Patton Fund Management

Latest statistics and disclosures from Patton Fund Management's latest quarterly 13F-HR filing:

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Positions held by Patton Fund Management consolidated in one spreadsheet with up to 7 years of data

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Portfolio Holdings for Patton Fund Management

Patton Fund Management holds 73 positions in its portfolio as reported in the December 2023 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Ishares Tr Core S&p500 Etf (IVV) 12.9 $58M -37% 122k 477.63
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Ishares Tr 7-10 Yr Trsy Bd (IEF) 8.5 $38M -4% 397k 96.39
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Invesco Exchange Traded Fd T S&p500 Eql Wgt (RSP) 4.2 $19M -5% 120k 157.80
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Ishares Tr Msci Eafe Etf (EFA) 3.7 $17M -2% 223k 75.35
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Spdr S&p 500 Etf Tr Tr Unit (SPY) 3.5 $16M -2% 33k 475.31
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Vanguard Intl Equity Index F Ftse Emr Mkt Etf (VWO) 3.5 $16M -3% 378k 41.10
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Ishares Tr Russell 2000 Etf (IWM) 3.3 $15M 74k 200.71
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Spdr Ser Tr Dj Reit Etf (RWR) 3.2 $14M -4% 150k 95.32
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Ishares Tr Rus Mid Cap Etf (IWR) 3.0 $14M 175k 77.73
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Berkshire Hathaway Inc Del Cl B New (BRK.B) 2.6 $12M 34k 356.66
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Pulte (PHM) 1.5 $6.7M +149% 65k 103.22
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Lam Research Corporation (LRCX) 1.4 $6.1M +154% 7.8k 783.26
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Parker-Hannifin Corporation (PH) 1.4 $6.1M +146% 13k 460.70
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Servicenow (NOW) 1.3 $6.0M NEW 8.4k 706.49
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W.W. Grainger (GWW) 1.3 $5.9M +335% 7.1k 828.69
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Kla Corp Com New (KLAC) 1.3 $5.9M +279% 10k 581.30
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salesforce (CRM) 1.3 $5.9M +198% 22k 263.14
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Arista Networks (ANET) 1.3 $5.9M +95% 25k 235.51
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Adobe Systems Incorporated (ADBE) 1.3 $5.9M NEW 9.8k 596.60
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McKesson Corporation (MCK) 1.3 $5.8M NEW 13k 462.98
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Ishares Gold Tr Ishares New (IAU) 1.3 $5.8M 148k 39.03
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Netflix (NFLX) 1.3 $5.7M +159% 12k 486.88
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Builders FirstSource (BLDR) 1.3 $5.7M NEW 34k 166.94
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Booking Holdings (BKNG) 1.2 $5.5M +102% 1.6k 3547.22
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Assurant (AIZ) 1.2 $5.4M NEW 32k 168.49
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Fair Isaac Corporation (FICO) 1.2 $5.4M +88% 4.6k 1164.01
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Lennar Corp Cl A (LEN) 1.2 $5.4M NEW 36k 149.04
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FedEx Corporation (FDX) 1.2 $5.4M NEW 21k 252.97
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Cardinal Health (CAH) 1.2 $5.4M +314% 53k 100.80
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Cadence Design Systems (CDNS) 1.2 $5.3M NEW 19k 272.37
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Axon Enterprise (AXON) 1.1 $5.2M NEW 20k 258.33
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Broadcom (AVGO) 1.1 $5.2M 4.6k 1116.25
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Ptc (PTC) 1.1 $5.1M 29k 174.96
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United Rentals (URI) 1.1 $5.1M 8.8k 573.42
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Trane Technologies SHS (TT) 1.1 $5.0M NEW 21k 243.90
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Brown & Brown (BRO) 1.1 $4.8M NEW 67k 71.11
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Intel Corporation (INTC) 1.0 $4.7M -2% 93k 50.25
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NVIDIA Corporation (NVDA) 1.0 $4.7M +2% 9.4k 495.22
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Palo Alto Networks (PANW) 1.0 $4.6M +87% 16k 294.88
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Ingersoll Rand (IR) 1.0 $4.6M -2% 59k 77.34
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Meta Platforms Cl A (META) 1.0 $4.5M +92% 13k 353.96
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Synopsys (SNPS) 1.0 $4.4M 8.6k 514.91
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Progressive Corporation (PGR) 1.0 $4.4M NEW 28k 159.28
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Eaton Corp SHS (ETN) 1.0 $4.3M 18k 240.82
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Invesco Actvely Mngd Etc Optimum Yield (PDBC) 0.9 $4.3M 320k 13.30
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Arch Cap Group Ord (ACGL) 0.9 $3.9M +96% 53k 74.27
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Linde SHS (LIN) 0.9 $3.9M NEW 9.4k 410.71
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Motorola Solutions Com New (MSI) 0.8 $3.8M NEW 12k 313.09
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Comcast Corp Cl A (CMCSA) 0.8 $3.7M -4% 84k 43.85
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Targa Res Corp (TRGP) 0.8 $3.7M NEW 42k 86.87
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Ishares Tr Short Treas Bd (SHV) 0.8 $3.5M -3% 31k 110.13
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O'reilly Automotive (ORLY) 0.8 $3.4M NEW 3.6k 950.08
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Eli Lilly & Co. (LLY) 0.7 $3.0M 5.2k 582.92
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Hess (HES) 0.6 $2.5M NEW 17k 144.16
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Halliburton Company (HAL) 0.5 $2.4M NEW 67k 36.15
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Ishares S&p Gsci Commodity- Unit Ben Int (GSG) 0.5 $2.0M -7% 102k 20.06
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Analog Devices (ADI) 0.5 $2.0M 10k 198.56
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Vanguard Scottsdale Fds Inter Term Treas (VGIT) 0.4 $1.6M NEW 28k 59.32
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Spdr Gold Tr Gold Shs (GLD) 0.3 $1.5M -6% 7.8k 191.17
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CoStar (CSGP) 0.3 $1.4M -3% 16k 87.39
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Cummins (CMI) 0.3 $1.2M -2% 5.1k 239.57
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Ishares Tr 1 3 Yr Treas Bd (SHY) 0.1 $595k -5% 7.2k 82.04
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Vanguard Index Fds Real Estate Etf (VNQ) 0.1 $520k NEW 5.9k 88.36
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Regions Financial Corporation (RF) 0.1 $315k +10% 16k 19.38
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ConocoPhillips (COP) 0.1 $261k +2% 2.3k 116.07
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Vanguard Index Fds S&p 500 Etf Shs (VOO) 0.1 $232k 530.00 436.80
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Ishares Tr Msci Usa Min Vol (USMV) 0.0 $202k NEW 2.6k 78.03
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Key (KEY) 0.0 $156k NEW 11k 14.40
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Ford Motor Company (F) 0.0 $155k +9% 13k 12.19
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Huntington Bancshares Incorporated (HBAN) 0.0 $152k +2% 12k 12.72
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Viatris (VTRS) 0.0 $150k 14k 10.83
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Warner Bros Discovery Com Ser A (WBD) 0.0 $139k NEW 12k 11.38
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Amcor Ord (AMCR) 0.0 $135k +14% 14k 9.64
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Past Filings by Patton Fund Management

SEC 13F filings are viewable for Patton Fund Management going back to 2019

View all past filings