Filer Name: SHERBROOKE PARK ADVISERS LLC
CIK: 1965377
Period: 2024-12-31
Filed At: 2025-02-14
Number of Holdings: 717
Portfolio Value: $0.31B

Sherbrooke Park Advisers Llc Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
ED US CONSOLIDATED EDISON INC 23,336 $2M 0.66% 76.7% -
HAS US HASBRO INC 36,074 $2M 0.64% 1065.9% -
EOG US EOG RESOURCES INC 16,207 $2M 0.63% 585.0% -
AMAT US APPLIED MATERIALS INC 11,677 $2M 0.61% 100.0% -
LRCX US LAM RESEARCH CORP 24,698 $2M 0.57% 100.0% -
CRUS US CIRRUS LOGIC INC 16,844 $2M 0.54% 20.5% -
IT US GARTNER INC 3,343 $2M 0.52% 100.0% -
JNJ US JOHNSON & JOHNSON 10,597 $2M 0.49% 100.0% -
MPWR US MONOLITHIC POWER SYSTEMS INC 2,587 $2M 0.49% 252.9% -
NEE US NEXTERA ENERGY INC 20,792 $1M 0.48% 376.9% -
ZBRA US ZEBRA TECHNOLOGIES CORP-CL A 3,792 $1M 0.47% 173.0% -
FLS US FLOWSERVE CORP 25,741 $1M 0.47% 100.0% -
LYFT US LYFT INC-A 111,105 $1M 0.46% 39.6% -
REGN US REGENERON PHARMACEUTICALS 2,004 $1M 0.46% 100.0% -
TT US TRANE TECHNOLOGIES PLC 3,745 $1M 0.44% 96.0% -
MSI US MOTOROLA SOLUTIONS INC 2,931 $1M 0.43% 89.3% -
HD US HOME DEPOT INC 3,486 $1M 0.43% 400.9% -
CWEN/A US CLEARWAY ENERGY INC-A 54,702 $1M 0.43% 83.5% -
PFE US PFIZER INC 50,092 $1M 0.42% 100.0% -
DD US DUPONT DE NEMOURS INC 17,042 $1M 0.41% 100.0% -
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