13F Filings for Sheets Smith Investment Management (CIK: 1785199)

View the most recent portfolio holdings disclosed by Sheets Smith Investment Management in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
GBIL - GOLDMAN SACHS ETF TR(Class: ACCES TREASURY)341.07K $34.17M 34.06%Increased 264.96K (348.0%, $26.56M)
VCSH - VANGUARD SCOTTSDALE FDS(Class: SHRT TRM CORP BD)137.10K $10.82M 10.79%Increased 2.05K (1.0%, $287.74K)
RSP - INVESCO EXCHANGE TRADED FD T(Class: SP500 EQL WGT)35.39K $6.13M 6.11%Decreased 54 (0.0%, $80.24K)
VCIT - VANGUARD SCOTTSDALE FDS(Class: INT-TERM CORP)54.68K $4.47M 4.46%Decreased 687 (1.0%, $26.32K)
NVDA - NVIDIA CORPORATION(Class: COM)22.47K $2.43M 2.43%Decreased 41 (0.0%, $587.63K)
AMZN - AMAZON COM INC(Class: COM)12.38K $2.35M 2.35%Increased 358 (2.0%, $281.94K)
PLMR - PALOMAR HLDGS INC(Class: COM)15.41K $2.11M 2.11%Decreased 15 (0.0%, $483.61K)
TMUS - T-MOBILE US INC(Class: COM)7.57K $2.02M 2.01%Decreased 6 (0.0%, $346.56K)
HWM - HOWMET AEROSPACE INC(Class: COM)15.21K $1.97M 1.97%Decreased 24 (0.0%, $306.97K)
CRS - CARPENTER TECHNOLOGY CORP(Class: COM)10.42K $1.89M 1.88%Decreased 25 (0.0%, $115.30K)
EXLS - EXLSERVICE HOLDINGS INC(Class: COM)36.38K $1.72M 1.71%Increased 29 (0.0%, $104.25K)
USFD - US FOODS HLDG CORP(Class: COM)25.13K $1.64M 1.64%Increased 4.75K (23.0%, $270.04K)
FI - FISERV INC(Class: COM)6.98K $1.54M 1.54%Increased 9 (0.0%, $109.40K)
APP - APPLOVIN CORP(Class: COM CL A)5.60K $1.48M 1.48%Decreased 4.48K (44.0%, $1.78M)
AVPT - AVEPOINT INC(Class: COM CL A)102.01K $1.47M 1.47%Decreased 303 (0.0%, $216.16K)
WTW - WILLIS TOWERS WATSON PLC LTD(Class: SHS)4.19K $1.42M 1.41%Decreased 15 (0.0%, $98.79K)
SYK - STRYKER CORPORATION(Class: COM)3.74K $1.39M 1.39%Increased 16 (0.0%, $51.39K)
GEV - GE VERNOVA INC(Class: COM)4.48K $1.37M 1.36%Decreased 10 (0.0%, $109.31K)
META - META PLATFORMS INC(Class: CL A)2.31K $1.33M 1.32%Decreased 2.18K (48.0%, $1.30M)
MELI - MERCADOLIBRE INC(Class: COM)677 $1.32M 1.32%New 677 ($1.32M)
PLTR - PALANTIR TECHNOLOGIES INC(Class: CL A)14.89K $1.26M 1.25%Decreased 14.90K (50.0%, $996.31K)
TBBK - BANCORP INC DEL(Class: COM)23.69K $1.25M 1.25%Decreased 88 (0.0%, $343)
PODD - INSULET CORP(Class: COM)4.64K $1.22M 1.21%Increased 1.51K (48.0%, $401.10K)
GOOG - ALPHABET INC(Class: CAP STK CL C)7.76K $1.21M 1.21%Increased 120 (1.0%, $242.62K)
FTNT - FORTINET INC(Class: COM)11.82K $1.14M 1.13%Decreased 4K (25.0%, $357.27K)