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PARK CIRCLE Co
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13F Holdings
13F Holdings
AUM History
13F Filings for PARK CIRCLE Co (CIK: 1546592)
View the most recent portfolio holdings disclosed by PARK CIRCLE Co in their 13F filing.
Quarter:
Q2 2025
Holding
Shares
Value
Portfolio Percent
Change Status
Change Amount
ABBV - ABBVIE INC
(Class: COM)
72.50K
$13.46M
11.42%
Unchanged
TRV - TRAVELERS COMPANIES INC
(Class: COM)
44.83K
$11.99M
10.17%
Unchanged
GS - GOLDMAN SACHS GROUP
(Class: COM)
11.25K
$7.96M
6.75%
Unchanged
SBUX - STARBUCKS CORP
(Class: COM)
74.05K
$6.79M
5.76%
Unchanged
TROW - PRICE T ROWE GROUP INC
(Class: COM)
69.34K
$6.69M
5.68%
Increased
5K (7.0%, $780.42K)
VZ - VERIZON COMMUNICATIONS INC
(Class: COM)
137.21K
$5.94M
5.04%
Unchanged
MO - ALTRIA GROUP INC
(Class: COM)
86.05K
$5.05M
4.28%
Unchanged
MC - MOELIS CO
(Class: CL A)
50.18K
$3.13M
2.65%
Unchanged
ORI - OLD REP INTL CORP
(Class: COM)
79K
$3.04M
2.58%
Unchanged
PM - PHILIP MORRIS INTL INC
(Class: COM)
15.74K
$2.87M
2.43%
Unchanged
ADT - ADT INC
(Class: COM)
267.95K
$2.27M
1.93%
Unchanged
AAPL - APPLE INC
(Class: COM)
10.90K
$2.24M
1.90%
Unchanged
PBI - PITNEY BOWES INC
(Class: COM)
204.19K
$2.23M
1.89%
Unchanged
NVDA - NVIDIA CORP
(Class: COM)
14K
$2.21M
1.88%
Unchanged
IBM - INTERNATIONAL BUSINESS MACHS
(Class: COM)
7.10K
$2.09M
1.78%
Unchanged
PFE - PFIZER INC
(Class: COM)
83.50K
$2.02M
1.72%
Increased
65.90K (374.0%, $1.58M)
CM - CDN IMPERIAL BK COMM TORONTO
(Class: COM)
28K
$1.98M
1.68%
Unchanged
SUN - SUNOCO LP / SUNOCO FIN CORP
(Class: COM UT REP LP)
36.35K
$1.95M
1.65%
Unchanged
CG - CARLYLE GROUP INC
(Class: COM)
34.77K
$1.79M
1.52%
Unchanged
TD - TORONTO DOMINION BK ONT
(Class: COM NEW)
24.20K
$1.78M
1.51%
Decreased
5.60K (18.0%, $8.72K)
TU - TELUS CORP
(Class: COM)
97.08K
$1.56M
1.32%
Unchanged
TSLX - SIXTH STREET SPECIALITY LENDN
(Class: COM)
62K
$1.48M
1.25%
Unchanged
XOM - EXXON MOBIL CORP
(Class: COM)
13.47K
$1.45M
1.23%
Unchanged
TFC - TRUIST FINL CORP
(Class: COM)
33.53K
$1.44M
1.22%
Increased
12.60K (60.0%, $580.18K)
BX - BLACKSTONE GROUP LP
(Class: COM UNIT LTD)
9.50K
$1.42M
1.21%
Unchanged
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