Northstar Asset Management Co 13F annual report

Northstar Asset Management Co is an investment fund managing more than $413 billion ran by Kristen Hannan. There are currently 142 companies in Mrs. Hannan’s portfolio. The largest investments include Vanguard Info Tech Etf and Apple Inc, together worth $102 billion.

$413 billion Assets Under Management (AUM)

As of 11th July 2024, Northstar Asset Management Co’s top holding is 109,067 shares of Vanguard Info Tech Etf currently worth over $62.9 billion and making up 15.2% of the portfolio value. In addition, the fund holds 186,007 shares of Apple Inc worth $39.2 billion, whose value grew 21.3% in the past six months. The third-largest holding is Vanguard Total U.s. Stock Mark worth $18.4 billion and the next is Vanguard Mid-cap Etf worth $14.2 billion, with 58,474 shares owned.

Currently, Northstar Asset Management Co's portfolio is worth at least $413 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Northstar Asset Management Co

The Northstar Asset Management Co office and employees reside in Blue Bell, Pennsylvania. According to the last 13-F report filed with the SEC, Kristen Hannan serves as the VP at Northstar Asset Management Co.

Recent trades

In the most recent 13F filing, Northstar Asset Management Co revealed that it had opened a new position in Aon plc and bought 1,350 shares worth $396 million. This means they effectively own approximately 0.1% of the company. Aon plc makes up 10.4% of the fund's Finance sector allocation and has decreased its share price by 10.2% in the past year.

The investment fund also strengthened its position in Vanguard Info Tech Etf by buying 1,281 additional shares. This makes their stake in Vanguard Info Tech Etf total 109,067 shares worth $62.9 billion.

On the other hand, there are companies that Northstar Asset Management Co is getting rid of from its portfolio. Northstar Asset Management Co closed its position in Equinix Inc on 18th July 2024. It sold the previously owned 2,121 shares for $1.71 billion. Kristen Hannan also disclosed a decreased stake in Apple Inc by approximately 0.1%. This leaves the value of the investment at $39.2 billion and 186,007 shares.

One of the average hedge funds

The two most similar investment funds to Northstar Asset Management Co are Franchise Capital Ltd and Tap Consulting. They manage $413 billion and $413 billion respectively.


Kristen Hannan investment strategy

Northstar Asset Management Co’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Consumer Discretionary — making up 11.6% of the total portfolio value. The fund focuses on investments in the United States as 46.5% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 46% of the total holdings value. On the other hand, small-cap stocks make up only 2.1% of the portfolio. The average market cap of the portfolio companies is close to $220 billion.

The complete list of Northstar Asset Management Co trades based on 13F SEC filings

These positions were updated on July 18th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Vanguard Info Tech Etf
1.19%
109,067
$62,886,941,000 15.21%
Apple Inc
4.14%
186,007
$39,176,761,000 9.48%
Vanguard Total U.s. Stock Mark
3.05%
68,885
$18,427,426,000 4.46%
Vanguard Mid-cap Etf
0.56%
58,474
$14,156,555,000 3.42%
Microsoft Corporation
0.77%
31,135
$13,915,788,000 3.37%
Berkshire Hathaway Inc Del Cl
0.27%
33,850
$13,770,180,000 3.33%
Thermo Fisher Scientific Inc.
0.23%
21,621
$11,956,413,000 2.89%
Vanguard Growth Etf
20.20%
30,135
$11,270,672,000 2.73%
S&p 500 Index
0.87%
18,268
$9,941,811,000 2.41%
Danaher Corp.
No change
39,613
$9,897,308,000 2.39%
Vanguard Small-cap Etf
2.10%
41,349
$9,015,767,000 2.18%
Zoetis Inc
0.19%
49,951
$8,659,505,000 2.09%
Vanguard S&p 500 Etf
7.11%
13,460
$6,731,750,000 1.63%
Ametek Inc
1.35%
38,504
$6,419,001,000 1.55%
Adobe Systems
4.10%
10,803
$6,001,499,000 1.45%
NVIDIA Corp
917.86%
47,025
$5,809,468,000 1.41%
Arista Networks Inc
No change
14,960
$5,243,181,000 1.27%
First Trust Ise Cloud Computin
6.61%
51,600
$4,929,348,000 1.19%
American Tower Corp.
7.05%
22,170
$4,309,405,000 1.04%
Vanguard Dividend Appreciation
0.60%
23,595
$4,307,267,000 1.04%
Home Depot, Inc.
0.41%
12,183
$4,193,793,000 1.01%
J.p. Morgan Chase & Co.
0.36%
20,541
$4,154,623,000 1.01%
Vanguard High Dividend Yield I
8.22%
34,955
$4,145,639,000 1.00%
Exxon Mobil Corp.
1.08%
35,763
$4,116,991,000 1.00%
Qualcomm, Inc.
1.00%
19,854
$3,954,520,000 0.96%
Sherwin-Williams Co.
0.32%
12,919
$3,855,417,000 0.93%
Vanguard Financial Etf
1.32%
37,276
$3,723,127,000 0.90%
Vanguard Communication Service
0.38%
26,520
$3,665,064,000 0.89%
Ishares Dj Us Medical Device I
8.53%
64,030
$3,588,241,000 0.87%
First Trust Nasdaq Cyber Secur
6.05%
61,982
$3,497,024,000 0.85%
Johnson & Johnson
5.73%
22,151
$3,237,590,000 0.78%
Wal-mart Stores
201.53%
46,180
$3,126,847,000 0.76%
Alphabet Inc
3.76%
16,630
$3,050,275,000 0.74%
Union Pacific Corp.
2.31%
13,313
$3,012,199,000 0.73%
Nestle S A Spons Adr
1.21%
28,540
$2,923,923,000 0.71%
Pepsico Inc
4.00%
17,384
$2,867,180,000 0.69%
Vanguard Large Cap Fund
2.36%
11,485
$2,866,886,000 0.69%
S&p Mid-cap 400 Depository Rec
0.29%
5,120
$2,739,610,000 0.66%
Vanguard Value Etf
13.49%
16,070
$2,577,789,000 0.62%
Rtx Corporation Com
0.10%
25,453
$2,555,226,000 0.62%
Vanguard Healthcare Etf
4.03%
9,030
$2,401,980,000 0.58%
Amazon.com Inc.
0.21%
11,961
$2,311,463,000 0.56%
Walt Disney Company
8.62%
23,063
$2,289,879,000 0.55%
Costco Wholesale Corp
No change
2,645
$2,248,224,000 0.54%
Chevron Corp.
19.27%
13,956
$2,182,997,000 0.53%
Procter & Gamble Co.
1.19%
12,747
$2,102,235,000 0.51%
Mondelez International Inc.
1.17%
32,010
$2,094,734,000 0.51%
Visa Inc
0.32%
7,902
$2,074,038,000 0.50%
Defiance 5g Next Gen Connectiv
2.26%
47,525
$1,986,545,000 0.48%
Constellation Brands, Inc.
2.22%
7,693
$1,979,255,000 0.48%
Waste Connections Inc
No change
11,070
$1,941,235,000 0.47%
Honeywell International Inc
3.30%
8,935
$1,907,980,000 0.46%
Stryker Corp.
2.25%
5,440
$1,850,960,000 0.45%
Equinix Inc
Closed
2,121
$1,708,232,000
L3 Harris Technologies
9.86%
7,590
$1,704,562,000 0.41%
Fortive Corp
3.14%
22,856
$1,693,629,000 0.41%
Novartis Ag-adr
No change
14,875
$1,583,592,000 0.38%
Starbucks Corp.
13.09%
18,425
$1,434,386,000 0.35%
Merck & Co Inc
6.32%
11,052
$1,368,238,000 0.33%
NextEra Energy Inc
11.01%
18,166
$1,286,334,000 0.31%
Mcdonalds Corp.
3.81%
5,041
$1,284,648,000 0.31%
Advanced Micro Devices Inc.
3.82%
7,681
$1,245,935,000 0.30%
Vanguard 500 Index Fd Adm
18.60%
2,425
$1,221,739,000 0.30%
Fedex Corp
8.57%
3,990
$1,196,362,000 0.29%
Veralto Corp
3.05%
11,114
$1,061,053,000 0.26%
Alphabet Inc
1.36%
5,585
$1,017,308,000 0.25%
Target Corp
27.24%
6,750
$999,270,000 0.24%
Chubb Corp
0.70%
3,525
$899,157,000 0.22%
Eli Lilly
2.16%
945
$855,584,000 0.21%
Oracle Corp.
32.46%
5,833
$823,620,000 0.20%
Comcast Corp
18.27%
20,460
$801,214,000 0.19%
Vanguard Consumer Discretionar
4.33%
2,530
$790,195,000 0.19%
Medtronic Plc
0.51%
9,775
$769,391,000 0.19%
Coca-Cola Co
2.69%
11,435
$727,838,000 0.18%
Pfizer Inc.
2.02%
25,957
$726,277,000 0.18%
Spdr S&p Biotech Etf
1.88%
7,825
$725,455,000 0.18%
Stanley Black & Decker
4.10%
8,890
$710,222,000 0.17%
Sysco Corp.
11.71%
9,800
$699,622,000 0.17%
Hershey Company
No change
3,800
$698,554,000 0.17%
Tesla Motors Inc.
Closed
2,786
$692,265,000
Broadcom Inc.
20.00%
420
$674,323,000 0.16%
Verizon Communications Inc
24.02%
16,196
$667,923,000 0.16%
Ishares Expanded Tech Sector E
500.00%
7,020
$662,056,000 0.16%
Vanguard Industrials Etf
17.08%
2,810
$660,968,000 0.16%
Vanguard Primecap Fund Admiral
No change
3,577
$643,453,000 0.16%
Crown Holdings, Inc.
No change
8,370
$622,644,000 0.15%
Legg Mason Partners Equity Tru
No change
3,997
$586,795,000 0.14%
Crowdstrike Holdings Inc
No change
1,520
$582,449,000 0.14%
Williams-Sonoma, Inc.
No change
2,000
$564,740,000 0.14%
Vanguard Esg U.s. Stock Etf
0.43%
5,780
$558,464,000 0.14%
Boeing Co.
38.78%
2,991
$544,392,000 0.13%
Abbott Laboratories
5.66%
4,996
$519,134,000 0.13%
Growth Fund America Cl F 3
No change
6,989
$516,304,000 0.12%
Mfs Ser Tr Iv Mid Cap Growth I
No change
16,155
$502,266,000 0.12%
Ishares S&p Mid Cap 400 Index
400.00%
8,525
$498,883,000 0.12%
Vanguard Us Growth Fund Admira
No change
2,785
$486,394,000 0.12%
Schwab 529 Moderately Aggresiv
6.74%
15,856
$486,324,000 0.12%
Schwab 529 - Moderately Aggres
Closed
33,441
$472,180,000
Vanguard Consumer Staples Fund
9.98%
2,315
$470,014,000 0.11%
United Bankshares, Inc.
18.53%
14,068
$456,366,000 0.11%
Vanguard Mid-cap Value Fund
No change
2,865
$430,982,000 0.10%
Ishares Core S&p 500 Etf
No change
750
$410,422,000 0.10%
Palo Alto Networks Inc
No change
1,200
$406,812,000 0.10%
Fidelity Contrafund
1.96%
19,958
$403,150,000 0.10%
Intuitive Surgical Inc
No change
900
$400,365,000 0.10%
Aon plc.
Opened
1,350
$396,333,000 0.10%
Vanguard Wellington Fund Adm.
No change
5,144
$393,236,000 0.10%
Cintas Corporation
No change
560
$392,146,000 0.09%
Jhancock Classic Value I
No change
11,002
$381,436,000 0.09%
Moderately Aggressive 30
Opened
28,723
$377,989,000 0.09%
Vanguard Etf Small Cap Growth
No change
1,510
$377,696,000 0.09%
Abbvie Inc
9.89%
2,140
$367,053,000 0.09%
Cisco Systems, Inc.
1.44%
7,688
$365,257,000 0.09%
Vanguard Windsor Ii Fund Admir
No change
4,397
$364,748,000 0.09%
Colgate-Palmolive Co.
No change
3,730
$361,959,000 0.09%
Corteva Inc
2.62%
6,690
$360,859,000 0.09%
Ishares Dow Jones Select Div I
No change
2,960
$358,101,000 0.09%
Vertex Pharmaceticals, Inc.
No change
750
$351,540,000 0.09%
Vanguard Mid-cap Growth
No change
1,500
$344,340,000 0.08%
Schwab Capital Trust Total Sto
Opened
3,739
$343,993,000 0.08%
American Express Co.
42.29%
1,475
$341,536,000 0.08%
Ishares Nasdaq Biotech Index F
No change
2,475
$339,718,000 0.08%
AT&T Inc.
26.59%
17,708
$338,400,000 0.08%
Nike, Inc.
16.48%
4,364
$328,915,000 0.08%
New Perspective Fund Inc Cl F
No change
5,162
$322,116,000 0.08%
Intel Corp.
18.31%
10,262
$317,808,000 0.08%
Du Pont De Nemours
1.16%
3,940
$317,131,000 0.08%
Dow Inc
1.34%
5,890
$312,464,000 0.08%
Waste Management, Inc.
15.34%
1,380
$294,409,000 0.07%
Vanguard Star Fund
8.72%
10,471
$294,131,000 0.07%
Lockheed Martin Corp.
7.69%
600
$280,260,000 0.07%
Truist Financial Corporation
Opened
7,193
$279,448,000 0.07%
S&P Global Inc
Closed
633
$278,849,000
Netflix Inc.
15.46%
410
$276,701,000 0.07%
Phillip Morris
No change
2,619
$265,383,000 0.06%
American Beacon Funds Inst Cl
No change
11,972
$261,114,000 0.06%
T Rowe Price Science & Tech Fu
31.02%
5,000
$255,150,000 0.06%
Essentials Utilities Inc.
No change
6,835
$255,140,000 0.06%
Mastercard Incorporated
1.61%
568
$250,579,000 0.06%
Wisdomtree Cloud Computing Fun
Closed
6,830
$238,708,000
Bristol-Myers Squibb Co.
3.64%
5,698
$236,638,000 0.06%
Gsk Plc Sp Adr
Opened
6,005
$231,192,000 0.06%
Carrier Global Corporation
4.60%
3,632
$229,107,000 0.06%
Vanguard Growth And Income Adm
Closed
2,500
$225,550,000
Waters Corp.
No change
754
$218,750,000 0.05%
Vanguard Basic Materials Etf
No change
1,135
$218,635,000 0.05%
VF Corp.
Closed
11,610
$218,268,000
Columbia Acorn Acorn Fund I2
No change
17,043
$211,845,000 0.05%
Goldmining Inc
No change
15,000
$13,410,000 0.00%
No transactions found
Showing first 500 out of 149 holdings