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Reported Holdings Of The
Cacti Asset Management LLC

Legal Name: CACTI ASSET MANAGEMENT, LLC

Period of report: Jun 30, 2019
Effectiveness Date: Jul 1, 2019

Security Shares Held / Principal Amount Market Value Option
DISNEY WALT CO (254687106) 811,068 $112,982k
Boeing Co/The (097023105) 254,940 $94,012k
Apple Inc (037833100) 367,229 $73,350k
JACOBS ENGR GROUP (469814107) 865,535 $72,714k
American Express Co. (025816109) 577,489 $71,574k
MERCK & CO INC (58933Y105) 772,598 $64,767k
CORNING INCORPORATED (219350105) 1,756,118 $58,356k
BLACKSTONE GROUP (09253U108) 1,312,146 $58,141k
BECTON DICKINSON (075887109) 210,929 $52,553k
CHUBB LIMITED (H1467J104) 332,628 $48,950k
AVNET (053807103) 287,755 $47,195k
VOLKSWAGEN AG (D94523145) 269,695 $46,015k
UNITED PARCEL SERVIC (911312106) 418,479 $42,559k
GOLDMAN SACHS GROUP (38141G104) 206,664 $42,366k
SEAGATE TECHNOLOGY (G7945M107) 855,590 $41,924k
JOHNSON & JOHNSON (478160104) 270,917 $38,115k
General Motors Co (37045V100) 947,967 $36,326k
ALLERGAN PLC (G0177J108) 215,018 $35,908k
Fox Corp (35137L204) 924,328 $33,045k
US BANCORP DEL (902973304) 581,456 $30,224k
Exxon Mobil Corp (30231G102) 379,029 $28,738k
Bank of New York Mellon Corp. (064058100) 654,980 $28,420k
CVS HEALTH CORP (126650100) 471,521 $25,811k
UNITED TECHNOLOGIES (913017109) 164,324 $21,193k
EBAY INC (278642103) 452,335 $17,772k
SPDR S&P 500 ETF TR TR UNIT (78462F103) 33,725 $9,831k
TEVA PHARMACEUTICAL (881624209) 686,543 $6,179k
PZENA INVESTMENT MGMT INC CLAS (74731Q103) 706,650 $6,007k
MICROSOFT CORP (594918104) 43,250 $5,802k
KKR & CO INC (48251W104) 211,630 $5,270k
INTEL CORP (458140100) 70,400 $3,341k
PFIZER INC (717081103) 68,350 $2,968k
INTL BUSINESS MCHN (459200101) 17,010 $2,356k
COCA-COLA CO (191216100) 42,650 $2,179k
ALLIANCEBERNSTEIN HOLDING LP (01881G106) 62,600 $1,820k
PROCTER & GAMBLE CO (742718109) 15,745 $1,728k
JPMORGAN CHASE & CO (46625H100) 15,260 $1,661k
CELGENE CORP (151020104) 17,750 $1,639k
PEAPACK-GLADSTONE FINL CORP (704699107) 57,000 $1,579k
GENERAL ELECTRIC CO (369604103) 149,000 $1,550k
Vestas Wind Systems A/S (925458101) 49,500 $1,439k
INTL FLAVORS & FRAGR (459506101) 10,000 $1,436k
Bristol-Myers Squibb Co (110122108) 30,880 $1,393k
SIEMENS GAMESA RENEWABLE ENERGY SA BEARER (E8T87A100) 79,000 $1,319k
IDEXX LABS INC (45168D104) 4,054 $1,103k
SEALED AIR CORP (81211K100) 24,875 $1,051k
B. Riley Wealth Management, Inc. (037612306) 30,500 $1,045k
GENUINE PARTS CO (372460105) 9,750 $1,003k
MORGAN STANLEY (617446448) 22,000 $957k
Brown & Brown, Inc. (115236101) 21,000 $696k
HP INC (40434L105) 31,000 $643k
BAXTER INTL INC (071813109) 6,500 $531k
CISCO SYSTEMS INC (17275R102) 9,000 $502k
FASTENAL CO (311900104) 14,790 $476k
SONY CORP-ADR (B:SNE US) (835699307) 9,000 $474k
HEWLETT PACKARD ENTR (42824C109) 31,000 $464k
MACK CALI RLTY CORP (554489104) 20,000 $464k
LINDBLAD EXPEDITIONS HOLDING (535219109) 25,000 $437k
MOVADO GROUP INC COM (624580106) 15,000 $400k
Baker Hughes a GE Co (05722G100) 13,750 $339k
APOLLO COML REAL EST (03762U105) 14,174 $259k
FORD MOTOR CO (345370860) 25,000 $255k
WATERS CORP (941848103) 1,000 $213k
TIFFANY & CO (886547108) 2,200 $202k
DENTSPLY SIRONA INC (24906P109) 3,000 $173k
UNIFI INC (904677200) 9,500 $168k
CDK GLOBAL INC (12508E101) 3,333 $162k
TJX COMPANIES INC (872540109) 3,000 $159k
Duke Energy (26441c105) 1,666 $148k
MOHAWK INDS INC (608190104) 1,000 $145k
DXC TECHNOLOGY CO (23355L106) 2,577 $139k
MASTERCARD INC (57636Q104) 500 $131k
TECH PRECISION CORP (878739101) 100,000 $124k
CARLYLE GROUP L P (14309L102) 5,000 $111k
LILLY ELI & CO (532457108) 1,000 $111k
O'REILLY AUTOMOTIVE (67103H107) 250 $92k
FAST RETAILING CO LTD (J1346E100) 100 $61k
Intrexon Corp (46122T102) 7,500 $57k
PJT PARTNERS INC COM CL A (69343T107) 1,250 $50k
Berkshire Hathaway, Inc. (084670702) 200 $42k
WABTEC (929740108) 537 $37k
HOME DEPOT INC (437076102) 100 $21k
HISCOX LTD SHSISIN#BMG4593F1041 (G4593F104) 281 $6k

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