Gilman Hill Asset Management 13F annual report

Gilman Hill Asset Management is an investment fund managing more than $551 billion ran by John Harrington. There are currently 194 companies in Mr. Harrington’s portfolio. The largest investments include Organon Co and Verizon Communications Inc, together worth $26.8 billion.

Limited to 30 biggest holdings

$551 billion Assets Under Management (AUM)

As of 5th July 2024, Gilman Hill Asset Management’s top holding is 660,664 shares of Organon Co currently worth over $13.7 billion and making up 2.5% of the portfolio value. In addition, the fund holds 317,622 shares of Verizon Communications Inc worth $13.1 billion, whose value grew 7.1% in the past six months. The third-largest holding is International Business Machs worth $12.6 billion and the next is Hercules Capital Inc worth $12.4 billion, with 607,669 shares owned.

Currently, Gilman Hill Asset Management's portfolio is worth at least $551 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 Gilman Hill Asset Management

The Gilman Hill Asset Management office and employees reside in New Canaan, Connecticut. According to the last 13-F report filed with the SEC, John Harrington serves as the Chief Compliance Officer at Gilman Hill Asset Management.

Recent trades

In the most recent 13F filing, Gilman Hill Asset Management revealed that it had opened a new position in Kinetik Holdings Inc and bought 37,525 shares worth $1.56 billion.

The investment fund also strengthened its position in Organon Co by buying 2,050 additional shares. This makes their stake in Organon Co total 660,664 shares worth $13.7 billion.

On the other hand, there are companies that Gilman Hill Asset Management is getting rid of from its portfolio. Gilman Hill Asset Management closed its position in Pioneer Nat Res Co on 12th July 2024. It sold the previously owned 46,218 shares for $12.1 billion. John Harrington also disclosed a decreased stake in Oneok by approximately 0.1%. This leaves the value of the investment at $12.1 billion and 147,846 shares.

One of the average hedge funds

The two most similar investment funds to Gilman Hill Asset Management are Strategic Point Investment Advisors and Eagleclaw Capital Managment. They manage $551 billion and $551 billion respectively.


John Harrington investment strategy

Gilman Hill Asset Management’s portfolio is diversified across 13 sectors. Currently, their heaviest sector is Energy — making up 8.4% of the total portfolio value. The fund focuses on investments in the United States as 44.3% 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 45% of the total holdings value. On the other hand, small-cap stocks make up only 0.5% of the portfolio. The average market cap of the portfolio companies is close to $145 billion.

The complete list of Gilman Hill Asset Management trades based on 13F SEC filings

These positions were updated on July 12th 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
Organon Co
0.31%
660,664
$13,675,746,000 2.48%
Verizon Communications Inc
0.84%
317,622
$13,098,737,000 2.38%
International Business Machs
0.90%
73,042
$12,632,530,000 2.29%
Hercules Capital Inc
1.25%
607,669
$12,426,839,000 2.26%
Pioneer Nat Res Co
Closed
46,218
$12,132,225,000
Oneok Inc.
2.85%
147,846
$12,056,841,000 2.19%
Lamar Advertising Co
2.29%
93,031
$11,119,995,000 2.02%
Dow Inc
1.30%
202,334
$10,733,835,000 1.95%
Sl Green Rlty Corp
2.07%
185,367
$10,499,187,000 1.91%
NNN REIT Inc
2.89%
234,812
$10,002,980,000 1.82%
Easterly Govt Pptys Inc
3.62%
799,633
$9,891,460,000 1.80%
Star Bulk Carriers Corp
1.09%
399,697
$9,744,613,000 1.77%
Bristol-Myers Squibb Co.
297.85%
233,382
$9,692,354,000 1.76%
Sabra Health Care Reit Inc
1.52%
621,173
$9,566,058,000 1.74%
Dominion Energy Inc
0.71%
174,127
$8,532,242,000 1.55%
Whirlpool Corp.
3.07%
82,684
$8,450,305,000 1.53%
3M Co.
7.53%
82,550
$8,435,772,000 1.53%
Compass Diversified
3.05%
384,848
$8,424,314,000 1.53%
Vanguard Index Fds
5.50%
84,885
$15,717,184,000 2.85%
Clearway Energy, Inc.
0.33%
363,157
$8,255,630,000 1.50%
Flex Lng Ltd
1.41%
290,908
$7,866,152,000 1.43%
Pfizer Inc.
3.44%
267,846
$7,494,317,000 1.36%
Postal Realty Trust Inc
1.86%
561,097
$7,479,423,000 1.36%
Kohls Corp
2.37%
320,070
$7,358,409,000 1.34%
Western Un Co
4.96%
586,972
$7,172,796,000 1.30%
Stanley Black Decker Inc
4.45%
86,973
$6,948,273,000 1.26%
Microsoft Corporation
18.94%
14,628
$6,537,921,000 1.19%
Freeport-McMoRan Inc
3.04%
133,226
$6,474,784,000 1.18%
Energy Transfer L P
1.94%
395,620
$6,416,954,000 1.16%
Enterprise Prods Partners L
4.07%
216,888
$6,285,426,000 1.14%
Williams Cos Inc
0.30%
145,293
$6,174,953,000 1.12%
Ardagh Metal Packaging S A
1.32%
1,805,704
$6,139,394,000 1.11%
Kinder Morgan Inc
1.54%
301,519
$5,991,185,000 1.09%
Columbia Bkg Sys Inc
0.99%
291,017
$5,788,328,000 1.05%
Regeneron Pharmaceuticals, Inc.
4.72%
5,123
$5,384,427,000 0.98%
Fiserv, Inc.
0.43%
35,421
$5,279,146,000 0.96%
American Tower Corp.
0.86%
26,841
$5,217,311,000 0.95%
Ventas Inc
0.95%
98,866
$5,067,871,000 0.92%
Schwab Charles Corp
4.61%
67,707
$4,989,292,000 0.91%
Gxo Logistics Incorporated
38.60%
98,054
$4,951,727,000 0.90%
TotalEnergies SE
15.96%
74,225
$4,949,323,000 0.90%
Uber Technologies Inc
6.13%
67,981
$4,940,859,000 0.90%
Carrier Global Corporation
1.18%
78,127
$4,928,251,000 0.89%
B G Foods Inc New
3.05%
601,738
$4,862,046,000 0.88%
Meta Platforms Inc
1.55%
9,493
$4,786,571,000 0.87%
United Parcel Service, Inc.
1,657.29%
34,847
$4,768,827,000 0.87%
American Express Co.
0.82%
20,232
$4,684,720,000 0.85%
DocuSign Inc
4.97%
79,487
$4,252,555,000 0.77%
Marriott Intl Inc New
5.19%
17,471
$4,223,989,000 0.77%
Cisco Sys Inc
3.94%
88,219
$4,191,300,000 0.76%
Rio Tinto plc
6.46%
61,067
$4,026,141,000 0.73%
Skyworks Solutions, Inc.
1.54%
37,387
$3,984,757,000 0.72%
Apple Inc
0.95%
18,732
$3,945,413,000 0.72%
Sysco Corp.
4.47%
54,658
$3,902,035,000 0.71%
Shell Plc
19.90%
53,331
$3,849,443,000 0.70%
XPO Inc
1.59%
35,982
$3,819,489,000 0.69%
United Rentals, Inc.
4.73%
5,891
$3,809,924,000 0.69%
Disney Walt Co
1.27%
37,909
$3,763,948,000 0.68%
Crown Castle Inc
11.29%
37,930
$3,705,761,000 0.67%
Materion Corp
5.90%
34,247
$3,703,139,000 0.67%
Aptiv PLC
1.79%
51,561
$3,630,926,000 0.66%
Albany Intl Corp
5.08%
42,346
$3,576,098,000 0.65%
Unilever plc
6.81%
64,872
$3,567,288,000 0.65%
Orix Corporation
0.20%
32,025
$3,564,351,000 0.65%
Thermo Fisher Scientific Inc.
1.24%
6,436
$3,559,108,000 0.65%
WPP Plc.
4.79%
75,816
$3,470,856,000 0.63%
Kb Finl Group Inc
20.06%
60,767
$3,440,020,000 0.62%
Medtronic Plc
6.88%
42,067
$3,311,094,000 0.60%
Teradyne, Inc.
0.29%
22,152
$3,284,928,000 0.60%
Ishares Tr
2.43%
79,549
$6,357,093,000 1.15%
NVIDIA Corp
586.51%
23,870
$2,948,900,000 0.54%
Northrop Grumman Corp.
5.49%
6,759
$2,946,627,000 0.53%
Zimmer Biomet Holdings Inc
107.71%
26,358
$2,860,634,000 0.52%
Alphabet Inc
14.56%
20,425
$3,738,931,000 0.68%
Everest Group Ltd
6.21%
6,948
$2,647,368,000 0.48%
Spdr Sp Midcap 400 Etf Tr
0.51%
4,921
$2,633,129,000 0.48%
Sumitomo Mitsui Finl Group I
30.84%
190,786
$2,558,442,000 0.46%
Abbvie Inc
10.50%
14,185
$2,433,011,000 0.44%
Carmax Inc
1.01%
32,627
$2,392,864,000 0.43%
Vanguard Intl Equity Index F
2.36%
87,645
$4,326,385,000 0.79%
GSK Plc
6.97%
61,457
$2,366,095,000 0.43%
National Grid Plc
10.88%
37,744
$2,143,859,000 0.39%
Intel Corp.
0.29%
67,370
$2,086,437,000 0.38%
Amazon.com Inc.
15.82%
9,520
$1,839,740,000 0.33%
Jetblue Awys Corp
2.28%
300,480
$1,829,923,000 0.33%
Exxon Mobil Corp.
62.32%
15,433
$1,776,640,000 0.32%
Johnson Johnson
14.79%
12,146
$1,775,230,000 0.32%
Eli Lilly Co
31.27%
1,932
$1,749,194,000 0.32%
Merck Co Inc
9.74%
13,243
$1,639,522,000 0.30%
POSCO Holdings Inc
2.24%
24,399
$1,603,990,000 0.29%
Procter And Gamble Co
2.71%
9,466
$1,561,088,000 0.28%
Kinetik Holdings Inc
Opened
37,525
$1,555,036,000 0.28%
Invesco Exchange Traded Fd T
No change
9,356
$1,537,004,000 0.28%
Jpmorgan Chase Co.
17.32%
7,596
$1,536,339,000 0.28%
Global Partners LP
17.83%
31,461
$1,435,565,000 0.26%
Spdr Sp 500 Etf Tr
2.75%
2,351
$1,279,461,000 0.23%
Sunoco Lp/sunoco Fin Corp
Opened
18,674
$1,055,828,000 0.19%
Home Depot, Inc.
1.32%
3,067
$1,055,725,000 0.19%
Spdr Ser Tr
No change
23,691
$983,887,000 0.18%
Abbott Labs
No change
9,423
$979,104,000 0.18%
Digital Rlty Tr Inc
1.06%
6,179
$939,517,000 0.17%
Deere Co
9.92%
2,497
$932,894,000 0.17%
Danaher Corp.
2.77%
3,710
$926,989,000 0.17%
NextEra Energy Inc
19.60%
12,572
$890,223,000 0.16%
Solventum Corp
Opened
16,505
$872,784,000 0.16%
Att Inc
2.26%
43,411
$829,584,000 0.15%
Berkshire Hathaway Inc.
3.63%
1,998
$812,786,000 0.15%
Broadcom Inc.
41.91%
506
$812,398,000 0.15%
Simon Ppty Group Inc New
No change
5,026
$762,947,000 0.14%
Arch Cap Group Ltd
No change
7,500
$756,675,000 0.14%
Pepsico Inc
No change
4,363
$719,546,000 0.13%
Trane Technologies plc
No change
2,178
$716,410,000 0.13%
Coca-Cola Co
6.34%
11,170
$710,971,000 0.13%
Blackstone Inc
No change
5,570
$689,566,000 0.13%
Westlake Chem Partners Lp
No change
30,445
$687,448,000 0.12%
Lockheed Martin Corp.
21.48%
1,462
$682,900,000 0.12%
American Homes 4 Rent
No change
17,506
$650,523,000 0.12%
Sempra
9.55%
8,283
$630,005,000 0.11%
Unitedhealth Group Inc
Closed
1,267
$626,785,000
Union Pac Corp
No change
2,636
$596,421,000 0.11%
Boston Properties, Inc.
No change
9,649
$593,992,000 0.11%
Host Hotels Resorts Inc
No change
32,995
$593,250,000 0.11%
Lowes Cos Inc
6.94%
2,682
$591,371,000 0.11%
Synopsys, Inc.
No change
972
$578,398,000 0.10%
Prologis Inc
7.55%
5,020
$563,796,000 0.10%
Spdr Index Shs Fds
5.59%
14,825
$558,458,000 0.10%
American Wtr Wks Co Inc New
3.56%
4,060
$524,390,000 0.10%
Mid-amer Apt Cmntys Inc
5.77%
3,669
$523,236,000 0.09%
Costco Whsl Corp New
19.49%
613
$521,364,000 0.09%
Agree Rlty Corp
No change
7,848
$486,105,000 0.09%
Visa Inc
6.08%
1,780
$467,197,000 0.08%
Aon plc.
Opened
1,578
$463,269,000 0.08%
Vanguard World Fd
No change
800
$461,272,000 0.08%
National Storage Affiliates
3.74%
10,400
$428,688,000 0.08%
Adobe Inc
No change
770
$427,766,000 0.08%
Automatic Data Processing In
14.51%
1,768
$422,004,000 0.08%
Chevron Corp.
52.36%
2,677
$418,736,000 0.08%
Caterpillar Inc.
3.13%
1,239
$412,711,000 0.07%
Vanguard World Fd
Opened
5,575
$409,261,000 0.07%
First Solar Inc
8.97%
1,775
$400,192,000 0.07%
Laboratory Corp Amer Hldgs
Closed
1,828
$399,345,000
Sandy Spring Bancorp
7.44%
16,343
$398,115,000 0.07%
Vanguard Specialized Funds
No change
2,070
$377,879,000 0.07%
Air Prods Chems Inc
No change
1,457
$375,979,000 0.07%
Select Sector Spdr Tr
0.78%
7,645
$904,166,000 0.16%
First Tr Exchange Traded Fd
0.23%
6,500
$366,730,000 0.07%
Hubbell Inc.
No change
1,000
$365,480,000 0.07%
Lazard Inc.
1.29%
9,550
$364,619,000 0.07%
Philip Morris International Inc
Closed
3,925
$359,609,000
Phillips 66
Closed
2,178
$355,755,000
RTX Corp
Closed
3,483
$339,697,000
Mondelez International Inc.
Closed
4,820
$337,400,000
Mckesson Corporation
No change
571
$333,487,000 0.06%
Goldman Sachs Group, Inc.
7.34%
731
$330,646,000 0.06%
Progressive Corp.
No change
1,530
$317,796,000 0.06%
Old Dominion Freight Line In
No change
1,780
$314,348,000 0.06%
Taiwan Semiconductor Mfg Ltd
Opened
1,777
$308,860,000 0.06%
Eaton Corp Plc
49.01%
981
$307,593,000 0.06%
Mcdonalds Corp
79.41%
1,173
$299,004,000 0.05%
Accenture Plc Ireland
21.86%
970
$294,308,000 0.05%
Micron Technology Inc.
Opened
2,225
$292,654,000 0.05%
NextEra Energy Partners LP
8.70%
10,500
$290,220,000 0.05%
Ulta Beauty Inc
Closed
550
$287,584,000
American Elec Pwr Co Inc
3.74%
3,220
$282,523,000 0.05%
Microstrategy Inc.
Opened
200
$275,496,000 0.05%
Cigna Group (The)
No change
831
$274,704,000 0.05%
Walmart Inc
Opened
3,991
$270,231,000 0.05%
Comcast Corp New
12.22%
6,869
$268,999,000 0.05%
Advanced Micro Devices Inc.
43.48%
1,650
$267,647,000 0.05%
Duke Energy Corp.
No change
2,645
$265,108,000 0.05%
Nike, Inc.
No change
3,500
$263,795,000 0.05%
Mastercard Incorporated
No change
589
$259,843,000 0.05%
Pimco Etf Tr
1.79%
2,750
$254,925,000 0.05%
The Southern Co.
4.53%
3,256
$252,568,000 0.05%
Hannon Armstrong Sust Infr C
8.92%
8,420
$249,232,000 0.05%
Gladstone Ld Corp
14.29%
18,000
$246,420,000 0.04%
Qualcomm, Inc.
Closed
1,452
$245,824,000
Targa Res Corp
No change
1,908
$245,712,000 0.04%
High Income Secs Fd
7.69%
35,000
$244,650,000 0.04%
Western Asset High Yield Def
37.68%
20,675
$239,830,000 0.04%
Alps Etf Tr
0.52%
4,875
$233,903,000 0.04%
AMGEN Inc.
54.61%
748
$233,839,000 0.04%
Asml Holding N V
10.00%
225
$230,114,000 0.04%
Kraft Heinz Co
4.74%
7,000
$225,540,000 0.04%
Equity Residential
Opened
3,200
$221,888,000 0.04%
Oracle Corp.
Closed
1,746
$219,315,000
Ishares Tr
Closed
3,157
$427,857,000
Cf Inds Hldgs Inc
Closed
2,600
$216,346,000
Ameriprise Finl Inc
No change
505
$215,731,000 0.04%
Spdr Gold Tr
28.53%
1,002
$215,440,000 0.04%
Schlumberger Ltd.
Opened
4,525
$213,490,000 0.04%
Colgate-Palmolive Co.
Opened
2,197
$213,197,000 0.04%
Constellation Brands Inc
No change
820
$210,970,000 0.04%
Extra Space Storage Inc.
Opened
1,342
$208,560,000 0.04%
Vanguard Index Fds
Closed
877
$206,788,000
Western Asset High Income Op
24.39%
54,250
$206,693,000 0.04%
General Electric Co
Closed
1,159
$203,387,000
Astrazeneca plc
30.38%
2,578
$201,058,000 0.04%
BP plc
Opened
5,558
$200,641,000 0.04%
AES Corp.
Opened
10,750
$188,878,000 0.03%
Plains Gp Hldgs L P
Closed
10,000
$182,500,000
Western Asset Investment Gra
20.00%
15,000
$181,200,000 0.03%
Invesco Bd Fd
Opened
10,500
$168,420,000 0.03%
Saba Capital Income Opport
Closed
37,500
$143,250,000
Algonquin Pwr Utils Corp
No change
19,750
$115,735,000 0.02%
Recursion Pharmaceuticals In
Opened
13,500
$101,250,000 0.02%
Agnc Invt Corp
No change
10,000
$95,400,000 0.02%
Sirius XM Holdings Inc
38.72%
19,779
$55,975,000 0.01%
Putnam Premier Income Tr
Opened
15,000
$53,700,000 0.01%
Ginkgo Bioworks Holdings Inc
No change
10,000
$3,343,000 0.00%
No transactions found
Showing first 500 out of 210 holdings