13F Filings for Princeton Global Asset Management LLC (CIK: 1767349)
View the most recent portfolio holdings disclosed by Princeton Global Asset Management LLC in their 13F filing.
Holding | Shares | Value | Portfolio Percent | Change Status | Change Amount |
---|---|---|---|---|---|
MSFT - MICROSOFT CORP COM(Class: Stock) | 69.45K | $34.55M | 6.27% | Decreased | 1.69K (2.0%, $7.84M) |
AVGO - BROADCOM INC COM(Class: Stock) | 119.50K | $32.94M | 5.98% | Decreased | 4.14K (3.0%, $12.24M) |
TSM - TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADS(Class: ADR) | 100.33K | $22.72M | 4.12% | Decreased | 2.91K (2.0%, $5.59M) |
JPM - JPMORGAN CHASE CO. COM(Class: Stock) | 64.61K | $18.73M | 3.40% | Decreased | 182 (0.0%, $2.84M) |
BX - BLACKSTONE INC COM(Class: Stock) | 101.07K | $15.12M | 2.74% | Increased | 54 (0.0%, $998.16K) |
PWR - QUANTA SVCS INC COM(Class: Stock) | 35.25K | $13.33M | 2.42% | Decreased | 375 (1.0%, $4.27M) |
V - VISA INC COM CL A(Class: Stock) | 34.76K | $12.34M | 2.24% | Increased | 5.57K (19.0%, $2.11M) |
GOOGL - ALPHABET INC CAP STK CL A(Class: Stock) | 63.80K | $11.24M | 2.04% | Decreased | 2.37K (3.0%, $1.01M) |
DGRO - ISHARES CORE DIVIDEND GROWTH ETF(Class: ETF) | 173.10K | $11.07M | 2.01% | Decreased | 780 (0.0%, $325.73K) |
CRH - CRH PLC ORD(Class: Stock) | 117.69K | $10.80M | 1.96% | Decreased | 2.42K (2.0%, $237.70K) |
AAPL - APPLE INC COM(Class: Stock) | 52.03K | $10.68M | 1.94% | Decreased | 1.03K (1.0%, $1.11M) |
BRK.B - BERKSHIRE HATHAWAY INC DEL CL B NEW(Class: Stock) | 21.96K | $10.67M | 1.94% | Decreased | 1.79K (7.0%, $1.98M) |
ETR - ENTERGY CORP NEW COM(Class: Stock) | 109.57K | $9.11M | 1.65% | Decreased | 1.90K (1.0%, $421.79K) |
CCEP - COCA-COLA EUROPACIFIC PARTNERS SHS(Class: Stock) | 91.64K | $8.50M | 1.54% | Decreased | 1.80K (1.0%, $364.59K) |
VIGI - VANGUARD INTERNATIONAL DIVIDEND APPRECIATION ETF(Class: ETF) | 92.59K | $8.34M | 1.51% | New | 92.59K ($8.34M) |
GLD - SPDR GOLD SHARES(Class: ETF) | 26.02K | $7.93M | 1.44% | Decreased | 1.29K (4.0%, $62.27K) |
ETN - EATON CORP PLC SHS(Class: Stock) | 21.50K | $7.67M | 1.39% | Increased | 207 (0.0%, $1.89M) |
CB - CHUBB LIMITED COM(Class: Stock) | 25.37K | $7.35M | 1.33% | Decreased | 188 (0.0%, $368.01K) |
AMZN - AMAZON COM INC COM(Class: Stock) | 32.29K | $7.08M | 1.29% | Increased | 1.04K (3.0%, $1.14M) |
TPR - TAPESTRY INC COM(Class: Stock) | 80.62K | $7.08M | 1.28% | Decreased | 636 (0.0%, $1.36M) |
JNJ - JOHNSON JOHNSON COM(Class: Stock) | 45.06K | $6.88M | 1.25% | Decreased | 5.01K (10.0%, $1.42M) |
LIN - LINDE PLC SHS(Class: Stock) | 14.37K | $6.74M | 1.22% | Increased | 84 (0.0%, $89.99K) |
VRTX - VERTEX PHARMACEUTICALS INC COM(Class: Stock) | 15.03K | $6.69M | 1.21% | Decreased | 186 (1.0%, $685.47K) |
GOOG - ALPHABET INC CAP STK CL C(Class: Stock) | 37.70K | $6.69M | 1.21% | Increased | 2.42K (6.0%, $1.18M) |
WSO - WATSCO INC COM(Class: Stock) | 14.66K | $6.47M | 1.17% | Increased | 136 (0.0%, $908.18K) |