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Reported Holdings Of The
Overbrook Management Corporation

Legal Name: OVERBROOK MANAGEMENT CORPORATION

Period of report: Jun 30, 2019
Effectiveness Date: Aug 13, 2019

Security Shares Held / Principal Amount Market Value Option
DARLING INGREDIENTS INC (237266101) 2,650,192 $52,712k
Alphabet Inc (02079K107) 34,880 $37,702k
T MOBILE US INC COM USD0.00001 (872590104) 499,532 $37,035k
RYMAN HOSPITALITY PPTYS INC (78377T107) 451,515 $36,613k
CITIGROUP INC (172967424) 521,625 $36,529k
Gildan Activewear Inc (375916103) 724,970 $28,042k
Facebook Inc (30303M102) 124,198 $23,970k
FMC CORP (302491303) 247,765 $20,552k
SPX CORP. (784635104) 521,580 $17,223k
CEDAR FAIR L P (150185106) 283,063 $13,499k
LEIDOS HOLDINGS INC (525327102) 167,480 $13,373k
MICROSOFT CORP (594918104) 92,561 $12,399k
Berkshire Hathaway, Inc. (084670702) 55,797 $11,894k
JPMORGAN CHASE & CO (46625H100) 98,263 $10,986k
ISHARES TR (464288687) 250,804 $9,242k
JOHNSON & JOHNSON (478160104) 65,587 $9,135k
Boeing Co/The (097023105) 20,176 $7,344k
KKR & CO INC (48251W104) 289,321 $7,311k
Apple Inc (037833100) 36,472 $7,219k
SPDR S&P 500 ETF TR TR UNIT (78462F103) 22,558 $6,609k
VISA INC COM CL A (92826C839) 35,988 $6,246k
MASTERCARD INC (57636Q104) 21,790 $5,764k
American Express Co. (025816109) 38,773 $4,786k
MCDONALDS CORP (580135101) 22,448 $4,662k
VANGUARD INDEX FDS TOTAL STK MKT (922908769) 30,334 $4,553k
CONSTELLIUM NV (N22035104) 422,366 $4,241k
Univar Inc (91336L107) 182,112 $4,014k
SUNOPTA INC (8676ep108) 1,076,750 $3,543k
GENERAL AMERN INVS (368802104) 97,319 $3,454k
FEDEX CORP (31428X106) 20,232 $3,322k
PEMBINA PIPELINE CORP (706327103) 88,118 $3,283k
PFIZER INC (717081103) 71,699 $3,106k
Exxon Mobil Corp (30231G102) 35,996 $2,758k
UNION PAC CORP (907818108) 14,862 $2,513k
INVESCO QQQ TR UNIT SER 1 (46090E103) 13,407 $2,504k
LIVENT CORPORATION (53814L108) 329,746 $2,282k
SPDR S&P MIDCAP 400 ETF TR UTSER1 S&PDCRP (78467Y107) 6,234 $2,211k
INVESCO EXCHNG TRADED FD TR SR LN ETF (46138G508) 80,475 $1,824k
Voya Financial Inc. (929089100) 27,079 $1,497k
ADP (053015103) 8,152 $1,348k
ALIBABA GROUP HLDG LTD (01609W102) 6,335 $1,073k
ALPHABET INC (02079K305) 943 $1,021k
ABBOTT LABS (002824100) 10,568 $889k
MONDELEZ INTL INC (609207105) 15,341 $827k
ADOBE INC (00724F101) 2,722 $802k
INTEL CORP (458140100) 16,585 $794k
COCA-COLA CO (191216100) 15,333 $781k
ISHARES TR CORE S&P SCP ETF (464287804) 9,768 $765k
GOLDMAN SACHS GROUP (38141G104) 3,611 $739k
ABBVIE INC (00287Y109) 9,070 $660k
PayPal Holdings Inc (70450Y103) 5,676 $650k
GENERAL ELECTRIC CO (369604103) 61,762 $649k
Chevron Corp (166764100) 4,908 $611k
Halliburton Co (406216101) 21,905 $498k
HDFC Bank Ltd (40415F101) 3,739 $486k
FIBROGEN INC (31572Q808) 10,370 $469k
NEWMARK GROUP INC (65158N102) 50,000 $449k
SELECT SECTOR SPDR (81369Y704) 5,297 $410k
Hess Corp (42809H107) 6,050 $385k
Bristol-Myers Squibb Co (110122108) 8,290 $376k
STARWOOD PPTY TR (85571B105) 15,828 $360k
COLGATE PALMOLIVE CO (194162103) 4,920 $353k
AT&T INC (00206R102) 10,470 $351k
HOME DEPOT INC (437076102) 1,675 $348k
Thermo Fisher Scientific Inc (883556102) 1,100 $323k
BLACKSTONE GROUP INC COMCL A (09260d107) 7,220 $321k
SELECT SECTOR SPDR (81369Y803) 3,887 $303k
Amazon.com Inc (023135106) 140 $265k
Aon, PLC (G0408V102) 1,322 $255k
FIVE BELOW INC COM (33829M101) 2,000 $240k
NEW ORIENTAL ED & TECH GRP I (647581107) 2,349 $227k
Schlumberger Ltd (806857108) 5,217 $207k
SELECT SECTOR SPDR TR SBI HEALTHCARE (81369Y209) 2,222 $206k

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