.90M | 3.73% | Increased | 6.33K (2.0%, $6.01M) |
STX - SEAGATE TECHNOLOGY HLDNGS PL(Class: ORD SHS) | 253.78K | $36.63M | 3.61% | Decreased | 58.35K (18.0%, $10.11M) |
NVDA - NVIDIA CORPORATION(Class: COM) | 229.22K | $36.21M | 3.57% | Increased | 23.36K (11.0%, $13.90M) |
LITE - LUMENTUM HLDGS INC(Class: COM) | 372.06K | $35.37M | 3.48% | Decreased | 61.57K (14.0%, $8.34M) |
ERIC - TELEFONAKTIEBOLAGET LM ERICS(Class: ADR B SEK 10) | 3.89M | $33.02M | 3.25% | Decreased | 875.32K (18.0%, $3.99M) |
CIEN - CIENA CORP(Class: COM NEW) | 390.85K | $31.79M | 3.13% | Decreased | 64.21K (14.0%, $4.29M) |
DIS - DISNEY WALT CO(Class: COM) | 250.48K | $31.06M | 3.06% | Decreased | 7.51K (2.0%, $5.60M) |
AVGO - BROADCOM INC(Class: COM) | 110.06K | $30.34M | 2.99% | Decreased | 23.89K (17.0%, $7.91M) |
ANET - ARISTA NETWORKS INC(Class: COM SHS) | 295.12K | $30.19M | 2.97% | Decreased | 58.05K (16.0%, $2.83M) |
VRT - VERTIV HOLDINGS CO(Class: COM CL A) | 232.63K | $29.87M | 2.94% | Decreased | 44.16K (15.0%, $9.89M) |
CCOI - COGENT COMMUNICATIONS HLDGS(Class: COM NEW) | 582.97K | $28.11M | 2.77% | Decreased | 392.10K (40.0%, $31.68M) |
TKO - TKO GROUP HOLDINGS INC(Class: CL A) | 150.82K | $27.44M | 2.70% | Decreased | 25.32K (14.0%, $525.96K) |
RCI - ROGERS COMMUNICATIONS INC(Class: CL B) | 868.63K | $25.78M | 2.54% | Increased | 40.15K (4.0%, $6.06M) |
CRM - SALESFORCE INC(Class: COM) | 92.37K | $25.19M | 2.48% | New | 92.37K ($25.19M) |
WMG - WARNER MUSIC GROUP CORP(Class: COM CL A) | 806.08K | $21.96M | 2.16% | Decreased | 90.29K (10.0%, $6.14M) |
BE - BLOOM ENERGY CORP(Class: COM CL A) | 909.76K | $21.76M | 2.14% | Increased | 74.12K (8.0%, $5.33M) |
CMCSA - COMCAST CORP NEW(Class: CL A) | 495.88K | $17.70M | 1.74% | New | 495.88K ($17.70M) |
CCI - CROWN CASTLE INC(Class: COM) | 155.36K* | $15.96M* | 1.57% | Decreased | 439.30K (73.0%, $46.02M) |
OUT - OUTFRONT MEDIA INC(Class: COM NEW) | 969.21K | $15.82M | 1.56% | Decreased | 663.03K (40.0%, $5.63M) |