NAVELLIER & ASSOCIATES INC

13F Portfolio Filings

  • Most recent 13F
    Q4 2024
  • Location
    reno, NV
  • CIK
    0000872163
  • All SEC filings
Q4 2024
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

329

$834.01M
NVDA, EME, COST, LLY
13F-HR
Feb 3, 2025
000110465925008689

317

$737.69M
NVDA, EME, LLY, COST
13F-HR
Nov 12, 2024
000110465924116385

336

$851.69M
NVDA, SMCI, LLY, EME
13F-HR
Aug 8, 2024
000110465924087117

333

$811.57M
NVDA, SMCI, EME, LLY
13F-HR
May 14, 2024
000110465924060756

319

$667.47M
NVDA, XOM, PWR, COP
13F-HR
Feb 8, 2024
000110465924012108

309

$583.92M
NVDA, XOM, COP, PWR
13F-HR
Nov 9, 2023
000110465923116369

258

$513.47M
NVDA, PWR, COP, EOG
13F-HR
Aug 7, 2023
000110465923088372

270

$475.34M
NVDA, COP, PWR, EOG
13F-HR
May 12, 2023
000110465923059551

252

$490.79M
COP, ADM, SHY, IEF
13F-HR
Feb 2, 2023
000110465923009840

259

$449.75M
SHY, IEF, COP, ADM
13F-HR
Nov 9, 2022
000110465922116319

273

$465.86M
NVDA, COP, EOG, BUNGE LIMITED
13F-HR
Aug 12, 2022
000110465922089876

287

$588.10M
NVDA, WST, COP, JOHNSON CTLS INTL PLC
13F-HR
Apr 29, 2022
000110465922053068

315

$687.23M
NVDA, WST, EPAM, JOHNSON CTLS INTL PLC
13F-HR
Feb 14, 2022
000110465922022064

309

$663.27M
NVDA, WST, EPAM, GNRC
13F-HR
Oct 28, 2021
000110465921130892

298

$663.12M
NVDA, PYPL, FUTU, TRANE TECHNOLOGIES PLC
13F-HR
Aug 9, 2021
000110465921101955

280

$556.11M
NVDA, VEEV, PYPL, FTNT
13F-HR
May 12, 2021
000110465921064961

275

$552.29M
VEEV, NVDA, VRSK, ADBE
13F-HR
Feb 5, 2021
000110465921012887

227

$458.39M
VEEV, NVDA, ZTS, VRSK
13F-HR
Nov 9, 2020
000110465920122841

231

$420.82M
VEEV, CLX, NVDA, VRSK
13F-HR
Aug 12, 2020
000110465920093653

225

$425.53M
SHY, VEEV, LULU, PAYC
13F-HR
May 13, 2020
000110465920060679

281

$621.01M
SHY, PAYC, LULU, VEEV
13F-HR
Feb 12, 2020
000110465920019379

270

$604.29M
SHY, QTEC, FXL, VEEV
13F-HR
Oct 16, 2019
000110465919054339

271

$646.98M
SHY, VEEV, PAYC, HEI
13F-HR
Jul 17, 2019
000110465919040766

242

$644.47M
SHY, FXR, FXL, QTEC
13F-HR
May 15, 2019
000110465919029655

238

$588.17M
IEF, SHY, HEI, VEEV
13F-HR
Jan 15, 2019
000110465919001941

295

$772.54M
FXH, FBT, FXL, FXN
13F-HR
Nov 14, 2018
000110465918068416

304

$718.40M
FBT, FXH, FXL, FXN
13F-HR
Aug 6, 2018
000110465918049708

302

$659.53M
FBT, FXR, FXL, QTEC
13F-HR
May 21, 2018
000110465918034722

292

$534.84M
ANET, NVDA, AFW, PKG
13F-HR
Feb 12, 2018
000110465918008464

232

$514.86M
FXR, QTEC, FXD, FXO
13F-HR
Nov 14, 2017
000110465917068414

306

$669.30M
QTEC, FBT, FXH, FXR
13F-HR
Aug 24, 2017
000110465917053416

277

$686.28M
ULTA, LMT, QTEC, FXR
13F-HR
Apr 21, 2017
000110465917025104

270

$604.86M
NVDA, ULTA, VANTIV INC, LMT
13F-HR
Feb 13, 2017
000110465917008555

281

$699.34M
ULTA, BROADCOM LTD, FQI, VANTIV INC
13F-HR
Oct 24, 2016
000110465916151598

241

$669.90M
IYR, ULTA, FQI, META
13F-HR
Aug 3, 2016
000110465916136475

258

$770.22M
BROADCOM LTD, CNC, META, IEF
13F-HR
May 13, 2016
000110465916120743

218

$909.17M
2777284Z, BROADCOM LTD, NXPI, ELV
13F-HR
Feb 10, 2016
000110465916095348

324

$993.17M
2777284Z, AVAGO TECHNOLOGIES LTD, ELV, AAPL
13F-HR
Oct 20, 2015
000110465915071538

357

$1.14B
ALLERGAN PLC, CNC, ABG, CVS
13F-HR
Jul 8, 2015
000110465915050274

342

$1.10B
ACTAVIS PLC, ABG, LUV, CVS
13F-HR
May 18, 2015
000110465915038950

326

$2.00B
MU, ACTAVIS PLC, LUV, ABG
13F-HR
Feb 2, 2015
000110465915005970

325

$1.99B
MU, ACTAVIS PLC, THERMO FISHER SCIENTIFIC INC, ABG
13F-HR
Oct 7, 2014
000110465914070502

322

$2.21B
MU, ACTAVIS PLC, BFH, THERMO FISHER SCIENTIFIC INC
13F-HR
Jul 9, 2014
000110465914050787

312

$2.15B
THERMO FISHER SCIENTIFIC INC, ACTAVIS PLC, BFH, V
13F-HR
May 8, 2014
000110465914036353

304

$2.22B
BFH, ABG, THERMO FISHER SCIENTIFIC INC, V
13F-HR
Feb 3, 2014
000110465914005869