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CREDIT SUISSE AG/ Current Holdings: USA Other Stocks

CREDIT SUISSE AG/ current holdings: USA Other Stocks

CREDIT SUISSE AG/ reported $2.47 billion in shares no fund filing gives a ticker for, so this site has no page for them (listed in the US), 223 positions, in its Form 13F for the quarter ended 2024-03-31; the largest are BLACKROCK INC, INDIVIOR PLC, LAM RESEARCH CORP.

  • BLACKROCK INC: Country of operation United States; Class COM; Shares 371,757; Value $309,933,811.
  • INDIVIOR PLC: Country of operation —; Class ORD; Shares 167,722; Value $284,121,068.
  • LAM RESEARCH CORP: Country of operation United States; Class COM; Shares 241,686; Value $234,814,867.
  • ANSYS INC: Country of operation United States; Class COM; Shares 370,366; Value $128,576,261.

Form 13F-HR as filed (SEC CIK 824468): quarter ended 2024-03-31, filed 2024-05-10. The manager files one row per sub-manager; rows for the same security, class and put/call are added together.

StockCountry of operationClassSharesValueQuarter endFiled
BLACKROCK INC
CUSIP 09247X101
United StatesCOM371,757$309,933,8112024-03-312024-05-10
INDIVIOR PLC
CUSIP G4766E116
ORD167,722$284,121,0682024-03-312024-05-10
LAM RESEARCH CORP
CUSIP 512807108
United StatesCOM241,686$234,814,8672024-03-312024-05-10
ANSYS INC
CUSIP 03662Q105
United StatesCOM370,366$128,576,2612024-03-312024-05-10
ARISTA NETWORKS INC
CUSIP 040413106
United StatesCOM318,113$92,246,4092024-03-312024-05-10
FERGUSON PLC NEW
CUSIP G3421J106
SHS403,446$88,124,7092024-03-312024-05-10
SHOCKWAVE MED INC
CUSIP 82489T104
United StatesCOM237,491$77,334,1952024-03-312024-05-10
TE CONNECTIVITY LTD
CUSIP H84989104
SHS465,479$67,606,1692024-03-312024-05-10
PIONEER NAT RES CO
CUSIP 723787107
United StatesCOM254,145$66,713,0642024-03-312024-05-10
DIVERSIFIED ENERGY COMPANY P
CUSIP G2891G204
SHS NEW68,054$64,515,1922024-03-312024-05-10
INARI MED INC
CUSIP 45332Y109
United StatesCOM1,286,156$61,709,7642024-03-312024-05-10
ASPEN TECHNOLOGY INC
CUSIP 29109X106
United StatesCOM275,851$58,833,5012024-03-312024-05-10
DISCOVER FINL SVCS
CUSIP 254709108
United StatesCOM412,226$54,038,7052024-03-312024-05-10
SUPER MICRO COMPUTER INC
CUSIP 86800U104
United StatesCOM53,416$53,951,7632024-03-312024-05-10
BARRICK GOLD CORP
CUSIP 067901108
COM2,536,795$42,212,2692024-03-312024-05-10
STERICYCLE INC
CUSIP 858912108
United StatesCOM740,363$39,054,1502024-03-312024-05-10
APTIV PLC
CUSIP G6095L109
SHS464,269$36,979,0252024-03-312024-05-10
DUPONT DE NEMOURS INC
CUSIP 26614N102
United StatesCOM440,582$33,779,4212024-03-312024-05-10
JUNIPER NETWORKS INC
CUSIP 48203R104
United StatesCOM889,463$32,963,4992024-03-312024-05-10
HESS CORP
CUSIP 42809H107
United StatesCOM212,634$32,456,4542024-03-312024-05-10
LABORATORY CORP AMER HLDGS
CUSIP 50540R409
United StatesCOM NEW141,459$30,903,1322024-03-312024-05-10
AMCOR PLC
CUSIP G0250X107
ORD2,860,068$27,199,2472024-03-312024-05-10
QIAGEN NV
CUSIP N72482149
SHS NEW609,430$26,199,3962024-03-312024-05-10
WALGREENS BOOTS ALLIANCE INC
CUSIP 931427108
United StatesCOM1,062,431$23,044,1282024-03-312024-05-10
WESTROCK CO
CUSIP 96145D105
United StatesCOM392,069$19,387,8122024-03-312024-05-10
BERRY GLOBAL GROUP INC
CUSIP 08579W103
United StatesCOM246,331$14,898,0992024-03-312024-05-10
CATALENT INC
CUSIP 148806102
United StatesCOM210,037$11,856,5892024-03-312024-05-10
MARATHON OIL CORP
CUSIP 565849106
United StatesCOM396,868$11,247,2382024-03-312024-05-10
UNITED STATES STL CORP NEW
CUSIP 912909108
United StatesCOM257,651$10,507,0082024-03-312024-05-10
PINNACLE FINL PARTNERS INC
CUSIP 72346Q104
United StatesCOM120,008$10,306,2872024-03-312024-05-10
ALTAIR ENGR INC
CUSIP 021369103
United StatesCOM CL A113,636$9,789,7422024-03-312024-05-10
EQUITRANS MIDSTREAM CORP
CUSIP 294600101
United StatesCOM763,803$9,539,9002024-03-312024-05-10
PARAMOUNT GLOBAL
CUSIP 92556H206
United StatesCLASS B COM769,004$9,051,1772024-03-312024-05-10
INTRA-CELLULAR THERAPIES INC
CUSIP 46116X101
United StatesCOM124,596$8,622,0432024-03-312024-05-10
WOLFSPEED INC
CUSIP 977852102
United StatesCOM288,369$8,506,8872024-03-312024-05-10
BEACON ROOFING SUPPLY INC
CUSIP 073685109
United StatesCOM85,772$8,407,3712024-03-312024-05-10
CHAMPIONX CORPORATION
CUSIP 15872M104
United StatesCOM232,258$8,335,7402024-03-312024-05-10
SUMMIT MATLS INC
CUSIP 86614U100
United StatesCL A178,981$7,977,1842024-03-312024-05-10
ARCADIUM LITHIUM PLC
CUSIP G0508H110
COM SHS1,738,930$7,494,7882024-03-312024-05-10
APARTMENT INCOME REIT CORP
CUSIP 03750L109
United StatesCOM218,038$7,079,6952024-03-312024-05-10
AZEK CO INC
CUSIP 05478C105
United StatesCL A136,785$6,869,3432024-03-312024-05-10
AXONICS INC
CUSIP 05465P101
United StatesCOM99,555$6,866,3082024-03-312024-05-10
BROOKFIELD RENEWABLE CORP
CUSIP 11284V105
CL A SUB VTG277,279$6,812,7442024-03-312024-05-10
ENSTAR GROUP LIMITED
CUSIP G3075P101
SHS21,574$6,704,3362024-03-312024-05-10
ENERPLUS CORP
CUSIP 292766102
COM338,835$6,661,4962024-03-312024-05-10
BLUEPRINT MEDICINES CORP
CUSIP 09627Y109
United StatesCOM69,100$6,554,8262024-03-312024-05-10
SOUTHWESTERN ENERGY CO
CUSIP 845467109
United StatesCOM860,864$6,525,3502024-03-312024-05-10
BERKSHIRE HATHAWAY INC DEL
CUSIP 084670108
United StatesCL A10$6,344,4002024-03-312024-05-10
CELESTICA INC
CUSIP 15101Q108
SUB VTG SHS132,626$5,960,2132024-03-312024-05-10
NEVRO CORP
CUSIP 64157F103
United StatesCOM412,705$5,959,4592024-03-312024-05-10
SMARTSHEET INC
CUSIP 83200N103
United StatesCOM CL A154,777$5,958,9152024-03-312024-05-10
POWERSCHOOL HOLDINGS INC
CUSIP 73939C106
United StatesCOM CL A277,520$5,908,4002024-03-312024-05-10
SIRIUS XM HOLDINGS INC
CUSIP 82968B103
United StatesCOM1,466,669$5,690,6762024-03-312024-05-10
ENDEAVOR GROUP HLDGS INC
CUSIP 29260Y109
United StatesCL A COM218,518$5,622,4682024-03-312024-05-10
OSISKO GOLD ROYALTIES LTD
CUSIP 68827L101
COM338,057$5,550,8962024-03-312024-05-10
BROOKFIELD INFRASTRUCTURE CO
CUSIP 11275Q107
COM SB VTG SHS A151,823$5,471,7002024-03-312024-05-10
LIBERTY MEDIA CORP DEL
CUSIP 531229789
United StatesCOM LBTY SRM S C165,894$4,928,7102024-03-312024-05-10
SITE CTRS CORP
CUSIP 82981J109
United StatesCOM330,715$4,844,9752024-03-312024-05-10
CALLON PETE CO DEL
CUSIP 13123X508
United StatesCOM133,167$4,762,0522024-03-312024-05-10
AMEDISYS INC
CUSIP 023436108
United StatesCOM51,288$4,726,7022024-03-312024-05-10
CEREVEL THERAPEUTICS HLDNG I
CUSIP 15678U128
COM111,634$4,718,7692024-03-312024-05-10
ENCORE WIRE CORP
CUSIP 292562105
United StatesCOM17,476$4,592,3432024-03-312024-05-10
M D C HLDGS INC
CUSIP 552676108
United StatesCOM71,843$4,519,6442024-03-312024-05-10
INSTRUCTURE HLDGS INC
CUSIP 457790103
United StatesCOM207,102$4,427,8412024-03-312024-05-10
NATIONAL WESTN LIFE GROUP IN
CUSIP 638517102
United StatesCL A8,904$4,380,4122024-03-312024-05-10
GATES INDL CORP PLC
CUSIP G39108108
ORD SHS243,005$4,303,6192024-03-312024-05-10
NEW YORK CMNTY BANCORP INC
CUSIP 649445103
United StatesCOM1,310,592$4,220,1062024-03-312024-05-10
PREMIER INC
CUSIP 74051N102
United StatesCL A184,786$4,083,7702024-03-312024-05-10
TASEKO MINES LTD
CUSIP 876511106
COM1,988,272$3,976,5442024-03-312024-05-10
R1 RCM INC
CUSIP 77634L105
United StatesCOM307,103$3,955,4862024-03-312024-05-10
OUTFRONT MEDIA INC
CUSIP 69007J106
United StatesCOM231,312$3,883,7282024-03-312024-05-10
BARNES GROUP INC
CUSIP 067806109
United StatesCOM99,122$3,682,3832024-03-312024-05-10
ENVESTNET INC
CUSIP 29404K106
United StatesCOM61,518$3,562,5082024-03-312024-05-10
TILRAY BRANDS INC
CUSIP 88688T100
COM1,426,553$3,523,5862024-03-312024-05-10
NORDSTROM INC
CUSIP 655664100
United StatesCOM165,181$3,348,2182024-03-312024-05-10
PATTERSON COS INC
CUSIP 703395103
United StatesCOM120,785$3,339,7062024-03-312024-05-10
ALIGHT INC
CUSIP 01626W101
United StatesCOM CL A370,591$3,335,3192024-03-312024-05-10
NERDY INC
CUSIP 64081V109
United StatesCL A COM1,119,458$3,257,6232024-03-312024-05-10
MASONITE INTL CORP
CUSIP 575385109
COM24,737$3,251,6802024-03-312024-05-10
HASHICORP INC
CUSIP 418100103
United StatesCOM CL A113,339$3,056,7532024-03-312024-05-10
PRIMO WATER CORPORATION
CUSIP 74167P108
COM167,432$3,048,9362024-03-312024-05-10
SPRINGWORKS THERAPEUTICS INC
CUSIP 85205L107
COM59,198$2,913,7252024-03-312024-05-10
VIPER ENERGY INC
CUSIP 927959106
United StatesCL A75,036$2,885,8852024-03-312024-05-10
MARQETA INC
CUSIP 57142B104
United StatesCLASS A COM455,518$2,714,8872024-03-312024-05-10
PERFICIENT INC
CUSIP 71375U101
United StatesCOM46,892$2,639,5512024-03-312024-05-10
DUN & BRADSTREET HLDGS INC
CUSIP 26484T106
United StatesCOM258,571$2,596,0532024-03-312024-05-10
CUSHMAN WAKEFIELD PLC
CUSIP G2717B108
SHS243,156$2,543,4112024-03-312024-05-10
H & E EQUIPMENT SERVICES INC
CUSIP 404030108
United StatesCOM39,193$2,515,4072024-03-312024-05-10
NV5 GLOBAL INC
CUSIP 62945V109
United StatesCOM25,153$2,465,2452024-03-312024-05-10
NUVEI CORPORATION
CUSIP 67079A102
SUB VTG SHS76,123$2,407,0092024-03-312024-05-10
EXPRO GROUP HOLDINGS NV
CUSIP N3144W105
COM110,496$2,206,6052024-03-312024-05-10
AGILON HEALTH INC
CUSIP 00857U107
United StatesCOM356,721$2,175,9992024-03-312024-05-10
EVERBRIDGE INC
CUSIP 29978A104
United StatesCOM61,413$2,139,0162024-03-312024-05-10
VISTA OUTDOOR INC
CUSIP 928377100
United StatesCOM64,936$2,128,6022024-03-312024-05-10
SIX FLAGS ENTMT CORP NEW
CUSIP 83001A102
United StatesCOM79,839$2,101,3632024-03-312024-05-10
SP PLUS CORP
CUSIP 78469C103
United StatesCOM37,801$1,973,9682024-03-312024-05-10
SQUARESPACE INC
CUSIP 85225A107
United StatesCLASS A53,777$1,959,6342024-03-312024-05-10
SAGE THERAPEUTICS INC
CUSIP 78667J108
United StatesCOM103,406$1,937,8282024-03-312024-05-10
UNITI GROUP INC
CUSIP 91325V108
United StatesCOM323,308$1,907,5172024-03-312024-05-10
ARCH RESOURCES INC
CUSIP 03940R107
United StatesCL A11,800$1,897,3222024-03-312024-05-10

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