David Katz Holdings Activity

Matrix Advisors Value Fund Portfolio 13F

Matrix Advisors Value Fund has disclosed a total of 16 changes to the portfolio in the latest (2024 Q4) SEC report(s): increased the number of shares of 1, bought 3 totally new, decreased the number of shares of 11 and completely sold out 1 position(s).

What stocks is David Katz buying now?

In the recent quarter David Katz has purchased 4 securities: (AMGN) AMGEN INC (new buy), (DG) DOLLAR GENERAL CORP (new buy), (HUM) HUMANA INC (new buy) and (TSN) TYSON FOODS INC-CL A (added shares +5.26%).

What does David Katz invest in?

David Katz's top 5 holdings (by % of portfolio) are (GOOG) ALPHABET INC-CL C (7.67%), (MSFT) MICROSOFT CORP (7.26%), (AAPL) APPLE INC (5.79%), (META) META PLATFORMS INC-CLASS A (5.48%) and (AMZN) AMAZONCOM INC (5.43%).

In the latest report(s) no changes have been made to any of these investments.

2021 Q4 (24 results)
BDX
+85.71%
+4,200
+1.50%
$251.48
43.69% $141.61
3.25%
VIAC
+61.19%
+35,000
+1.50%
$30.18
-
3.95%
FISV
+37.69%
+6,350
+0.94%
$103.79
53.01% $48.77
3.42%
ZBH
+33.03%
+3,650
+0.66%
$127.04
31.39% $87.16
2.65%
CMCSA
+25.95%
+10,200
+0.73%
$50.33
54.92% $22.69
3.54%
FDX
+18.36%
+1,625
+0.60%
$258.64
26.02% $325.93
3.85%
USB
+3.22%
+1,200
+0.10%
$56.17
3.10% $57.91
3.07%
WFC
+1.58%
+600
+0.04%
$47.98
74.68% $83.81
2.63%
GOOG
-1.37%
-400
-0.08%
$144.68
150.28% $362.10
5.92%
ABBV
-1.51%
-300
-0.06%
$135.40
63.39% $221.23
3.77%
TEL
-1.59%
-250
-0.06%
$161.34
31.55% $212.25
3.55%
MSFT
-1.71%
-250
-0.12%
$336.32
12.66% $378.91
6.85%
STT
-2.43%
-600
-0.08%
$93.00
83.98% $171.10
3.18%
QCOM
-2.91%
-500
-0.13%
$182.87
16.46% $212.97
4.34%
GS
-3.29%
-250
-0.14%
$382.55
187.32% $1,099.14
3.99%
TMO
-3.97%
-125
-0.12%
$667.24
30.81% $461.69
2.87%
CVS
-4.83%
-1,400
-0.21%
$103.16
3.88% $99.16
4.04%
AAPL
-6.32%
-1,100
-0.28%
$177.57
66.67% $295.95
4.11%
GILD
-9.98%
-3,150
-0.32%
$72.61
72.77% $125.45
2.93%
CVX
-14.47%
-1,100
-0.18%
$117.35
51.33% $177.58
0.00%
K
-72.58%
-21,700
-1.98%
$64.42
-
0.75%
FGXXX
-84.20%
-254,483
-0.36%
$1.00
0.00% $1.00
0.07%
PEP
-100.00%
-8,000
-1.71%
$150.41
5.86% $141.59
0.00%
PNW
-100.00%
-20,500
-2.11%
$72.36
41.49% $102.38
0.00%
2021 Q3 (17 results)
FGXXX
+953.89%
+273,566
+0.41%
$1.00
0.00% $1.00
0.45%
FISV
+36.99%
+4,550
+0.73%
$108.50
55.05% $48.77
2.72%
BDX
+30.67%
+1,150
+0.42%
$245.82
42.39% $141.61
1.79%
QCOM
+13.91%
+2,100
+0.40%
$128.98
65.12% $212.97
3.30%
FDX
+12.38%
+975
+0.32%
$219.29
48.63% $325.93
2.89%
ZBH
+11.62%
+1,150
+0.25%
$146.36
40.45% $87.16
2.41%
WFC
+9.20%
+3,200
+0.22%
$46.41
80.59% $83.81
2.62%
USB
+7.80%
+2,700
+0.24%
$59.44
2.57% $57.91
3.30%
VIAC
+7.32%
+3,900
+0.23%
$39.51
-
3.36%
TFC
+7.14%
+2,500
+0.22%
$58.65
17.87% $48.17
3.27%
KO
+3.64%
+1,200
+0.09%
$52.47
52.33% $79.93
2.67%
PNW
+2.50%
+500
+0.05%
$72.36
41.49% $102.38
0.00%
CMCSA
+1.55%
+600
+0.05%
$55.93
59.43% $22.69
3.27%
TEL
+0.96%
+150
+0.03%
$137.22
54.68% $212.25
3.22%
STT
-1.20%
-300
-0.04%
$84.72
101.96% $171.10
3.11%
GILD
-1.41%
-450
-0.05%
$69.85
79.60% $125.45
3.28%
EBAY
-3.14%
-1,000
-0.10%
$69.67
54.86% $107.89
3.20%
41 of 360

Shares, change to shares, sold shares - split-adjusted.

Reported price - this doesn't represent the actual buy or sell price.
It is the split-adjusted price of the security as of the last day of the reported period.

Value or Price - If the security is completely sold out, we show the reported value (or price) prior to the actual period.