New York, NY, based mostly Funding firm Pinnacle Associates Ltd (Present Portfolio) buys Match Group Inc, IAC/InterActiveCorp, CommVault Methods Inc, Starbucks Corp, Limelight Networks Inc, sells Apple Inc, Lazard, Salesforce.com Inc, Madison Sq. Backyard Leisure Corp, Autodesk Inc through the 3-months ended 2020Q3, in keeping with the newest filings of the funding firm, Pinnacle Associates Ltd. As of 2020Q3, Pinnacle Associates Ltd owns 661 shares with a complete worth of $4.2 billion. These are the main points of the buys and sells.
- New Purchases: MTCH, IAC, CVLT, RST, SAIA, MRVL, IWB, DGRW, BKLN, ZM, RACE, KEYS, VOYA, ICLR, A, BIP, SCHG, SCHP, SJNK, PKG, FISV, CCI, OPCH, VTIP, MSGN, INDA, LIVX, JAZZ, BR, TTI, PH, NLY,
- Added Positions: JNJ, SBUX, LLNW, ROG, SEAS, SCHD, WBA, AMRS, MINT, BRK.B, VCSH, GS, AYX, VLO, MSGS, MMM, AMZN, BMY, ATUS, TENB, VTV, ADI, C, FCX, LHX, RTX, VZ, GLD, IVV, TOTL, VB, VO, VYM, AEP, TFC, BAC, GOLD, CRH, CAT, CNC, CVX, KO, DHR, GD, LNC, MLM, MCD, MDT, MU, PFE, LIN, ROK, TDS, TXN, TKR, WMT, WDC, NVG, TSLA, GM, ESGC, BTT, BATRA, BND, BOND, FBT, IEI, IEMG, IJR, NEAR, TIP, VBK, VEU, VGK, XLV, ABB, ASML, AMD, ALXN, AMT, ATRS, AIT, BRKL, LUMN, SCHW, CHD, CLX, COP, ED, STZ, DVN, D, DD, DY, EMN, ENS, EXC, FHN, GSK, ITW, KMB, KR, MMP, MKC, NP, NWL, ODFL, DGX, RSG, RIO, WRK, SNY, STX, SHW, NLOK, TCF, TJX, TSM, TMO, UFI, UL, UNP, ANTM, WMB, SPB, OPK, RDS.B, PPT, CHI, NRK, MWA, DFS, LULU, CXO, VMW, AWK, LYB, MPC, ABBV, GLPI, ADVM, TEAM, BKR, DOW, UBER, CHWY, DGRO, DGS, DVY, GDX, IAU, IHI, IVW, IXC, IYH, JKH, JPST, MTUM, MUB, ROBO, SCHA, SCHB, SCHF, SCHH, SCHM, SCHX, SHM, VCIT, VIG, VTEB, VV, XAR, XLF, XLK,
- Diminished Positions: AAPL, MSFT, LAZ, CRM, ADSK, LRCX, MYGN, DIA, SGEN, MGNX, QRVO, ZS, CGNX, DLR, PGR, RCL, MA, CMCSA, IIVI, ORCL, TRMB, FB, BA, CUB, CMI, IONS, KSU, NVDA, PLUG, REGN, RHI, AVAV, DAL, TAK, IRDM, CONE, BABA, SGH, DEM, VTI, AEIS, AFL, AMAT, BAX, BYD, CAE, FDX, FORM, TGNA, GILD, GOOGL, RJF, TRV, UNH, WERN, V, DISCK, AMBA, FEYE, LITE, AQUA, LASR, FDN, IWO, QQQ, USMV, T, SRPT, ADBE, BLK, CCJ, CNI, CSCO, COST, CYTK, DEO, SSP, LLY, HXL, HD, HON, IMGN, MDLZ, LVS, LMT, MRK, MS, NFLX, NXST, ES, NOC, TPC, PHG, PFG, PRU, SU, UCTT, UPS, VAR, VSH, VOD, DIS, WFC, WWE, BX, AVGO, XYL, CLVS, PANW, ICPT, PTCT, ESPR, NWS, MIXT, ITCI, CARA, RARE, GOOG, CRBP, FGEN, ENR, PYPL, LSXMA, LSXMK, SE, ELAN, ALC, DES, EFA, HDV, ITB, MNA, SCZ, SLYV, VNQ, VOOG, ABT, ACN, ATVI, AEM, APD, AKAM, MO, ABC, WTRG, ADM, AZN, BP, BIDU, BK, HPR, BHC, BWA, VIAC, CSX, COF, CCL, LNG, CI, SBS, CAG, GLW, CVA, DE, DISCA, DUK, EMR, EL, XOM, GE, GLNG, HP, HSY, HUM, IBM, TT, IP, KLAC, SR, LXRX, LOW, MGM, MCK, MEOH, MET, NKE, NTRS, OXY, ORI, OMC, PCAR, PPG, PZZA, PAYX, NTR, BKNG, PEG, PHM, PWR, RDS.A, SASR, SLB, XPO, SIFY, SWKS, SO, SNV, TROW, TTWO, TGT, TEVA, TXT, TOT, WEN, TSN, CUBE, USB, UN, VTR, GRA, WY, WYNN, GAM, BHK, KYN, DIAX, LBTYK, SMCI, TMUS, KDP, QEP, KKR, NXPI, KMI, APTV, PSX, FEI, PRTA, ZTS, HDS, NWSA, NXE, AERI, GCI, CGC, JD, PE, SAGE, ATRA, SYF, KRNT, TWLO, NTB, GDS, HWM, CARS, ROKU, LYFT, CTVA, CARR, OTIS, AMLP, BSV, IGSB, CWB, DON, DWX, EEM, FEM, GUNR, HYD, HYG, HYS, IJT, IWD, IWF, IWM, IWR, IXN, IXUS, IYW, OEF, PGX, SCHC, SDS, SHY, SMH, SPLV, SPSB, SPTS, VEA, VGIT, VGSH, VOO, VUG, VWO, VYMI, XBI, XLI, XLU,
- Bought Out: MSGE, BBIO, IVZ, NOMD, ISCF, ALL, IGF, ACWV, SQ, GWPH, NOW, GLPG, CBBPB.PFD, ICON, MTRN, CHL, DXCM, BEN, HSBC, LBAI, JWN, SPG, LNTH, TTNP, OCGN, MYOS, CSSE, VHC, GPL, CNSL, UEC,
For the main points of PINNACLE ASSOCIATES LTD’s inventory buys and sells,
go to https://www.gurufocus.com/guru/pinnacle+associates+ltd/current-portfolio/portfolio
These are the highest 5 holdings of PINNACLE ASSOCIATES LTD
- Apple Inc (AAPL) – 1,281,042 shares, 3.53% of the entire portfolio. Shares lowered by 23.8%
- Johnson & Johnson (JNJ) – 749,023 shares, 2.66% of the entire portfolio. Shares added by 15.44%
- Microsoft Corp (MSFT) – 464,589 shares, 2.33% of the entire portfolio. Shares lowered by 14.84%
- Plug Energy Inc (PLUG) – 5,959,763 shares, 1.90% of the entire portfolio. Shares lowered by 2.1%
- Qorvo Inc (QRVO) – 594,418 shares, 1.83% of the entire portfolio. Shares lowered by 4.01%
New Buy: Match Group Inc (MTCH)
Pinnacle Associates Ltd initiated holding in Match Group Inc. The acquisition costs have been between $90.36 and $120.71, with an estimated common worth of $105.79. The inventory is now traded at round $120.30. The impression to a portfolio on account of this buy was 0.95%. The holding have been 359,217 shares as of .
New Buy: IAC/InterActiveCorp (IAC)
Pinnacle Associates Ltd initiated holding in IAC/InterActiveCorp. The acquisition costs have been between $106.71 and $137.46, with an estimated common worth of $125.5. The inventory is now traded at round $129.31. The impression to a portfolio on account of this buy was 0.49%. The holding have been 170,401 shares as of .
New Buy: CommVault Methods Inc (CVLT)
Pinnacle Associates Ltd initiated holding in CommVault Methods Inc. The acquisition costs have been between $37.23 and $44.13, with an estimated common worth of $41.09. The inventory is now traded at round $42.32. The impression to a portfolio on account of this buy was 0.34%. The holding have been 353,014 shares as of .
New Buy: Rosetta Stone Inc (RST)
Pinnacle Associates Ltd initiated holding in Rosetta Stone Inc. The acquisition costs have been between $15.67 and $30.38, with an estimated common worth of $25.82. The inventory is now traded at round $29.99. The impression to a portfolio on account of this buy was 0.04%. The holding have been 57,310 shares as of .
New Buy: Saia Inc (SAIA)
Pinnacle Associates Ltd initiated holding in Saia Inc. The acquisition costs have been between $110.24 and $140.27, with an estimated common worth of $127.37. The inventory is now traded at round $147.41. The impression to a portfolio on account of this buy was 0.03%. The holding have been 10,000 shares as of .
New Buy: Marvell Expertise Group Ltd (MRVL)
Pinnacle Associates Ltd initiated holding in Marvell Expertise Group Ltd. The acquisition costs have been between $32.79 and $41.19, with an estimated common worth of $36.77. The inventory is now traded at round $41.43. The impression to a portfolio on account of this buy was 0.02%. The holding have been 23,250 shares as of .
Added: Starbucks Corp (SBUX)
Pinnacle Associates Ltd added to a holding in Starbucks Corp by 137.85%. The acquisition costs have been between $72.65 and $88.38, with an estimated common worth of $79.77. The inventory is now traded at round $90.80. The impression to a portfolio on account of this buy was 0.18%. The holding have been 151,023 shares as of .
Added: Limelight Networks Inc (LLNW)
Pinnacle Associates Ltd added to a holding in Limelight Networks Inc by 3455.24%. The acquisition costs have been between $4.99 and $7.92, with an estimated common worth of $6.26. The inventory is now traded at round $4.20. The impression to a portfolio on account of this buy was 0.17%. The holding have been 1,262,040 shares as of .
Added: Rogers Corp (ROG)
Pinnacle Associates Ltd added to a holding in Rogers Corp by 93.83%. The acquisition costs have been between $96.28 and $134.07, with an estimated common worth of $117.64. The inventory is now traded at round $111.83. The impression to a portfolio on account of this buy was 0.13%. The holding have been 109,303 shares as of .
Added: SeaWorld Leisure Inc (SEAS)
Pinnacle Associates Ltd added to a holding in SeaWorld Leisure Inc by 23.82%. The acquisition costs have been between $14.47 and $21.85, with an estimated common worth of $18.26. The inventory is now traded at round $23.82. The impression to a portfolio on account of this buy was 0.11%. The holding have been 1,227,974 shares as of .
Added: SCHWAB STRATEGIC T (SCHD)
Pinnacle Associates Ltd added to a holding in SCHWAB STRATEGIC T by 151.16%. The acquisition costs have been between $50.37 and $58.54, with an estimated common worth of $55.18. The inventory is now traded at round $58.70. The impression to a portfolio on account of this buy was 0.11%. The holding have been 142,313 shares as of .
Added: Walgreens Boots Alliance Inc (WBA)
Pinnacle Associates Ltd added to a holding in Walgreens Boots Alliance Inc by 1161.64%. The acquisition costs have been between $34.67 and $43.16, with an estimated common worth of $39.11. The inventory is now traded at round $38.04. The impression to a portfolio on account of this buy was 0.1%. The holding have been 129,684 shares as of .
Bought Out: Madison Sq. Backyard Leisure Corp (MSGE)
Pinnacle Associates Ltd offered out a holding in Madison Sq. Backyard Leisure Corp. The sale costs have been between $63.89 and $80.75, with an estimated common worth of $72.23.
Bought Out: BridgeBio Pharma Inc (BBIO)
Pinnacle Associates Ltd offered out a holding in BridgeBio Pharma Inc. The sale costs have been between $27.2 and $42.19, with an estimated common worth of $31.4.
Bought Out: Invesco Ltd (IVZ)
Pinnacle Associates Ltd offered out a holding in Invesco Ltd. The sale costs have been between $9.77 and $11.49, with an estimated common worth of $10.61.
Bought Out: Nomad Meals Ltd (NOMD)
Pinnacle Associates Ltd offered out a holding in Nomad Meals Ltd. The sale costs have been between $20.83 and $26.36, with an estimated common worth of $23.72.
Bought Out: Nordstrom Inc (JWN)
Pinnacle Associates Ltd offered out a holding in Nordstrom Inc. The sale costs have been between $11.79 and $17.13, with an estimated common worth of $15.02.
Bought Out: iShares International Infrastructure ETF (IGF)
Pinnacle Associates Ltd offered out a holding in iShares International Infrastructure ETF. The sale costs have been between $37.76 and $40.82, with an estimated common worth of $39.41.
Diminished: Apple Inc (AAPL)
Pinnacle Associates Ltd lowered to a holding in Apple Inc by 23.8%. The sale costs have been between $91.03 and $134.18, with an estimated common worth of $109.02. The inventory is now traded at round $115.04. The impression to a portfolio on account of this sale was -0.91%. Pinnacle Associates Ltd nonetheless held 1,281,042 shares as of .
Diminished: Lazard Ltd (LAZ)
Pinnacle Associates Ltd lowered to a holding in Lazard Ltd by 98.45%. The sale costs have been between $27.37 and $34.6, with an estimated common worth of $30.79. The inventory is now traded at round $35.88. The impression to a portfolio on account of this sale was -0.32%. Pinnacle Associates Ltd nonetheless held 6,904 shares as of .
Diminished: Salesforce.com Inc (CRM)
Pinnacle Associates Ltd lowered to a holding in Salesforce.com Inc by 77.16%. The sale costs have been between $185.51 and $281.25, with an estimated common worth of $219.05. The inventory is now traded at round $250.52. The impression to a portfolio on account of this sale was -0.17%. Pinnacle Associates Ltd nonetheless held 10,696 shares as of .
Diminished: Autodesk Inc (ADSK)
Pinnacle Associates Ltd lowered to a holding in Autodesk Inc by 34.39%. The sale costs have been between $220.96 and $261.35, with an estimated common worth of $237.62. The inventory is now traded at round $254.42. The impression to a portfolio on account of this sale was -0.11%. Pinnacle Associates Ltd nonetheless held 33,856 shares as of .
Diminished: Myriad Genetics Inc (MYGN)
Pinnacle Associates Ltd lowered to a holding in Myriad Genetics Inc by 96.5%. The sale costs have been between $11.25 and $14.75, with an estimated common worth of $12.64. The inventory is now traded at round $14.61. The impression to a portfolio on account of this sale was -0.09%. Pinnacle Associates Ltd nonetheless held 10,678 shares as of .
Diminished: Zscaler Inc (ZS)
Pinnacle Associates Ltd lowered to a holding in Zscaler Inc by 54.04%. The sale costs have been between $110.21 and $159.36, with an estimated common worth of $129.56. The inventory is now traded at round $147.05. The impression to a portfolio on account of this sale was -0.07%. Pinnacle Associates Ltd nonetheless held 21,568 shares as of .
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