Sallie Krawcheck's portfolio and holdings - Oct 2023

As per corporate shareholdings filed for , people matching Sallie Krawcheck publicly holds 200 stocks with a net worth of over US$ 160.3 M.

These are shares held by Sallie Krawcheck 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.

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
Berkshire Hathaway Inc. - Ordinary Shares - Class B Ellevest, Inc. 492.42 2,753 0.19% - 1.4 M
SM Energy Co Ellevest, Inc. 21.26 40,667 0.03% - 864.6 K
Ichor Holdings Ltd Ellevest, Inc. 21.99 9,545 0.03% - 209.9 K
SFL Corporation Ltd Ellevest, Inc. 6.98 41,880 0.03% - 292.3 K
Copa Holdings S.A. - Ordinary Shares - Class A Ellevest, Inc. 124.80 11,595 0.03% - 1.4 M
Delek US Holdings Inc Ellevest, Inc. 33.96 16,006 0.03% - 543.6 K
DHT Holdings Inc Ellevest, Inc. 12.11 32,616 0.02% - 395.0 K
H2O America Ellevest, Inc. 50.23 6,434 0.02% - 323.2 K
Chesapeake Utilities Corp Ellevest, Inc. 133.42 4,021 0.02% - 536.5 K
Oil States International, Inc. Ellevest, Inc. 5.82 11,090 0.02% - 64.5 K
New Jersey Resources Corporation Ellevest, Inc. 46.70 15,871 0.02% - 741.2 K
Northern Oil and Gas Inc. Ellevest, Inc. 21.59 15,963 0.02% - 344.6 K
Materion Corp Ellevest, Inc. 128.85 3,179 0.02% - 409.6 K
Synaptics Inc Ellevest, Inc. 69.45 5,931 0.02% - 411.9 K
Semtech Corp. Ellevest, Inc. 67.78 9,375 0.01% - 635.4 K
Golar Lng Ellevest, Inc. 38.07 14,481 0.01% - 551.3 K
Safe Bulkers, Inc Ellevest, Inc. 4.31 14,933 0.01% - 64.4 K
Liberty Energy Inc - Ordinary Shares - Class A Ellevest, Inc. 15.32 22,140 0.01% - 339.2 K
Power Integrations Inc. Ellevest, Inc. 45.48 7,428 0.01% - 337.8 K
Kulicke & Soffa Industries, Inc. Ellevest, Inc. 38.86 6,155 0.01% - 239.2 K
Diodes, Inc. Ellevest, Inc. 54.52 5,008 0.01% - 273.0 K
SPX Technologies Inc Ellevest, Inc. 184.04 4,552 0.01% - 837.8 K
Piedmont Office Realty Trust Inc - Ordinary Shares - Class A Ellevest, Inc. 8.16 11,640 0.01% - 95.0 K
Adient plc Ellevest, Inc. 22.82 8,398 0.01% - 191.6 K
Vishay Intertechnology, Inc. Ellevest, Inc. 16.49 12,227 0.01% - 201.6 K
H.B. Fuller Company Ellevest, Inc. 58.81 4,769 0.01% - 280.5 K
MKS Instruments, Inc. Ellevest, Inc. 136.52 5,580 0.01% - 761.8 K
Nordic American Tankers Ltd Ellevest, Inc. 3.48 17,247 0.01% - 60.0 K
Phillips Edison & Company Inc - Ordinary Shares - New Ellevest, Inc. 34.51 9,070 0.01% - 313.0 K
Uniti Group Inc Ellevest, Inc. 5.65 17,717 0.01% - 100.1 K
Scorpio Tankers Inc Ellevest, Inc. 57.47 3,734 0.01% - 214.6 K
Valaris Ltd Ellevest, Inc. 48.33 4,907 0.01% - 237.2 K
Arrow Electronics Inc. Ellevest, Inc. 119.15 3,616 0.01% - 430.8 K
Franklin Electric Co., Inc. Ellevest, Inc. 97.30 3,060 0.01% - 297.7 K
Reliance Steel & Aluminum Co. Ellevest, Inc. 271.70 3,765 0.01% - 1.0 M
HubSpot Inc Ellevest, Inc. 436.82 3,165 0.01% - 1.4 M
Lattice Semiconductor Corp. Ellevest, Inc. 70.16 8,463 0.01% - 593.8 K
Hilton Grand Vacations Inc Ellevest, Inc. 43.52 5,743 0.01% - 249.9 K
Toast Inc - Ordinary Shares - Class A Ellevest, Inc. 37.50 27,419 0.01% - 1.0 M
Noble Corp Plc - Ordinary Shares - Class A Ellevest, Inc. 27.48 7,067 0.01% - 194.2 K
Matador Resources Co Ellevest, Inc. 43.01 5,830 0.00% - 250.7 K
Donaldson Co. Inc. Ellevest, Inc. 82.77 5,664 0.00% - 468.8 K
Comerica, Inc. Ellevest, Inc. 74.92 6,147 0.00% - 460.5 K
Cushman & Wakefield plc Ellevest, Inc. 15.76 10,576 0.00% - 166.7 K
Spotify Technology S.A. Ellevest, Inc. 671.52 9,002 0.00% - 6.0 M
Boston Properties, Inc. Ellevest, Inc. 71.06 7,177 0.00% - 510.0 K
Patterson-UTI Energy Inc Ellevest, Inc. 5.51 18,910 0.00% - 104.2 K
Gentex Corp. Ellevest, Inc. 26.01 10,317 0.00% - 268.3 K
Jabil Inc Ellevest, Inc. 209.34 5,607 0.00% - 1.2 M
WillScot Mobile Mini Holdings Corp Ellevest, Inc. 21.14 8,279 0.00% - 175.0 K
Diversified Healthcare Trust Ellevest, Inc. 4.07 10,423 0.00% - 42.4 K
Middleby Corp. Ellevest, Inc. 133.39 2,242 0.00% - 299.1 K
Entegris Inc Ellevest, Inc. 90.94 5,847 0.00% - 531.7 K
Applied Industrial Technologies Inc. Ellevest, Inc. 247.92 1,483 0.00% - 367.7 K
Hubbell Inc. Ellevest, Inc. 425.71 2,026 0.00% - 862.5 K
Axalta Coating Systems Ltd Ellevest, Inc. 28.46 8,225 0.00% - 234.1 K
DoorDash Inc - Ordinary Shares - Class A Ellevest, Inc. 263.06 14,758 0.00% - 3.9 M
Edison International Ellevest, Inc. 56.66 13,683 0.00% - 775.3 K
AECOM Ellevest, Inc. 130.87 4,806 0.00% - 629.0 K
Affirm Holdings Inc - Ordinary Shares - Class A Ellevest, Inc. 67.90 10,552 0.00% - 716.5 K
Stanley Black & Decker Inc Ellevest, Inc. 67.85 5,339 0.00% - 362.3 K
GXO Logistics Inc Ellevest, Inc. 55.22 4,101 0.00% - 226.5 K
Fortune Brands Innovations Inc Ellevest, Inc. 50.10 4,112 0.00% - 206.0 K
Netflix Inc. Ellevest, Inc. 1199.36 13,797 0.00% - 16.5 M
Ceridian HCM Holding Inc. Ellevest, Inc. 68.26 4,965 0.00% - 338.9 K
Interpublic Group Of Cos., Inc. Ellevest, Inc. 26.39 11,864 0.00% - 313.1 K
Masco Corp. Ellevest, Inc. 67.87 6,884 0.00% - 467.2 K
Expeditors International Of Washington, Inc. Ellevest, Inc. 119.92 4,148 0.00% - 497.4 K
Fortive Corp Ellevest, Inc. 48.66 9,617 0.00% - 468.0 K
Trade Desk Inc - Ordinary Shares - Class A Ellevest, Inc. 49.98 13,382 0.00% - 668.8 K
A.O. Smith Corp. Ellevest, Inc. 69.71 3,912 0.00% - 272.7 K
Tetra Tech, Inc. Ellevest, Inc. 32.69 1,405 0.00% - 45.9 K
Avery Dennison Corp. Ellevest, Inc. 159.44 2,111 0.00% - 336.6 K
Check Point Software Technologies Ltd. Ellevest, Inc. 190.65 3,035 0.00% - 578.6 K
Takeda Pharmaceutical Co - ADR Ellevest, Inc. 14.04 76,581 0.00% - 1.1 M
WPP Plc. - ADR Ellevest, Inc. 23.45 5,242 0.00% - 122.9 K
Watsco Inc. - Ordinary Shares - Class A Ellevest, Inc. 370.80 907 0.00% - 336.3 K
International Flavors & Fragrances Inc. Ellevest, Inc. 63.75 5,839 0.00% - 372.2 K
Church & Dwight Co., Inc. Ellevest, Inc. 88.48 5,597 0.00% - 495.2 K
Otis Worldwide Corp Ellevest, Inc. 91.29 9,195 0.00% - 839.4 K
EBay Inc. Ellevest, Inc. 92.01 11,321 0.00% - 1.0 M
Host Hotels & Resorts Inc Ellevest, Inc. 16.28 15,362 0.00% - 250.1 K
Opko Health Inc Ellevest, Inc. 1.52 15,196 0.00% - 23.1 K
CBRE Group Inc - Ordinary Shares - Class A Ellevest, Inc. 157.12 6,414 0.00% - 1.0 M
Corteva Inc Ellevest, Inc. 61.40 14,413 0.00% - 885.0 K
Gartner, Inc. Ellevest, Inc. 235.73 1,585 0.00% - 373.6 K
CDW Corp Ellevest, Inc. 152.45 2,708 0.00% - 412.8 K
Ardagh Metal Packaging S.A. Ellevest, Inc. 3.75 11,996 0.00% - 45.0 K
Keycorp Ellevest, Inc. 16.96 18,706 0.00% - 317.3 K
Graco Inc. Ellevest, Inc. 82.30 3,365 0.00% - 276.9 K
Snap-on, Inc. Ellevest, Inc. 339.75 1,034 0.00% - 351.3 K
Principal Financial Group Inc - Registered Shares Ellevest, Inc. 78.63 4,644 0.00% - 365.2 K
Pearson plc - ADR Ellevest, Inc. 14.98 13,294 0.00% - 199.1 K
Regions Financial Corp. Ellevest, Inc. 23.58 17,590 0.00% - 414.8 K
Prudential Financial Inc. Ellevest, Inc. 100.67 6,624 0.00% - 666.8 K
Align Technology, Inc. Ellevest, Inc. 130.45 1,392 0.00% - 181.6 K
Omnicom Group, Inc. Ellevest, Inc. 77.52 3,556 0.00% - 275.7 K
Nucor Corp. Ellevest, Inc. 131.78 4,394 0.00% - 579.0 K
Broadridge Financial Solutions, Inc. Ellevest, Inc. 228.99 2,093 0.00% - 479.3 K
Darden Restaurants, Inc. Ellevest, Inc. 188.19 2,087 0.00% - 392.8 K
RELX Plc - ADR Ellevest, Inc. 45.23 31,770 0.00% - 1.4 M
Magellan Midstream Partners L.P. Ellevest, Inc. 69.00 3,420 0.00% - 236.0 K
Iron Mountain Inc. Ellevest, Inc. 104.58 4,898 0.00% - 512.2 K
W.W. Grainger Inc. Ellevest, Inc. 954.99 829 0.00% - 791.7 K
Invitation Homes Inc Ellevest, Inc. 28.52 10,129 0.00% - 288.9 K
Tyler Technologies, Inc. Ellevest, Inc. 505.60 701 0.00% - 354.4 K
HP Inc Ellevest, Inc. 27.37 15,945 0.00% - 436.4 K
Huntington Bancshares, Inc. Ellevest, Inc. 15.50 22,953 0.00% - 355.8 K
Avalonbay Communities Inc. Ellevest, Inc. 187.02 2,223 0.00% - 415.7 K
MSCI Inc Ellevest, Inc. 534.35 1,243 0.00% - 664.2 K
Banco Bilbao Vizcaya Argentaria. - ADR Ellevest, Inc. 19.57 91,029 0.00% - 1.8 M
Kimberly-Clark Corp. Ellevest, Inc. 121.44 5,263 0.00% - 639.1 K
GlobalFoundries Inc Ellevest, Inc. 34.59 8,407 0.00% - 290.8 K
Equity Residential Properties Trust Ellevest, Inc. 62.21 5,727 0.00% - 356.3 K
West Pharmaceutical Services, Inc. Ellevest, Inc. 270.60 1,118 0.00% - 302.5 K
PulteGroup Inc Ellevest, Inc. 124.45 3,241 0.00% - 403.3 K
Northern Trust Corp. Ellevest, Inc. 124.82 3,067 0.00% - 382.8 K
Sun Communities, Inc. Ellevest, Inc. 123.79 1,843 0.00% - 228.1 K
Tractor Supply Co. Ellevest, Inc. 55.20 1,577 0.00% - 87.1 K
Verisk Analytics Inc Ellevest, Inc. 232.34 2,121 0.00% - 492.8 K
Sony Group Corporation - ADR Ellevest, Inc. 28.90 17,537 0.00% - 506.8 K
Aflac Inc. Ellevest, Inc. 107.71 8,203 0.00% - 883.5 K
Alexandria Real Estate Equities Inc. Ellevest, Inc. 74.99 2,458 0.00% - 184.3 K
Bank Of New York Mellon Corp Ellevest, Inc. 105.98 10,850 0.00% - 1.1 M
Resmed Inc. Ellevest, Inc. 268.09 2,075 0.00% - 556.3 K
MongoDB Inc - Ordinary Shares - Class A Ellevest, Inc. 318.53 1,014 0.00% - 323.0 K
Lloyds Banking Group plc - ADR Ellevest, Inc. 4.48 221,439 0.00% - 992.0 K
McCormick & Co., Inc. - Ordinary Shares (Non Voting) Ellevest, Inc. 67.54 3,718 0.00% - 251.1 K
Veeva Systems Inc - Ordinary Shares - Class A Ellevest, Inc. 283.73 2,238 0.00% - 635.0 K
Meta Platforms Inc - Ordinary Shares - Class A Ellevest, Inc. 716.92 35,347 0.00% - 25.3 M
Hewlett Packard Enterprise Co Ellevest, Inc. 22.96 17,815 0.00% - 409.0 K
D.R. Horton Inc. Ellevest, Inc. 153.69 4,446 0.00% - 683.3 K
Ginkgo Bioworks Holdings Inc - Ordinary Shares - Class A Ellevest, Inc. 13.25 27,796 0.00% - 368.3 K
General Mills, Inc. Ellevest, Inc. 48.39 7,091 0.00% - 343.1 K
Corning, Inc. Ellevest, Inc. 84.49 10,537 0.00% - 890.3 K
Fair, Isaac Corp. Ellevest, Inc. 1616.00 303 0.00% - 489.6 K
Crowdstrike Holdings Inc - Ordinary Shares - Class A Ellevest, Inc. 484.65 2,950 0.00% - 1.4 M
Cloudflare Inc - Ordinary Shares - Class A Ellevest, Inc. 210.01 4,080 0.00% - 856.8 K
Idexx Laboratories, Inc. Ellevest, Inc. 635.40 994 0.00% - 631.6 K
State Street Corp. Ellevest, Inc. 111.37 3,560 0.00% - 396.5 K
Dexcom Inc Ellevest, Inc. 66.60 4,451 0.00% - 296.4 K
Illinois Tool Works, Inc. Ellevest, Inc. 249.26 3,496 0.00% - 871.4 K
Grab Holdings Limited - Ordinary Shares - Class A Ellevest, Inc. 5.64 45,421 0.00% - 256.2 K
Sap SE - ADR Ellevest, Inc. 272.90 13,297 0.00% - 3.6 M
Alnylam Pharmaceuticals Inc Ellevest, Inc. 481.67 1,416 0.00% - 682.0 K
Mondelez International Inc. - Ordinary Shares - Class A Ellevest, Inc. 62.46 15,438 0.00% - 964.3 K
Estee Lauder Cos., Inc. - Ordinary Shares - Class A Ellevest, Inc. 100.78 4,014 0.00% - 404.5 K
Edwards Lifesciences Corp Ellevest, Inc. 74.64 6,605 0.00% - 493.0 K
DuPont de Nemours Inc Ellevest, Inc. 79.57 4,627 0.00% - 368.2 K
Telefonica S.A - ADR Ellevest, Inc. 5.20 62,104 0.00% - 322.9 K
Crown Castle Inc Ellevest, Inc. 97.48 4,621 0.00% - 450.5 K
Nomura Holdings Inc. - ADR Ellevest, Inc. 7.03 32,327 0.00% - 227.3 K
Simon Property Group, Inc. Ellevest, Inc. 178.09 3,466 0.00% - 617.3 K
Agilent Technologies Inc. Ellevest, Inc. 141.92 3,055 0.00% - 433.6 K
Automatic Data Processing Inc. Ellevest, Inc. 281.27 4,219 0.00% - 1.2 M
Realty Income Corp. Ellevest, Inc. 59.94 8,474 0.00% - 507.9 K
Fidelity National Information Services, Inc. Ellevest, Inc. 66.85 5,994 0.00% - 400.7 K
S&P Global Inc Ellevest, Inc. 473.19 3,182 0.00% - 1.5 M
Yum China Holdings Inc Ellevest, Inc. 43.82 4,048 0.00% - 177.4 K
Arch Capital Group Ltd Ellevest, Inc. 86.51 3,690 0.00% - 319.2 K
Cintas Corporation Ellevest, Inc. 188.10 991 0.00% - 186.4 K
American International Group Inc Ellevest, Inc. 77.36 6,797 0.00% - 525.8 K
Apollo Global Management Inc - Ordinary Shares - Class A (New) Ellevest, Inc. 121.38 5,488 0.00% - 666.1 K
Constellation Brands Inc - Ordinary Shares - Class A Ellevest, Inc. 140.41 1,772 0.00% - 248.8 K
Arthur J. Gallagher & Co. Ellevest, Inc. 280.47 2,086 0.00% - 585.1 K
Chipotle Mexican Grill Ellevest, Inc. 41.86 262 0.00% - 11.0 K
Coupang Inc - Ordinary Shares - Class A Ellevest, Inc. 31.21 16,942 0.00% - 528.8 K
SBA Communications Corp - Ordinary Shares - Class A Ellevest, Inc. 196.26 1,004 0.00% - 197.0 K
Vodafone Group plc - ADR Ellevest, Inc. 11.67 24,705 0.00% - 288.3 K
Gilead Sciences, Inc. Ellevest, Inc. 122.81 11,173 0.00% - 1.4 M
Seagen Inc Ellevest, Inc. 228.88 1,707 0.00% - 390.7 K
Moody`s Corp. Ellevest, Inc. 471.04 1,611 0.00% - 758.8 K
ING Groep N.V. - ADR Ellevest, Inc. 24.04 29,289 0.00% - 704.1 K
Adobe Inc Ellevest, Inc. 333.26 3,797 0.00% - 1.3 M
Kroger Co. Ellevest, Inc. 68.99 5,947 0.00% - 410.3 K
TJX Companies, Inc. Ellevest, Inc. 143.84 9,300 0.00% - 1.3 M
Uber Technologies Inc Ellevest, Inc. 92.30 16,603 0.00% - 1.5 M
Boston Scientific Corp. Ellevest, Inc. 99.24 11,720 0.00% - 1.2 M
Cigna Group (The) Ellevest, Inc. 299.27 2,302 0.00% - 688.9 K
PNC Financial Services Group Inc Ellevest, Inc. 179.40 3,132 0.00% - 561.9 K
Diageo plc - ADR Ellevest, Inc. 97.63 4,378 0.00% - 427.4 K
Goldman Sachs Group, Inc. Ellevest, Inc. 750.77 2,533 0.00% - 1.9 M
Truist Financial Corporation Ellevest, Inc. 42.60 10,370 0.00% - 441.8 K
Becton, Dickinson And Co. Ellevest, Inc. 189.10 2,229 0.00% - 421.5 K
Marsh & McLennan Cos., Inc. Ellevest, Inc. 189.59 3,758 0.00% - 712.5 K
ServiceNow Inc Ellevest, Inc. 903.60 1,514 0.00% - 1.4 M
Prologis Inc Ellevest, Inc. 124.08 6,862 0.00% - 851.4 K
Target Corp Ellevest, Inc. 90.84 3,425 0.00% - 311.1 K
NXP Semiconductors NV Ellevest, Inc. 214.35 1,898 0.00% - 406.8 K
Global Payments, Inc. Ellevest, Inc. 85.42 1,867 0.00% - 159.5 K
Novartis AG - ADR Ellevest, Inc. 131.43 14,628 0.00% - 1.9 M
AMGEN Inc. Ellevest, Inc. 298.81 3,866 0.00% - 1.2 M
U.S. Bancorp. Ellevest, Inc. 45.69 10,940 0.00% - 499.8 K
Autodesk Inc. Ellevest, Inc. 303.66 1,503 0.00% - 456.4 K
Booking Holdings Inc Ellevest, Inc. 5070.02 245 0.00% - 1.2 M
Vertex Pharmaceuticals, Inc. Ellevest, Inc. 416.81 1,810 0.00% - 754.4 K
Paychex Inc. Ellevest, Inc. 126.56 2,488 0.00% - 314.9 K
GSK Plc - ADR Ellevest, Inc. 43.91 14,022 0.00% - 615.7 K
Blackstone Inc Ellevest, Inc. 156.31 5,029 0.00% - 786.1 K
Prudential plc - ADR Ellevest, Inc. 26.80 9,274 0.00% - 248.5 K
View All The Superstar Shareholder Portfolios