CWM, LLC duplicate's portfolio and holdings - Nov 2025

As per corporate shareholdings filed for Oct-2025, people matching CWM, LLC duplicate publicly holds 200 stocks with a net worth of over US$ 1.3 B.

These are shares held by CWM, LLC duplicate as per the shareholding data filed with the exchanges. The latest quarter tends to have missing data since not all companies may have reported their shareholding data till now.

Month Ending
Get a Portfolio in one click
Trendlyne RA Baskets
ADD ALL SUPERSTAR ALERTS
Results truncated because your query was too generic or resulted in more than 200 results.
Stock Name Holders Name Current Price US$ Quantity Held Holding Percent Change from Previous Qtr Holding Value US$ History
Eagle Bancorp Montana Inc Cwm, Llc Duplicate 19.08 41,398 0.52% - 789.9 K
CuriosityStream Inc - Ordinary Shares- Class A Cwm, Llc Duplicate 4.62 295,963 0.51% - 1.4 M
Nacco Industries Inc. - Ordinary Shares - Class A Cwm, Llc Duplicate 49.42 33,251 0.45% - 1.6 M
Eaton Vance Senior Floating-Rate Trust Cwm, Llc Duplicate 11.14 125,991 0.43% - 1.4 M
Toro Co. Cwm, Llc Duplicate 73.99 406,125 0.42% - 30.0 M
Hamilton Beach Brands Holding Co - Ordinary Shares - Class A Cwm, Llc Duplicate 16.47 54,358 0.40% - 895.3 K
MIND Technology Inc Cwm, Llc Duplicate 8.48 24,875 0.31% - 210.9 K
Valmont Industries, Inc. Cwm, Llc Duplicate 417.54 58,018 0.29% - 24.2 M
Alerus Financial Corp Cwm, Llc Duplicate 23.48 72,007 0.28% - 1.7 M
Kelly Services, Inc. - Ordinary Shares - Class A Cwm, Llc Duplicate 9.08 97,801 0.28% - 888.0 K
J.M. Smucker Co. Cwm, Llc Duplicate 101.57 258,741 0.24% - 26.3 M
Hyster-Yale Materials Handling Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 33.56 42,281 0.24% - 1.4 M
First Trust Mortgage Income Fund Cwm, Llc Duplicate 11.87 9,780 0.23% - 116.1 K
Service Corp. International Cwm, Llc Duplicate 78.83 319,161 0.23% - 25.2 M
Shore Bancshares Inc. Cwm, Llc Duplicate 18.75 73,961 0.22% - 1.4 M
DENTSPLY Sirona Inc Cwm, Llc Duplicate 11.57 420,470 0.21% - 4.9 M
Everest Group Ltd Cwm, Llc Duplicate 327.16 88,453 0.21% - 28.9 M
Lyft Inc - Ordinary Shares Cls A Cwm, Llc Duplicate 20.37 819,677 0.21% - 16.7 M
Robert Half International Inc. Cwm, Llc Duplicate 27.66 204,808 0.20% - 5.7 M
e.l.f. Beauty Inc Cwm, Llc Duplicate 76.36 116,665 0.20% - 8.9 M
Repay Holdings Corporation - Ordinary Shares - Class A Cwm, Llc Duplicate 3.45 158,093 0.19% - 545.4 K
Methode Electronics, Inc. Cwm, Llc Duplicate 6.97 67,778 0.19% - 472.4 K
Huntsman Corp Cwm, Llc Duplicate 10.61 332,868 0.19% - 3.5 M
ManpowerGroup Cwm, Llc Duplicate 29.36 86,210 0.18% - 2.5 M
Ashland Inc Cwm, Llc Duplicate 59.15 80,622 0.18% - 4.8 M
ADT Inc Cwm, Llc Duplicate 8.16 1,414,830 0.17% - 11.5 M
Boston Beer Co., Inc. - Ordinary Shares - Class A Cwm, Llc Duplicate 203.03 18,217 0.17% - 3.7 M
W. P. Carey Inc Cwm, Llc Duplicate 65.01 371,180 0.17% - 24.1 M
Tekla Healthcare Opportunities Fund Cwm, Llc Duplicate 18.73 68,596 0.17% - 1.3 M
Teleflex Incorporated Cwm, Llc Duplicate 126.88 72,248 0.16% - 9.2 M
Art`s-way Manufacturing Co. Inc. Cwm, Llc Duplicate 2.46 8,278 0.16% - 20.4 K
MV Oil Trust Cwm, Llc Duplicate 1.35 18,000 0.16% - 24.3 K
American Resources Corporation - Ordinary Shares - Class A Cwm, Llc Duplicate 2.57 159,067 0.15% - 408.8 K
Peakstone Realty Trust - Ordinary Shares - Class E Cwm, Llc Duplicate 14.46 56,516 0.15% - 817.2 K
Arrow Electronics Inc. Cwm, Llc Duplicate 113.59 79,088 0.15% - 9.0 M
Jacobs Solutions Inc Cwm, Llc Duplicate 135.72 182,290 0.15% - 24.7 M
Pioneer Municipal High Income Advantage Fund Inc Cwm, Llc Duplicate 8.08 36,247 0.15% - 292.9 K
First Trust Specialty Finance & Financial Opportunities Fund Cwm, Llc Duplicate 4.15 21,765 0.15% - 90.3 K
Molina Healthcare Inc Cwm, Llc Duplicate 168.50 76,049 0.15% - 12.8 M
NiSource Inc Cwm, Llc Duplicate 41.41 692,760 0.15% - 28.7 M
Medifast Inc Cwm, Llc Duplicate 12.36 15,849 0.14% - 195.9 K
Sixth Street Specialty Lending Inc Cwm, Llc Duplicate 22.60 135,502 0.14% - 3.1 M
Ironwood Pharmaceuticals Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 3.58 232,790 0.14% - 833.4 K
Hanmi Financial Corp. Cwm, Llc Duplicate 29.04 42,645 0.14% - 1.2 M
Albemarle Corp. Cwm, Llc Duplicate 132.74 165,074 0.14% - 21.9 M
Kura Oncology Inc Cwm, Llc Duplicate 10.22 118,363 0.14% - 1.2 M
Concentrix Corporation Cwm, Llc Duplicate 39.57 86,510 0.14% - 3.4 M
Regenxbio Inc Cwm, Llc Duplicate 13.87 68,035 0.13% - 943.6 K
Shenandoah Telecommunications Co. Cwm, Llc Duplicate 11.72 73,475 0.13% - 861.1 K
Safety Insurance Group, Inc. Cwm, Llc Duplicate 78.53 19,822 0.13% - 1.6 M
Acco Brands Corporation Cwm, Llc Duplicate 3.79 124,065 0.13% - 470.2 K
Cohen & Steers Real Estate Opportunities and Income Fund Cwm, Llc Duplicate 14.62 21,839 0.13% - 319.3 K
FS Credit Opportunities Corp Cwm, Llc Duplicate 6.22 255,552 0.13% - 1.6 M
Columbus Mckinnon Corp. Cwm, Llc Duplicate 17.87 36,684 0.13% - 655.5 K
Evergy Inc Cwm, Llc Duplicate 73.80 293,896 0.13% - 21.7 M
MFA Financial Inc Cwm, Llc Duplicate 9.60 130,145 0.13% - 1.2 M
National Fuel Gas Co. Cwm, Llc Duplicate 82.25 114,076 0.13% - 9.4 M
Wendy`s Co - Ordinary Shares - Class A Cwm, Llc Duplicate 8.61 240,123 0.13% - 2.1 M
Capitol Federal Financial Cwm, Llc Duplicate 7.00 161,772 0.13% - 1.1 M
Winnebago Industries, Inc. Cwm, Llc Duplicate 39.24 34,950 0.12% - 1.4 M
Kearny Financial Corp. Cwm, Llc Duplicate 7.77 77,701 0.12% - 603.7 K
Elastic N.V Cwm, Llc Duplicate 76.31 126,910 0.12% - 9.7 M
Pinnacle Financial Partners Inc. Cwm, Llc Duplicate 99.88 93,318 0.12% - 9.3 M
Oil States International, Inc. Cwm, Llc Duplicate 7.07 70,667 0.12% - 499.6 K
National Presto Industries, Inc. Cwm, Llc Duplicate 103.09 8,242 0.12% - 849.7 K
Nuveen Pennsylvania Quality Municipal Income Fund Cwm, Llc Duplicate 12.11 42,882 0.12% - 519.3 K
First Financial Corp. - Indiana Cwm, Llc Duplicate 64.14 13,636 0.12% - 874.6 K
Fortrea Holdings Inc Cwm, Llc Duplicate 15.72 105,547 0.11% - 1.7 M
Kemper Corporation Cwm, Llc Duplicate 41.26 66,361 0.11% - 2.7 M
Match Group Inc. - Ordinary Shares - New Cwm, Llc Duplicate 33.19 266,406 0.11% - 8.8 M
BorgWarner Inc Cwm, Llc Duplicate 44.49 235,861 0.11% - 10.5 M
Midland States Bancorp Inc Cwm, Llc Duplicate 21.20 23,592 0.11% - 500.2 K
EverQuote Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 27.74 39,178 0.11% - 1.1 M
Hormel Foods Corp. Cwm, Llc Duplicate 24.05 598,907 0.11% - 14.4 M
Tempus AI Inc. - Ordinary Shares - Class A Cwm, Llc Duplicate 70.61 192,194 0.11% - 13.6 M
Flushing Financial Corp. Cwm, Llc Duplicate 17.09 36,253 0.11% - 619.6 K
Synovus Financial Corp. Cwm, Llc Duplicate 52.57 147,138 0.11% - 7.7 M
Amerisafe Inc Cwm, Llc Duplicate 39.18 19,868 0.10% - 778.4 K
Amdocs Ltd Cwm, Llc Duplicate 79.35 114,255 0.10% - 9.1 M
Cognex Corp. Cwm, Llc Duplicate 35.65 174,164 0.10% - 6.2 M
Pegasystems Inc. Cwm, Llc Duplicate 59.63 170,756 0.10% - 10.2 M
First National Corp. (Strasburg, VA) Cwm, Llc Duplicate 25.90 9,020 0.10% - 233.6 K
Incyte Corp. Cwm, Llc Duplicate 95.41 196,472 0.10% - 18.7 M
Moderna Inc Cwm, Llc Duplicate 29.46 390,333 0.10% - 11.5 M
B&G Foods, Inc Cwm, Llc Duplicate 4.78 79,792 0.10% - 381.4 K
Northfield Bancorp Inc Cwm, Llc Duplicate 12.28 41,700 0.10% - 512.1 K
10x Genomics Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 15.46 125,804 0.10% - 1.9 M
Medpace Holdings Inc Cwm, Llc Duplicate 557.90 28,496 0.10% - 15.9 M
Sage Therapeutics Inc Cwm, Llc Duplicate 8.68 61,416 0.10% - 533.1 K
Avanos Medical Inc Cwm, Llc Duplicate 11.75 45,405 0.10% - 533.5 K
Standard Motor Products, Inc. Cwm, Llc Duplicate 37.99 21,482 0.10% - 816.1 K
Popular Inc. Cwm, Llc Duplicate 121.07 65,032 0.10% - 7.9 M
Aldeyra Therapeutics Inc Cwm, Llc Duplicate 4.54 58,379 0.10% - 265.0 K
Mid-America Apartment Communities, Inc. Cwm, Llc Duplicate 132.11 112,928 0.10% - 14.9 M
AMN Healthcare Services Inc. Cwm, Llc Duplicate 16.37 36,998 0.10% - 605.7 K
Commerce Bancshares, Inc. Cwm, Llc Duplicate 53.74 133,894 0.10% - 7.2 M
Cable One Inc Cwm, Llc Duplicate 132.35 5,285 0.09% - 699.5 K
Verisign Inc. Cwm, Llc Duplicate 242.00 85,123 0.09% - 20.6 M
Manhattan Associates, Inc. Cwm, Llc Duplicate 173.73 54,715 0.09% - 9.5 M
TechnipFMC plc Cwm, Llc Duplicate 46.32 367,180 0.09% - 17.0 M
Washington Trust Bancorp, Inc. Cwm, Llc Duplicate 30.78 17,112 0.09% - 526.7 K
Royce Micro-Cap Trust Inc Cwm, Llc Duplicate 10.58 47,000 0.09% - 497.3 K
Olympic Steel Inc. Cwm, Llc Duplicate 42.71 9,989 0.09% - 426.6 K
Etsy Inc Cwm, Llc Duplicate 53.86 86,982 0.09% - 4.7 M
Best Buy Co. Inc. Cwm, Llc Duplicate 73.46 183,842 0.09% - 13.5 M
Axis Capital Holdings Ltd Cwm, Llc Duplicate 104.36 67,217 0.09% - 7.0 M
J.B. Hunt Transport Services, Inc. Cwm, Llc Duplicate 198.68 82,987 0.09% - 16.5 M
Dropbox Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 28.32 217,391 0.09% - 6.2 M
Evercore Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 337.03 33,487 0.09% - 11.3 M
Biomarin Pharmaceutical Inc. - Registered Shares Cwm, Llc Duplicate 53.31 164,407 0.09% - 8.8 M
F.N.B. Corp. Cwm, Llc Duplicate 17.52 304,932 0.09% - 5.3 M
Park Hotels & Resorts Inc Cwm, Llc Duplicate 10.88 169,931 0.09% - 1.8 M
QCR Holding, Inc. Cwm, Llc Duplicate 86.57 14,270 0.08% - 1.2 M
Cimpress plc Cwm, Llc Duplicate 74.62 20,757 0.08% - 1.5 M
Neurocrine Biosciences, Inc. Cwm, Llc Duplicate 152.80 83,724 0.08% - 12.8 M
Armstrong World Industries Inc. Cwm, Llc Duplicate 186.31 36,148 0.08% - 6.7 M
Janus Henderson Group plc Cwm, Llc Duplicate 45.50 129,279 0.08% - 5.9 M
First Trust Senior Floting Rate Income Fund II Cwm, Llc Duplicate 9.98 21,403 0.08% - 213.6 K
Employers Holdings Inc Cwm, Llc Duplicate 42.11 18,479 0.08% - 778.2 K
Expedia Group Inc Cwm, Llc Duplicate 274.21 99,888 0.08% - 27.4 M
Deluxe Corp. Cwm, Llc Duplicate 22.29 36,520 0.08% - 814.0 K
Tapestry Inc Cwm, Llc Duplicate 123.21 165,803 0.08% - 20.4 M
W.R. Berkley Corp. Cwm, Llc Duplicate 69.33 305,711 0.08% - 21.2 M
Consensus Cloud Solutions Inc Cwm, Llc Duplicate 23.96 15,252 0.08% - 365.4 K
Cabot Corp. Cwm, Llc Duplicate 68.34 42,390 0.08% - 2.9 M
Virtus Investment Partners Inc Cwm, Llc Duplicate 169.14 5,405 0.08% - 914.2 K
Preferred Bank (Los Angeles, CA) Cwm, Llc Duplicate 100.09 9,581 0.08% - 959.0 K
Westamerica Bancorporation Cwm, Llc Duplicate 48.99 19,585 0.08% - 959.5 K
Mosaic Company Cwm, Llc Duplicate 26.21 248,756 0.08% - 6.5 M
8X8 Inc. Cwm, Llc Duplicate 2.19 107,792 0.08% - 236.1 K
Ranger Energy Services Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 14.12 18,274 0.08% - 258.0 K
First Financial Bankshares, Inc. Cwm, Llc Duplicate 31.59 110,092 0.08% - 3.5 M
Mercantile Bank Corp. Cwm, Llc Duplicate 49.56 12,393 0.08% - 614.2 K
T. Rowe Price Group Inc. Cwm, Llc Duplicate 104.90 165,761 0.08% - 17.4 M
Werner Enterprises, Inc. Cwm, Llc Duplicate 30.70 45,345 0.08% - 1.4 M
Prosperity Bancshares Inc. Cwm, Llc Duplicate 72.83 71,985 0.08% - 5.2 M
Teradata Corp Cwm, Llc Duplicate 31.30 70,367 0.08% - 2.2 M
Healthcare Services Group, Inc. Cwm, Llc Duplicate 19.37 52,650 0.07% - 1.0 M
Heritage Commerce Corp. Cwm, Llc Duplicate 12.04 45,732 0.07% - 550.6 K
Ovintiv Inc Cwm, Llc Duplicate 40.34 188,866 0.07% - 7.6 M
MGM Resorts International Cwm, Llc Duplicate 37.40 203,725 0.07% - 7.6 M
Polaris Inc Cwm, Llc Duplicate 68.03 41,892 0.07% - 2.8 M
Apellis Pharmaceuticals Inc Cwm, Llc Duplicate 25.23 94,233 0.07% - 2.4 M
Chatham Lodging Trust Cwm, Llc Duplicate 6.91 36,045 0.07% - 249.1 K
Exelixis Inc Cwm, Llc Duplicate 40.88 198,830 0.07% - 8.1 M
G-III Apparel Group Ltd. Cwm, Llc Duplicate 31.41 31,241 0.07% - 981.3 K
Open Lending Corp Cwm, Llc Duplicate 1.69 87,308 0.07% - 147.6 K
First Solar Inc Cwm, Llc Duplicate 254.80 79,160 0.07% - 20.2 M
Bellring Brands Inc Cwm, Llc Duplicate 31.95 88,287 0.07% - 2.8 M
NewtekOne Inc Cwm, Llc Duplicate 11.92 21,289 0.07% - 253.8 K
Akamai Technologies Inc Cwm, Llc Duplicate 85.88 105,848 0.07% - 9.1 M
Snowflake Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 217.93 245,263 0.07% - 53.5 M
First Trust Enhanced Equity Income Fund Cwm, Llc Duplicate 21.62 14,649 0.07% - 316.7 K
QuinStreet Inc Cwm, Llc Duplicate 14.50 41,409 0.07% - 600.4 K
BCB Bancorp Inc (NJ) Cwm, Llc Duplicate 8.39 12,521 0.07% - 105.1 K
Main Street Capital Corporation Cwm, Llc Duplicate 62.05 65,246 0.07% - 4.0 M
Scholastic Corp. Cwm, Llc Duplicate 28.97 18,245 0.07% - 528.6 K
Aurora Cannabis Inc Cwm, Llc Duplicate 5.40 41,051 0.07% - 221.7 K
Edison International Cwm, Llc Duplicate 58.31 279,061 0.07% - 16.3 M
New York Times Co. - Ordinary Shares - Class A Cwm, Llc Duplicate 67.97 117,633 0.07% - 8.0 M
Zoom Video Communications Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 89.52 214,537 0.07% - 19.2 M
Comfort Systems USA, Inc. Cwm, Llc Duplicate 967.95 25,531 0.07% - 24.7 M
Illumina Inc Cwm, Llc Duplicate 134.87 110,375 0.07% - 14.9 M
Enanta Pharmaceuticals Inc Cwm, Llc Duplicate 14.73 20,647 0.07% - 304.1 K
Diamond Hill Investment Group, Inc. - Ordinary Shares - Class A Cwm, Llc Duplicate 169.00 1,933 0.07% - 326.7 K
Scorpio Tankers Inc Cwm, Llc Duplicate 51.99 36,940 0.07% - 1.9 M
Arch Capital Group Ltd Cwm, Llc Duplicate 93.92 257,598 0.07% - 24.2 M
MGIC Investment Corp Cwm, Llc Duplicate 29.01 158,771 0.07% - 4.6 M
Consolidated Edison, Inc. Cwm, Llc Duplicate 97.53 255,577 0.07% - 24.9 M
FS KKR Capital Corp Cwm, Llc Duplicate 15.40 197,497 0.07% - 3.0 M
Centene Corp. Cwm, Llc Duplicate 40.85 346,205 0.07% - 14.1 M
Old Republic International Corp. Cwm, Llc Duplicate 45.30 174,260 0.07% - 7.9 M
MarketAxess Holdings Inc. Cwm, Llc Duplicate 178.99 26,046 0.07% - 4.7 M
DraftKings Inc. - Ordinary Shares - Class A Cwm, Llc Duplicate 35.52 347,397 0.07% - 12.3 M
Calavo Growers, Inc Cwm, Llc Duplicate 21.44 12,438 0.07% - 266.7 K
Sarepta Therapeutics Inc Cwm, Llc Duplicate 21.53 72,705 0.07% - 1.6 M
DoubleVerify Holdings Inc Cwm, Llc Duplicate 10.94 111,447 0.07% - 1.2 M
Toll Brothers Inc. Cwm, Llc Duplicate 139.15 66,595 0.07% - 9.3 M
Stepan Co. Cwm, Llc Duplicate 47.99 15,542 0.07% - 745.9 K
Sonoco Products Co. Cwm, Llc Duplicate 42.46 67,952 0.07% - 2.9 M
Chewy Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 32.74 284,499 0.07% - 9.3 M
Compass Diversified Holdings Cwm, Llc Duplicate 5.14 51,287 0.07% - 263.6 K
Berry Corp Cwm, Llc Duplicate 3.46 52,876 0.07% - 183.0 K
Myriad Genetics, Inc. Cwm, Llc Duplicate 7.21 63,325 0.07% - 456.6 K
Mohawk Industries, Inc. Cwm, Llc Duplicate 112.49 42,507 0.07% - 4.8 M
Fresh Del Monte Produce Inc Cwm, Llc Duplicate 38.11 32,362 0.07% - 1.2 M
Mueller Industries, Inc. Cwm, Llc Duplicate 113.86 74,947 0.07% - 8.5 M
LegalZoom.com Inc. Cwm, Llc Duplicate 10.07 120,027 0.07% - 1.2 M
MediaAlpha Inc - Ordinary Shares - Class A Cwm, Llc Duplicate 13.00 38,383 0.07% - 499.0 K
Gap, Inc. Cwm, Llc Duplicate 26.34 249,741 0.07% - 6.6 M
BlackRock Capital Allocation Trust Cwm, Llc Duplicate 14.35 70,296 0.07% - 1.0 M
Dorian LPG Ltd Cwm, Llc Duplicate 24.52 28,668 0.07% - 702.9 K
Brunswick Corp. Cwm, Llc Duplicate 73.79 43,426 0.07% - 3.2 M
National Retail Properties Inc Cwm, Llc Duplicate 40.47 126,661 0.07% - 5.1 M
Allstate Corp (The) Cwm, Llc Duplicate 207.18 174,064 0.07% - 36.1 M
Axalta Coating Systems Ltd Cwm, Llc Duplicate 31.19 141,253 0.07% - 4.4 M
ZoomInfo Technologies Inc. Cwm, Llc Duplicate 9.96 205,406 0.07% - 2.0 M
Waterstone Financial Inc Cwm, Llc Duplicate 17.05 12,165 0.07% - 207.4 K
Heritage Insurance Holdings Inc. Cwm, Llc Duplicate 29.08 20,217 0.07% - 587.9 K
SelectQuote Inc Cwm, Llc Duplicate 1.48 114,407 0.07% - 169.3 K
View All The Superstar Shareholder Portfolios