David Katz Holdings Activity

Matrix Advisors Value Fund Portfolio 13F

Matrix Advisors Value Fund has disclosed a total of 19 changes to the portfolio in the latest (2024 Q1) SEC report(s): increased the number of shares of 6, bought 2 totally new, decreased the number of shares of 9 and completely sold out 2 position(s).

What stocks is David Katz buying now?

In the recent quarter David Katz has bought 8 securities out of which top 5 purchases (by % change to portfolio) are (FDX) FEDEX CORP (added shares +46.3%), (PYPL) PAYPAL HOLDINGS INC (added shares +25.33%), (UNH) UNITEDHEALTH GROUP INC (added shares +29.6%), (TSN) TYSON FOODS INC-CL A (new buy) and (RTX) RAYTHEON TECHNOLOGIES CORP (added shares +31.13%).

What does David Katz invest in?

David Katz's top 5 holdings (by % of portfolio) are (MSFT) MICROSOFT CORP (7.89%), (GOOG) ALPHABET INC-CL C (6.68%), (META) META PLATFORMS INC-CLASS A (4.95%), (AMZN) AMAZONCOM INC (4.86%) and (JPM) JPMORGAN CHASE & CO (4.51%).

In the latest report(s) the following changes have been made to the top investments: (META) META PLATFORMS INC-CLASS A (reduced shares -11.71%) and (JPM) JPMORGAN CHASE & CO (reduced shares -5.19%).

2022 Q3 (14 results)
FGXXX
-93.63%
-426,026
-0.88%
$1.00
-
0.06%
VIAC
+10.10%
+4,725
+0.26%
$19.04
55.36% $29.58
2.88%
GILD
-42.31%
-3,344
-0.56%
$61.69
9.77% $67.72
0.76%
PYPL
+11.11%
+1,679
+0.41%
$86.07
25.08% $64.48
4.07%
FISV
-9.34%
-1,925
-0.37%
$93.57
22.08% $114.23
3.59%
CVS
-15.97%
-3,800
-0.74%
$95.37
39.52% $57.68
3.92%
TEL
buy
+11,302
+3.74%
$110.36
36.83% $151.01
3.74%
QCOM
-12.62%
-2,050
-0.48%
$112.98
71.59% $193.86
3.30%
TEL
-100.00%
-16,500
-3.84%
$113.15
33.46% $151.01
0.00%
META
+12.24%
+1,175
+0.33%
$135.68
247.81% $471.91
3.01%
BDX
-9.88%
-800
-0.37%
$222.83
6.04% $236.30
3.34%
APD
buy
+1,650
+0.79%
$232.73
12.88% $262.70
0.79%
MSFT
-3.14%
-450
-0.22%
$232.90
80.43% $420.21
6.65%
BKNG
+35.00%
+197
+0.83%
$1,643.21
125.68% $3,708.35
3.19%
2022 Q2 (14 results)
FGXXX
+34.40%
+116,452
+0.22%
$1.00
-
0.86%
SLB
-21.57%
-3,520
-0.37%
$35.76
35.88% $48.59
1.35%
BK
buy
+38,000
+2.99%
$41.71
42.65% $59.50
2.99%
CSCO
+4.94%
+1,130
+0.16%
$42.64
12.97% $48.17
3.42%
GILD
-63.38%
-18,000
-2.10%
$61.81
9.56% $67.72
1.21%
KO
-100.00%
-14,404
-2.51%
$62.00
1.66% $63.03
0.00%
K
-100.00%
-16,000
-1.95%
$64.49
4.54% $61.56
0.00%
PYPL
+73.95%
+8,800
+1.16%
$69.84
7.67% $64.48
2.73%
STT
-100.00%
-24,100
-3.96%
$87.12
10.46% $78.01
0.00%
FISV
-11.21%
-1,781
-0.44%
$88.97
28.39% $114.23
3.46%
ABBV
-12.50%
-1,700
-0.49%
$153.16
8.66% $166.42
3.44%
FDX
-12.17%
-1,275
-0.55%
$226.71
13.47% $257.25
3.93%
BDX
-10.00%
-522
-0.42%
$246.53
4.15% $236.30
3.77%
BKNG
buy
+700
+2.31%
$1,748.99
112.03% $3,708.35
2.31%
2022 Q1 (17 results)
FGXXX
+608.84%
+290,796
+0.44%
$1.00
-
0.51%
VIAC
-27.55%
-14,350
-1.46%
$37.81
21.77% $29.58
3.83%
SLB
-3.77%
-1,000
-0.06%
$41.31
17.62% $48.59
1.60%
USB
+6.49%
+2,500
+0.20%
$53.15
22.05% $41.43
3.30%
KO
-37.13%
-8,509
-1.19%
$62.00
1.66% $63.03
0.00%
K
+95.12%
+7,800
+0.76%
$64.49
4.54% $61.56
0.00%
CVS
-13.77%
-3,800
-0.58%
$101.21
43.01% $57.68
3.65%
PYPL
buy
+11,900
+2.09%
$115.65
44.25% $64.48
2.09%
CVX
-100.00%
-6,500
-1.16%
$117.35
38.62% $162.67
0.00%
ZBH
+12.93%
+1,900
+0.37%
$127.90
6.04% $120.18
3.22%
TEL
+6.45%
+550
+0.20%
$130.98
15.29% $151.01
3.28%
QCOM
-2.69%
-267
-0.10%
$152.82
26.86% $193.86
3.77%
ABBV
-30.61%
-4,200
-1.47%
$162.11
2.66% $166.42
3.34%
META
+29.73%
+1,441
+0.74%
$222.36
112.23% $471.91
3.24%
LHX
-6.06%
-200
-0.08%
$248.47
10.02% $223.57
1.17%
BDX
-1.10%
-68
-0.04%
$266.00
11.17% $236.30
3.63%
TMO
+5.79%
+101
+0.16%
$590.65
0.79% $595.30
2.87%
45 of 321

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.