Consolidated Investment Group LLC Diversified Active

Location: Englewood, CO

CIK: 0001556168 · Show all filings

Period: Q3 2023 (← Previous) (Next →)

Filing Date: Oct 19, 2023

Total Value: $517M

Holdings (66)

QQQ INVESCO QQQ TR 20.8%
Value $108M Shares 300,565 Est. Cost $284.91 Unrealized
SPY SPDR S&P 500 ETF TR 9.5%
Value $49.19M Shares 115,070 Est. Cost $317.60 Unrealized
RSP INVESCO EXCHANGE TRADED FD T 7.9%
Value $40.92M Shares 288,800 Est. Cost $140.37 Unrealized
IWR ISHARES TR 3.8%
Value $19.89M Shares 287,160 Est. Cost $77.68 Unrealized
IWM ISHARES TR 3.6%
Value $18.36M Shares 103,911 Est. Cost $152.57 Unrealized
AAPL APPLE INC 2.8%
Value $14.4M Shares 84,084 Est. Cost $81.41 Unrealized +122.7%
GOOGL ALPHABET INC 2.3%
Value $11.8M Shares 90,200 Est. Cost $107.07 Unrealized +19.9%
AVGO BROADCOM INC 2.1%
Value $10.94M Shares 13,172 Est. Cost $18.27 Unrealized +359.7%
PANW PALO ALTO NETWORKS INC 2.0%
Value $10.39M Shares 44,316 Est. Cost $60.71 Unrealized +94.9%
MSFT MICROSOFT CORP 1.9%
Value $9.753M Shares 30,889 Est. Cost $218.31 Unrealized +48.7%
EEM ISHARES TR 1.9%
Value $9.58M Shares 252,416 Est. Cost $46.82 Unrealized
MU MICRON TECHNOLOGY INC 1.8%
Value $9.36M Shares 137,584 Est. Cost $25.03 Unrealized +164.8%
BX BLACKSTONE INC 1.8%
Value $9.238M Shares 86,229 Est. Cost $42.09 Unrealized +131.5%
UNH UNITEDHEALTH GROUP INC 1.7%
Value $8.874M Shares 17,600 Est. Cost $329.17 Unrealized +42.8%
MGM MGM RESORTS INTERNATIONAL 1.4%
Value $7.27M Shares 197,773 Est. Cost $15.23 Unrealized +190.2%
AMZN AMAZON COM INC 1.4%
Value $7.261M Shares 57,120 Est. Cost $120.17 Unrealized +11.5%
TMO THERMO FISHER SCIENTIFIC INC 1.4%
Value $7.239M Shares 14,300 Est. Cost $189.49 Unrealized +179.1%
HD HOME DEPOT INC 1.4%
Value $7.227M Shares 23,917 Est. Cost $135.04 Unrealized +124.4%
NVDA NVIDIA CORPORATION 1.3%
Value $6.829M Shares 15,700 Est. Cost $16.70 Unrealized +168.1%
NOW SERVICENOW INC 1.3%
Value $6.707M Shares 12,000 Est. Cost $86.63 Unrealized +31.7%
V VISA INC 1.3%
Value $6.509M Shares 28,300 Est. Cost $193.97 Unrealized +21.8%
BERRY GLOBAL GROUP INC 1.2%
Value $6.129M Shares 99,000 Est. Cost $50.65 Unrealized
HON HONEYWELL INTL INC 1.1%
Value $5.931M Shares 32,100 Est. Cost $161.16 Unrealized +7.9%
WMB WILLIAMS COS INC 1.1%
Value $5.846M Shares 173,500 Est. Cost $16.25 Unrealized +90.0%
CRM SALESFORCE COM INC 1.1%
Value $5.597M Shares 27,600 Est. Cost $204.31 Unrealized +4.5%
BAC BK OF AMERICA CORP 1.1%
Value $5.531M Shares 202,013 Est. Cost $11.55 Unrealized +140.8%
MAR MARRIOTT INTL INC NEW 1.0%
Value $5.107M Shares 25,981 Est. Cost $112.05 Unrealized +73.2%
MDT MEDTRONIC PLC 0.9%
Value $4.788M Shares 61,100 Est. Cost $93.29 Unrealized -16.6%
EQIX EQUINIX INC 0.9%
Value $4.72M Shares 6,500 Est. Cost $346.88 Unrealized +112.2%
BBH VANECK ETF TRUST 0.9%
Value $4.625M Shares 29,700 Est. Cost $159.17 Unrealized
ACTIVISION BLIZZARD INC 0.9%
Value $4.597M Shares 49,100 Est. Cost $69.23 Unrealized
CVS CVS HEALTH CORP 0.9%
Value $4.469M Shares 64,000 Est. Cost $87.69 Unrealized -26.4%
WAB WABTEC 0.8%
Value $4.392M Shares 41,325 Est. Cost $68.26 Unrealized +61.2%
MS MORGAN STANLEY 0.8%
Value $4.214M Shares 51,600 Est. Cost $54.60 Unrealized +47.0%
JPM JPMORGAN CHASE & CO 0.8%
Value $4.016M Shares 27,692 Est. Cost $50.11 Unrealized +184.0%
C CITIGROUP INC 0.8%
Value $3.945M Shares 95,911 Est. Cost $39.37 Unrealized +2.8%
PYPL PAYPAL HLDGS INC 0.8%
Value $3.896M Shares 66,645 Est. Cost $65.43 Unrealized -0.7%
ETN EATON CORP PLC 0.7%
Value $3.818M Shares 17,900 Est. Cost $141.50 Unrealized +48.2%
UHS UNIVERSAL HLTH SVCS INC 0.7%
Value $3.734M Shares 29,700 Est. Cost $116.41 Unrealized +16.0%
GS GOLDMAN SACHS GROUP INC 0.7%
Value $3.723M Shares 11,505 Est. Cost $157.94 Unrealized +99.7%
GOOG ALPHABET INC 0.7%
Value $3.523M Shares 26,720 Est. Cost $108.21 Unrealized +19.3%
NFLX NETFLIX INC 0.6%
Value $3.324M Shares 8,804 Est. Cost $49.99 Unrealized -15.2%
PLAYA HOTELS & RESORTS NV 0.6%
Value $3.11M Shares 429,490 Est. Cost $6.68 Unrealized
ACA ARCOSA INC 0.6%
Value $3.013M Shares 41,900 Est. Cost $53.76 Unrealized +40.3%
CVX CHEVRON CORP NEW 0.5%
Value $2.832M Shares 16,800 Est. Cost $119.39 Unrealized +22.1%
EOG EOG RES INC 0.5%
Value $2.624M Shares 20,700 Est. Cost $50.59 Unrealized +131.6%
GLD SPDR GOLD TR 0.5%
Value $2.572M Shares 15,000 Est. Cost $142.93 Unrealized
NXPI NXP SEMICONDUCTORS N V 0.5%
Value $2.535M Shares 12,679 Est. Cost $86.84 Unrealized +128.1%
AMT AMERICAN TOWER CORP NEW 0.5%
Value $2.418M Shares 14,700 Est. Cost $75.37 Unrealized +122.4%
PLYM PLYMOUTH INDL REIT INC 0.5%
Value $2.388M Shares 114,000 Est. Cost $13.22 Unrealized
KRE SPDR SER TR 0.5%
Value $2.327M Shares 55,700 Est. Cost $68.05 Unrealized
SCI SERVICE CORP INTL 0.4%
Value $2.228M Shares 39,000 Est. Cost $31.86 Unrealized +98.3%
ABBV ABBVIE INC 0.4%
Value $2.176M Shares 14,600 Est. Cost $137.43 Unrealized -1.5%
NCLH NORWEGIAN CRUISE LINE HLDG L 0.4%
Value $1.969M Shares 119,500 Est. Cost $26.01 Unrealized -29.1%
DIS DISNEY WALT CO 0.4%
Value $1.961M Shares 24,202 Est. Cost $131.94 Unrealized -36.8%
PENN PENN NATL GAMING INC 0.3%
Value $1.453M Shares 63,300 Est. Cost $27.35 Unrealized -11.5%
LOW LOWES COS INC 0.2%
Value $1.273M Shares 6,126 Est. Cost $32.16 Unrealized +568.3%
SBUX STARBUCKS CORP 0.2%
Value $1.195M Shares 13,098 Est. Cost $32.24 Unrealized +186.8%
PLD PROLOGIS INC. 0.2%
Value $1.122M Shares 10,000 Est. Cost $123.36 Unrealized -8.4%
ZTS ZOETIS INC 0.2%
Value $1.044M Shares 6,000 Est. Cost $159.02 Unrealized +11.3%
GM GENERAL MTRS CO 0.2%
Value $1.025M Shares 31,083 Est. Cost $49.24 Unrealized -29.7%
M D C HLDGS INC 0.2%
Value $825K Shares 20,000 Est. Cost $32.30 Unrealized
SOFI SOFI TECHNOLOGIES INC 0.1%
Value $503K Shares 63,000 Est. Cost $17.54 Unrealized -49.9%
GT GOODYEAR TIRE & RUBR CO 0.1%
Value $388K Shares 31,250 Est. Cost $17.75 Unrealized -23.4%
WBD WARNER BROS DISCOVERY INC 0.1%
Value $380K Shares 35,000 Est. Cost $18.55 Unrealized -32.7%
MQ MARQETA INC 0.1%
Value $339K Shares 56,700 Est. Cost $26.74 Unrealized -78.8%