Grimes & Company, Inc. Top Holdings and 13F Report (2024) → Better than Bitcoin? The Biotech Stock with 46,751% Potential (From Behind the Markets) (Ad) About Grimes & Company, Inc.Investment ActivityGrimes & Company, Inc. has $3.25 billion in total holdings as of March 31, 2024.Grimes & Company, Inc. owns shares of 345 different stocks, but just 57 companies or ETFs make up 80% of its holdings.Approximately 6.94% of the portfolio was purchased this quarter.About 4.12% of the portfolio was sold this quarter.This quarter, Grimes & Company, Inc. has purchased 331 new stocks and bought additional shares in 177 stocks.Grimes & Company, Inc. sold shares of 121 stocks and completely divested from 12 stocks this quarter.Largest Holdings iShares Core MSCI EAFE ETF $280,914,159Invesco Senior Loan ETF $186,561,976SPDR Bloomberg Short Term High Yield Bond ETF $174,606,547iShares 0-5 Year High Yield Corporate Bond ETF $173,003,393iShares Core S&P 500 ETF $129,466,302 Largest New Holdings this Quarter Financial Select Sector SPDR Fund $14,834,496 HoldingMaterials Select Sector SPDR Fund $14,372,306 HoldingDimensional Emerging Core Equity Market ETF $5,863,225 HoldingLear $5,846,867 HoldingGRAYSCALE BITCOIN TR BTC $2,003,847 Holding Largest Purchases this Quarter Consumer Discretionary Select Sector SPDR Fund 155,903 shares (about $28.67M)Walt Disney 155,178 shares (about $18.99M)Financial Select Sector SPDR Fund 352,196 shares (about $14.83M)Materials Select Sector SPDR Fund 154,724 shares (about $14.37M)Consumer Staples Select Sector SPDR Fund 160,653 shares (about $12.27M) Largest Sales this Quarter Energy Select Sector SPDR Fund 208,027 shares (about $19.64M)Communication Services Select Sector SPDR Fund 209,547 shares (about $17.11M)Expedia Group 103,069 shares (about $14.20M)Lululemon Athletica 29,247 shares (about $11.43M)iShares Core MSCI Emerging Markets ETF 148,448 shares (about $7.66M) Sector Allocation Over TimeMap of 500 Largest Holdings ofGrimes & Company, Inc. Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorIEFAiShares Core MSCI EAFE ETF$280,914,159$3,020,605 ▼-1.1%3,784,8858.6%ETFBKLNInvesco Senior Loan ETF$186,561,976$5,396,528 ▲3.0%8,820,8975.7%ETFSJNKSPDR Bloomberg Short Term High Yield Bond ETF$174,606,547$5,081,981 ▲3.0%6,923,3375.4%ETFSHYGiShares 0-5 Year High Yield Corporate Bond ETF$173,003,393$5,651,193 ▲3.4%4,065,8855.3%ETFIVViShares Core S&P 500 ETF$129,466,302$2,593,952 ▼-2.0%246,2604.0%ETFJHMLJohn Hancock Multifactor Large Cap ETF$110,796,255$603,563 ▲0.5%1,710,8753.4%ETFIEMGiShares Core MSCI Emerging Markets ETF$107,898,485$7,659,916 ▼-6.6%2,091,0563.3%ETFIWMiShares Russell 2000 ETF$100,913,625$2,781,005 ▼-2.7%479,8563.1%FinanceAAPLApple$76,482,954$6,620,496 ▲9.5%446,0172.4%Computer and TechnologyMSFTMicrosoft$72,077,808$1,009,729 ▲1.4%171,3202.2%Computer and TechnologyHYMBSPDR Nuveen Bloomberg High Yield Municipal Bond ETF$56,949,512$738,793 ▼-1.3%2,216,7971.8%ETFHYDVanEck High Yield Muni ETF$56,878,822$460,829 ▼-0.8%1,088,3821.7%ETFXLPConsumer Staples Select Sector SPDR Fund$50,169,300$12,267,467 ▲32.4%657,0101.5%ETFVUGVanguard Growth ETF$45,944,136$1,784,332 ▼-3.7%133,4811.4%ETFXLVHealth Care Select Sector SPDR Fund$43,553,829$1,348,482 ▲3.2%294,8201.3%ETFXLYConsumer Discretionary Select Sector SPDR Fund$38,706,725$28,669,067 ▲285.6%210,4881.2%FinanceXLKTechnology Select Sector SPDR Fund$35,747,089$6,895,828 ▼-16.2%171,6381.1%ETFTSMTaiwan Semiconductor Manufacturing$34,009,738$274,549 ▲0.8%249,9801.0%Computer and TechnologyPRFInvesco FTSE RAFI US 1000 ETF$32,982,265$415,284 ▼-1.2%857,3501.0%ETFRSPInvesco S&P 500 Equal Weight ETF$30,519,844$3,549,493 ▼-10.4%180,1960.9%ETFRMIFLHA Risk-Managed Income ETF$29,113,812$272,943 ▼-0.9%1,156,6870.9%ETFMETAMeta Platforms$28,743,115$427,799 ▼-1.5%59,1930.9%Computer and TechnologyXLCCommunication Services Select Sector SPDR Fund$28,383,243$17,111,622 ▼-37.6%347,5780.9%ETFCSCOCisco Systems$26,981,779$934,664 ▲3.6%540,6090.8%Computer and TechnologyGOOGLAlphabet$26,581,956$411,586 ▲1.6%176,1210.8%Computer and TechnologyAMGNAmgen$26,483,227$487,608 ▲1.9%93,1460.8%MedicalSCHWCharles Schwab$25,667,640$520,632 ▲2.1%354,8190.8%FinanceAMZNAmazon.com$25,543,313$551,603 ▲2.2%141,6080.8%Retail/WholesaleAMDAdvanced Micro Devices$24,766,371$81,762 ▲0.3%137,2170.8%Computer and TechnologyPAYXPaychex$24,008,365$805,199 ▲3.5%195,5080.7%Business ServicesACNAccenture$22,408,145$470,353 ▲2.1%64,6490.7%Business ServicesQCOMQUALCOMM$22,405,038$336,569 ▲1.5%132,3390.7%Computer and TechnologyRTXRTX$22,094,805$800,428 ▲3.8%226,5440.7%AerospaceXLEEnergy Select Sector SPDR Fund$21,877,524$19,639,819 ▼-47.3%231,7290.7%ETFTROWT. Rowe Price Group$21,773,906$6,570,260 ▲43.2%178,5920.7%FinanceXLIIndustrial Select Sector SPDR Fund$21,737,359$7,475,075 ▲52.4%172,5740.7%ETFRFRegions Financial$21,241,837$8,386,481 ▲65.2%1,009,5930.7%FinanceCVSCVS Health$21,083,961$679,075 ▲3.3%264,3430.6%Retail/WholesaleBMYBristol-Myers Squibb$20,642,151$1,934,763 ▲10.3%380,6410.6%MedicalDISWalt Disney$20,295,860$18,987,586 ▲1,451.3%165,8700.6%Consumer DiscretionaryAMATApplied Materials$20,151,070$147,454 ▲0.7%97,7120.6%Computer and TechnologyINTCIntel$20,044,464$777,480 ▼-3.7%453,8030.6%Computer and TechnologyVVisa$18,511,750$372,853 ▲2.1%66,3310.6%Business ServicesJPMJPMorgan Chase & Co.$18,498,916$222,934 ▲1.2%92,3560.6%FinanceABBVAbbVie$18,253,809$160,247 ▲0.9%100,2410.6%MedicalUPSUnited Parcel Service$18,156,941$1,178,636 ▲6.9%122,1620.6%TransportationEOGEOG Resources$18,128,393$1,188,787 ▲7.0%141,8050.6%Oils/EnergyRHIRobert Half$17,878,296$689,737 ▲4.0%225,5080.5%Business ServicesDOCUDocuSign$17,255,089$103,736 ▼-0.6%289,7580.5%Business ServicesMDTMedtronic$17,011,259$709,925 ▲4.4%195,1950.5%MedicalAAgilent Technologies$16,364,819$493,571 ▲3.1%112,4650.5%Computer and TechnologyVCRVanguard Consumer Discretionary ETF$15,530,032$705,362 ▼-4.3%48,8780.5%ETFJNJJohnson & Johnson$15,490,738$349,599 ▲2.3%97,9250.5%MedicalETNEaton$15,417,221$215,748 ▼-1.4%49,3070.5%Industrial ProductsKMBKimberly-Clark$15,384,799$8,706,829 ▲130.4%118,9390.5%Consumer StaplesIJRiShares Core S&P Small-Cap ETF$15,287,189$34,261 ▲0.2%138,3210.5%ETFXLFFinancial Select Sector SPDR Fund$14,834,496$14,834,496 ▲New Holding352,1960.5%ETFSYYSysco$14,393,150$404,358 ▲2.9%177,2990.4%Consumer StaplesXLBMaterials Select Sector SPDR Fund$14,372,306$14,372,306 ▲New Holding154,7240.4%ETFAVGOBroadcom$13,989,911$156,401 ▼-1.1%10,5550.4%Computer and TechnologyNVONovo Nordisk A/S$13,569,796$374,157 ▲2.8%105,6840.4%MedicalUNHUnitedHealth Group$12,741,624$418,026 ▲3.4%25,7560.4%MedicalSLBSchlumberger$12,398,540$501,019 ▲4.2%226,2090.4%Oils/EnergyBACBank of America$12,023,214$261,800 ▲2.2%317,0680.4%FinanceECLEcolab$11,686,239$377,288 ▲3.3%50,6120.4%Basic MaterialsAXPAmerican Express$11,648,642$129,100 ▲1.1%51,1600.4%FinanceCTSHCognizant Technology Solutions$11,363,645$341,606 ▲3.1%155,0500.3%Computer and TechnologyVBVanguard Small-Cap ETF$11,224,804$10,995,302 ▲4,790.9%49,1050.3%ETFFFIVF5$11,145,901$313,769 ▲2.9%58,7900.3%Computer and TechnologyAGGiShares Core U.S. Aggregate Bond ETF$10,986,894$405,961 ▲3.8%112,1800.3%FinanceZMZoom Video Communications$10,950,259$292,400 ▲2.7%167,5120.3%Computer and TechnologyGOOGAlphabet$10,870,562$3,959 ▲0.0%71,3950.3%Computer and TechnologyVZVerizon Communications$10,739,339$357,164 ▲3.4%255,9420.3%Computer and TechnologySPYSPDR S&P 500 ETF Trust$10,721,848$21,969 ▼-0.2%20,4980.3%FinanceINCYIncyte$10,544,748$5,032,616 ▲91.3%185,0930.3%MedicalBIIBBiogen$10,110,517$364,201 ▲3.7%46,8880.3%MedicalSCHXSchwab US Large-Cap ETF$9,839,981$581,130 ▼-5.6%158,5560.3%ETFIJHiShares Core S&P Mid-Cap ETF$9,789,897$7,832,246 ▲400.1%161,1770.3%ETFPYPLPayPal$9,642,261$4,075,868 ▲73.2%143,9360.3%Computer and TechnologyALBAlbemarle$9,572,648$4,176,300 ▲77.4%72,6630.3%Basic MaterialsCVXChevron$8,759,602$318,950 ▲3.8%55,5320.3%Oils/EnergyADBEAdobe$8,637,303$171,565 ▼-1.9%17,1170.3%Computer and TechnologySPDWSPDR Portfolio Developed World ex-US ETF$8,588,115$362,378 ▼-4.0%239,6240.3%ETFNKENIKE$8,558,890$394,154 ▲4.8%91,0710.3%Consumer DiscretionaryCMCSAComcast$8,375,038$152,245 ▲1.9%193,1960.3%Consumer DiscretionaryBABoeing$8,180,599$215,954 ▲2.7%42,3890.3%AerospaceEFAiShares MSCI EAFE ETF$8,135,540$111,963 ▼-1.4%101,8730.3%FinanceLMTLockheed Martin$8,099,123$364,813 ▲4.7%17,8050.2%AerospaceXOMExxon Mobil$8,071,615$53,703 ▲0.7%69,4390.2%Oils/EnergyHPEHewlett Packard Enterprise$8,013,876$316,924 ▲4.1%451,9950.2%Computer and TechnologyBRK.BBerkshire Hathaway$7,156,992$219,937 ▲3.2%17,0190.2%FinanceSBUXStarbucks$7,018,694$290,439 ▲4.3%76,7990.2%Retail/WholesaleSCHFSchwab International Equity ETF$6,714,580$635,013 ▲10.4%172,0800.2%ETFABTAbbott Laboratories$6,475,883$6,592 ▼-0.1%56,9760.2%MedicalVEAVanguard FTSE Developed Markets Index Fund ETF Shares$6,335,777$142,884 ▲2.3%126,2860.2%ETFHSYHershey$6,204,175$475,748 ▲8.3%31,8980.2%Consumer StaplesNVDANVIDIA$5,946,611$967,759 ▲19.4%6,5810.2%Computer and TechnologyDFAEDimensional Emerging Core Equity Market ETF$5,863,225$5,863,225 ▲New Holding237,1850.2%ETFLEALear$5,846,867$5,846,867 ▲New Holding40,3570.2%Auto/Tires/TrucksPGProcter & Gamble$5,165,974$63,277 ▼-1.2%31,8400.2%Consumer StaplesShowing largest 100 holdings. 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