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Brooklyn FI, LLC Historic Quarter Change: USA Bonds: Other Debt, New

Brooklyn FI, LLC historic quarter change: USA Bonds: Other Debt, New

In other debt filed by principal amount (debentures, bonds) (listed in the US), over 10 quarters from 2023-12-31 to 2026-06-30, Brooklyn FI, LLC opened 62 positions, added to 0, reduced 0 and sold out of 0.

  • Q2 2026: Stock ELF; Country of operation United States; Class Bond; Principal before $0.
  • Q2 2026: Stock HARRIS CNTY TEX MUN 4PCT42 GO UTX DUE 09/01/42 OID; Country of operation —; Class Bond; Principal before $0.
  • Q2 2026: Stock NEW YORK ST TWY AUT 5PCT30 TOLL TRAN DUE 01/01/30; Country of operation United States; Class Bond; Principal before $0.
  • Q2 2026: Stock NEW YORK ST ENVIRON 5PCT29 POOL AUTH DUE 06/15/29; Country of operation United States; Class Bond; Principal before $0.

Each consecutive pair of Form 13F-HR filings compared (SEC CIK 1916123), 10 quarters: Q2 2026 (2026-03-31 to 2026-06-30, filed 2026-08-04); Q1 2026 (2025-12-31 to 2026-03-31, filed 2026-05-11); Q4 2025 (2025-09-30 to 2025-12-31, filed 2026-01-21); Q3 2025 (2025-06-30 to 2025-09-30, filed 2025-11-12); Q2 2025 (2025-03-31 to 2025-06-30, filed 2025-07-10); Q1 2025 (2024-12-31 to 2025-03-31, filed 2025-05-13); Q4 2024 (2024-09-30 to 2024-12-31, filed 2025-02-28); Q3 2024 (2024-06-30 to 2024-09-30, filed 2024-10-29); Q2 2024 (2024-03-31 to 2024-06-30, filed 2024-08-07); Q1 2024 (2023-12-31 to 2024-03-31, filed 2024-04-17). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move. Only the filings held here are compared; the firm's 13F-HR filings go back to the quarter ended 2021-12-31.

QuarterStockCountry of operationClassPrincipal beforePrincipal afterShare changeValue beforeValue afterValue changeFiled
Q2 2026ELF
E L F BEAUTY INC
United StatesBond$0$2,433+2,433$0$192,280+$192,2802026-08-04
Q2 2026HARRIS CNTY TEX MUN 4PCT42 GO UTX DUE 09/01/42 OID
CUSIP 41424GJA5
Bond$0$120,000+120,000$0$114,976+$114,9762026-08-04
Q2 2026NEW YORK ST TWY AUT 5PCT30 TOLL TRAN DUE 01/01/30
CUSIP 6500092P7
United StatesBond$0$50,000+50,000$0$53,708+$53,7082026-08-04
Q2 2026NEW YORK ST ENVIRON 5PCT29 POOL AUTH DUE 06/15/29
CUSIP 64986DMR3
United StatesBond$0$50,000+50,000$0$53,378+$53,3782026-08-04
Q2 2026PORT AUTH N Y & N J 5PCT28 PA TRAN DUE 12/01/28
CUSIP 73358XKU5
United StatesBond$0$50,000+50,000$0$52,844+$52,8442026-08-04
Q2 2026NEW YORK ST DORM AU 5PCT27 UNIV EDUC DUE 07/01/27 XTRO
CUSIP 64985SWV1
Bond$0$50,000+50,000$0$51,184+$51,1842026-08-04
Q2 2026WHITE PLAINS N Y CI 5PCT31 GO UTX DUE 06/15/31
CUSIP 964406MY5
Bond$0$45,000+45,000$0$49,543+$49,5432026-08-04
Q2 2026MONROE CNTY N Y IND 5PCT35 UNIV EDUC DUE 07/01/35 XTRO
CUSIP 61075TYG7
United StatesBond$0$40,000+40,000$0$46,041+$46,0412026-08-04
Q2 2026WEST SENECA N Y CEN 4PCT27 GO UTX DUE 06/15/27
CUSIP 955776LT4
Bond$0$45,000+45,000$0$45,582+$45,5822026-08-04
Q2 2026NEW YORK N Y CITY M 5PCT34 WRSR UTIL DUE 06/15/34 XTRO
CUSIP 64972GE26
United StatesBond$0$40,000+40,000$0$45,250+$45,2502026-08-04
Q2 2026NEW YORK ST 5PCT39 GO UTX DUE 03/15/39
CUSIP 649791UJ7
United StatesBond$0$40,000+40,000$0$45,167+$45,1672026-08-04
Q2 2026NEW YORK NY CITY TR 5PCT37 FINL SCH DUE 07/15/37
CUSIP 64972LBE2
United StatesBond$0$40,000+40,000$0$45,109+$45,1092026-08-04
Q2 2026NEW YORK ST DORM AU 5PCT33 SPL TAX DUE 03/15/33 XTRO
CUSIP 64990KHM8
United StatesBond$0$40,000+40,000$0$44,586+$44,5862026-08-04
Q2 2026NEW YORK ST ENVIRON 5PCT39 POOL AUTH DUE 11/15/39
CUSIP 64985H3G0
Bond$0$40,000+40,000$0$44,222+$44,2222026-08-04
Q2 2026PORT AUTH N Y & N J 5PCT41 REV UTX DUE 10/15/41
CUSIP 73358XQR6
United StatesBond$0$40,000+40,000$0$44,222+$44,2222026-08-04
Q2 2026NEW YORK N Y CITY T 5PCT36 COMB TAX DUE 11/01/36
CUSIP 64972JJT6
United StatesBond$0$40,000+40,000$0$43,917+$43,9172026-08-04
Q2 2026SYRACUSE N Y INDL D 5PCT31 IMPT SCH DUE 05/01/31 XTRO
CUSIP 871683FX1
Bond$0$40,000+40,000$0$43,858+$43,8582026-08-04
Q2 2026NEW YORK N Y 5PCT32 GO UTX DUE 08/01/32 XTRO
CUSIP 64966SFV3
United StatesBond$0$40,000+40,000$0$43,786+$43,7862026-08-04
Q2 2026Port Auth Ny & Nj Consolidated Bds Rev Clbl
CUSIP 73358WMN1
Bond$0$50,000+50,000$0$43,582+$43,5822026-08-04
Q2 2026TRIBOROUGH BRDG & T 5PCT40 EXCISE TAX DUE 05/15/40 XTRO
CUSIP 896035CV2
United StatesBond$0$40,000+40,000$0$43,302+$43,3022026-08-04
Q2 2026TRIBOROUGH BRDG & T 5PCT30 SPL TAX DUE 05/15/30
CUSIP 89602HCV7
United StatesBond$0$40,000+40,000$0$43,233+$43,2332026-08-04
Q2 2026WESTCHESTER CNTY N 5PCT29 GO UTX DUE 12/15/29
CUSIP 95736VEP3
Bond$0$40,000+40,000$0$43,131+$43,1312026-08-04
Q2 2026DORMITORY AUTH OF T 5PCT40 UNIV EDUC DUE 07/01/40
CUSIP 65000BAZ1
United StatesBond$0$40,000+40,000$0$42,480+$42,4802026-08-04
Q2 2026TRIBOROUGH BRDG & T 4PCT31 SPL TAX DUE 11/15/31 XTRO
CUSIP 89602HFJ1
United StatesBond$0$40,000+40,000$0$41,990+$41,9902026-08-04
Q2 2026NEW YORK N Y CITY M 5PCT28 WRSR UTIL DUE 06/15/28
CUSIP 64972GWY6
United StatesBond$0$40,000+40,000$0$41,842+$41,8422026-08-04
Q2 2026ONEIDA CNTY N Y 4PCT38 GO UTX DUE 02/15/38
CUSIP 682455HZ6
Bond$0$40,000+40,000$0$41,146+$41,1462026-08-04
Q2 2026WESTCHESTER CNTY N 4PCT41 GO UTX DUE 03/15/41
CUSIP 95736VLF7
Bond$0$40,000+40,000$0$40,536+$40,5362026-08-04
Q2 2026UTILITY DEBT SECURI 5PCT38 ELEC UTIL DUE 12/15/38
CUSIP 91802RJE0
United StatesBond$0$35,000+35,000$0$39,897+$39,8972026-08-04
Q2 2026LONG IS PWR AUTH N 5PCT35 ELEC UTIL DUE 09/01/35
CUSIP 542691KQ2
United StatesBond$0$35,000+35,000$0$39,762+$39,7622026-08-04
Q2 2026TRIBOROUGH BRDG & T 5PCT36 TOLL TRAN DUE 11/15/36
CUSIP 89602RNT8
United StatesBond$0$35,000+35,000$0$39,615+$39,6152026-08-04
Q2 2026NEW YORK ST PWR AUT 5PCT37 PWR UTIL DUE 11/15/37
CUSIP 64989KLY0
United StatesBond$0$35,000+35,000$0$39,455+$39,4552026-08-04
Q2 2026SUFFOLK CNTY N Y PUB IMPT BDS 2024A 5.000PCT 10/15/33 B/E DTD 10/30/24 CLB
CUSIP 86476PQ76
Bond$0$35,000+35,000$0$38,973+$38,9732026-08-04
Q2 2026NEW YORK ST DORM AU 5PCT32 EXCISE TAX DUE 03/15/32 XTRO
CUSIP 64990AWD3
United StatesBond$0$35,000+35,000$0$38,787+$38,7872026-08-04
Q2 2026PORT AUTH N Y & N J 5PCT31 PA TRAN DUE 12/01/31
CUSIP 73358XKX9
United StatesBond$0$35,000+35,000$0$38,780+$38,7802026-08-04
Q2 2026SCHENECTADY CNTY N 5PCT34 MUNI BLDG DUE 01/01/34
CUSIP 80641AAE4
Bond$0$35,000+35,000$0$38,687+$38,6872026-08-04
Q2 2026TRIBOROUGH BRDG & T 5PCT30 SPL TAX DUE 12/01/30
CUSIP 896032AF6
United StatesBond$0$35,000+35,000$0$38,168+$38,1682026-08-04
Q2 2026NEW YORK ST DORM AU 5PCT38 FINL SCH DUE 10/01/38 ASSURED GUARANTY INC
CUSIP 64985STN3
Bond$0$30,000+30,000$0$32,859+$32,8592026-08-04
Q2 2026ISLIP N Y 4PCT40 GO UTX DUE 05/01/40
CUSIP 464723MJ1
Bond$0$30,000+30,000$0$31,028+$31,0282026-08-04
Q2 2026NEW YORK ST DORM AU 5PCT37 EDUC EDR DUE 10/01/37 XTRO
CUSIP 64985SSZ7
Bond$0$25,000+25,000$0$28,793+$28,7932026-08-04
Q2 2026BATTERY PK CITY AUT 5PCT33 SPL TAX DUE 11/01/33 XTRO
CUSIP 07133AJY9
United StatesBond$0$25,000+25,000$0$28,519+$28,5192026-08-04
Q2 2026YONKERS N Y 5PCT34 GO UTX DUE 02/01/34 ASSURED GUARANTY INC
CUSIP 9860824V4
United StatesBond$0$25,000+25,000$0$28,207+$28,2072026-08-04
Q2 2026NEW YORK N Y CITY M 5PCT35 WRSR UTIL DUE 06/15/35
CUSIP 64972GD92
United StatesBond$0$25,000+25,000$0$27,828+$27,8282026-08-04
Q2 2026NEW YORK NY CITY TR 5PCT39 FINL SCH DUE 07/15/39
CUSIP 64972LAP8
United StatesBond$0$25,000+25,000$0$27,780+$27,7802026-08-04
Q2 2026NEW YORK ST TWY AUT 5PCT31 TOLL TRAN DUE 01/01/31
CUSIP 6500092Q5
United StatesBond$0$25,000+25,000$0$27,242+$27,2422026-08-04
Q2 2026MONROE CNTY N Y 4PCT32 GO UTX DUE 06/01/32
CUSIP 61074PA23
Bond$0$25,000+25,000$0$26,404+$26,4042026-08-04
Q2 2026New York N Y City Mun Wtr Fin Rev Bds M/w
CUSIP 64972FL20
United StatesBond$0$25,000+25,000$0$25,194+$25,1942026-08-04
Q2 2026HUDSON YDS INFRASTR 4PCT36 SPL TAX DUE 02/15/36
CUSIP 44420RAZ3
United StatesBond$0$25,000+25,000$0$25,024+$25,0242026-08-04
Q2 2026US Treasury 3-Year 4.5PCT Note
CUSIP 91282CKJ9
United StatesBond$0$12,500+12,500$0$12,533+$12,5332026-08-04
Q2 2026US Treasury 3-Year 4.625PCT Note
CUSIP 91282CJC6
United StatesBond$0$12,500+12,500$0$12,523+$12,5232026-08-04
Q2 2026US Treasury 3-Year 4.375PCT Note
CUSIP 91282CJP7
United StatesBond$0$12,500+12,500$0$12,522+$12,5222026-08-04
Q2 2026US Treasury 3-Year 4.25PCT Note
CUSIP 91282CKE0
United StatesBond$0$12,500+12,500$0$12,515+$12,5152026-08-04
Q2 2026US Treasury 3-Year 4.125PCT Note
CUSIP 91282CKA8
United StatesBond$0$12,500+12,500$0$12,501+$12,5012026-08-04
Q2 2026US Treasury 3-Year 4PCT Note
CUSIP 91282CJT9
United StatesBond$0$12,500+12,500$0$12,500+$12,5002026-08-04
Q2 2026US Treasury 3-Year 4.625PCT Note
CUSIP 91282CKV2
United StatesBond$0$12,400+12,400$0$12,447+$12,4472026-08-04
Q2 2026US TREASURY BILL26 U S T BILL DUE 09/17/26
CUSIP 912797UG0
United StatesBond$0$12,500+12,500$0$12,429+$12,4292026-08-04
Q2 2026US Treasury 3-Year 4.625PCT Note
CUSIP 91282CJK8
United StatesBond$0$12,400+12,400$0$12,425+$12,4252026-08-04
Q2 2026US Treasury 3-Year 4.5PCT Note
CUSIP 91282CKR1
United StatesBond$0$12,200+12,200$0$12,228+$12,2282026-08-04
Q2 2026US TREASURY BILL26 U S T BILL DUE 08/20/26
CUSIP 912797TX5
United StatesBond$0$8,300+8,300$0$8,277+$8,2772026-08-04
Q2 2026US TREASURY BILL26 U S T BILL DUE 08/11/26
CUSIP 912797UT2
United StatesBond$0$4,200+4,200$0$4,192+$4,1922026-08-04
Q2 2026ALTRIA GROUP, INC 4.5PCT43 DUE 05/02/43
CUSIP 02209SAQ6
United StatesBond$0$500+500$0$407+$4072026-08-04
Q2 2026US Treasury 10-Year 2.375PCT Note
CUSIP 912828X88
United StatesBond$0$300+300$0$296+$2962026-08-04
Q2 2026US TREASURY BILL26 U S T BILL DUE 11/12/26
CUSIP 912797UY1
Bond$0$100+100$0$99+$992026-08-04

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