American Assets Investment Management

Latest statistics and disclosures from American Assets Investment Management's latest quarterly 13F-HR filing:

  • Top 5 stock holdings are WFC, BAC, XOM, SHEL, JPM, and represent 22.52% of American Assets Investment Management's stock portfolio.
  • Added to shares of these 4 stocks: RBC, WHD, LMND, WAT.
  • Started 4 new stock positions in WHD, WAT, LMND, RBC.
  • Reduced shares in these 7 stocks: PBI (-$11M), VZ (-$5.7M), JNJ, , RIVN, XYZ, A.
  • Sold out of its positions in ADBE, XYZ, VZ.
  • American Assets Investment Management was a net seller of stock by $-15M.
  • American Assets Investment Management has $1.5B in assets under management (AUM), dropping by 1.72%.
  • Central Index Key (CIK): 0001389256

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Portfolio Holdings for American Assets Investment Management

American Assets Investment Management holds 146 positions in its portfolio as reported in the March 2026 quarterly 13F filing

Company (Ticker) Portfolio Weight Valued At Change in Shares Share Count Share Price
Wells Fargo & Company (WFC) 5.1 $75M 940k 79.61
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Bank of America Corporation (BAC) 4.8 $71M 15M 4.67
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Exxon Mobil Corporation (XOM) 4.7 $70M 410k 169.66
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Shell Spon Ads (SHEL) 4.1 $61M 651k 93.00
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JPMorgan Chase & Co. (JPM) 3.8 $56M 2.3M 24.68
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Apple (AAPL) 3.6 $53M 210k 253.79
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Goldman Sachs (GS) 3.2 $47M 99k 470.11
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Chevron Corporation (CVX) 2.5 $37M 180k 206.90
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Microsoft Corporation (MSFT) 2.3 $33M 90k 370.17
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Caterpillar (CAT) 2.2 $32M 45k 708.46
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American Assets Trust Inc reit (AAT) 1.8 $27M 1.5M 18.41
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Phillips 66 (PSX) 1.6 $24M 131k 182.18
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Rigetti Computing Common Stock (RGTI) 1.6 $23M 1.6M 14.04
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Truist Financial Corp equities (TFC) 1.4 $21M 3.4M 6.10
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Taiwan Semiconductor Manufac Sponsored Ads (TSM) 1.4 $20M 60k 337.95
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Wal-Mart Stores (WMT) 1.4 $20M 162k 124.28
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Citigroup Com New (C) 1.2 $18M 176k 103.87
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Capital One Financial (COF) 1.2 $18M 100k 182.43
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Alphabet Cap Stk Cl A (GOOGL) 1.2 $17M 59k 287.56
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Rbc Cad (RY) 1.1 $17M 104k 161.78
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Western Digital (WDC) 1.1 $16M 60k 270.49
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Morgan Stanley Com New (MS) 1.1 $16M 132k 122.32
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Toronto Dominion Bk Ont Com New (TD) 1.0 $15M 165k 93.31
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Merck & Co (MRK) 1.0 $15M 125k 120.29
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Kroger (KR) 1.0 $15M 206k 72.36
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Ge Aerospace Com New (GE) 1.0 $15M 53k 283.77
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Essex Property Trust (ESS) 1.0 $14M 60k 242.00
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Novartis Sponsored Adr (NVS) 1.0 $14M 94k 152.75
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Us Bancorp Com New (USB) 1.0 $14M 270k 52.01
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HSBC HLDGS Spon Adr New (HSBC) 0.9 $14M 167k 82.49
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Totalenergies Se Act (TTE) 0.9 $14M 150k 91.09
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Bank of New York Mellon Corporation (BK) 0.9 $14M 115k 118.63
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Johnson & Johnson (JNJ) 0.9 $14M -9% 52k 262.79
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International Business Machines (IBM) 0.9 $13M 55k 242.39
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Abbvie (ABBV) 0.9 $13M 60k 217.49
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Bank Of Montreal Cadcom (BMO) 0.9 $13M 96k 135.34
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Sandisk Corp (SNDK) 0.9 $13M 20k 635.34
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PNC Financial Services (PNC) 0.8 $13M 60k 208.09
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FedEx Corporation (FDX) 0.8 $13M 35k 356.18
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Amgen (AMGN) 0.8 $12M 35k 351.85
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Ge Vernova (GEV) 0.8 $12M 13k 872.90
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Coca-Cola Company (KO) 0.8 $11M 150k 76.05
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Deere & Company (DE) 0.8 $11M 20k 563.30
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Eli Lilly & Co. (LLY) 0.7 $11M 12k 919.77
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State Street Corporation (STT) 0.7 $11M 85k 126.56
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Northrop Grumman Corporation (NOC) 0.7 $10M 15k 682.24
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Constellation Energy (CEG) 0.6 $9.3M 33k 279.25
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ConocoPhillips (COP) 0.6 $9.2M 70k 132.00
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Sempra Energy (SRE) 0.6 $8.9M 92k 97.17
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Unilever Spon Adr New (UL) 0.6 $8.6M 151k 56.97
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Northern Trust Corporation (NTRS) 0.6 $8.4M 60k 139.57
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Pinnacle West Capital Corporation (PNW) 0.6 $8.4M 83k 100.75
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Chubb (CB) 0.6 $8.1M 25k 325.93
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Charles Schwab Corporation (SCHW) 0.6 $8.1M 87k 93.98
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American Electric Power Company (AEP) 0.5 $7.9M 60k 131.08
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Prudential Financial (PRU) 0.5 $7.9M 81k 97.69
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Nrg Energy Com New (NRG) 0.5 $7.8M 53k 146.14
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Bristol Myers Squibb (BMY) 0.5 $7.7M 127k 60.65
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Lennar Corp Cl A (LEN) 0.5 $7.5M 86k 86.84
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Edison International (EIX) 0.5 $7.3M 100k 73.18
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MetLife (MET) 0.5 $7.3M 103k 70.72
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Hilton Worldwide Holdings (HLT) 0.5 $7.1M 23k 304.08
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Bk Nova Cad (BNS) 0.5 $6.9M 100k 69.31
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Quest Diagnostics Incorporated (DGX) 0.4 $6.3M 32k 195.98
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Medtronic SHS (MDT) 0.4 $6.2M 72k 86.65
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Toyota Motor Corp Ads (TM) 0.4 $6.2M 30k 206.09
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Pepsi (PEP) 0.4 $6.2M 40k 155.29
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Advanced Micro Devices (AMD) 0.4 $6.1M 30k 203.43
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United Therapeutics Corporation (UTHR) 0.4 $5.9M 10k 592.98
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Equity Residential Sh Ben Int (EQR) 0.4 $5.9M 100k 59.15
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Wec Energy Group (WEC) 0.4 $5.8M 50k 115.77
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Raytheon Technologies Corp (RTX) 0.4 $5.8M 30k 192.90
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Xcel Energy (XEL) 0.4 $5.6M 70k 79.44
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Microchip Technology (MCHP) 0.4 $5.2M 80k 64.61
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United Rentals (URI) 0.3 $5.1M 7.0k 728.56
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Ameriprise Financial (AMP) 0.3 $5.0M 11k 444.40
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Alcoa (AA) 0.3 $5.0M 75k 66.33
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Cardinal Health (CAH) 0.3 $4.9M 23k 211.31
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Exelon Corporation (EXC) 0.3 $4.9M 100k 49.02
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PPG Industries (PPG) 0.3 $4.8M 45k 106.88
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Labcorp Holdings Com Shs (LH) 0.3 $4.8M 18k 266.81
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Nextera Energy (NEE) 0.3 $4.6M 50k 92.88
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Ally Financial (ALLY) 0.3 $4.5M 115k 39.23
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Energy Transfer Com Ut Ltd Ptn (ET) 0.3 $4.4M 226k 19.30
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Duke Energy Corp Com New (DUK) 0.3 $4.3M 33k 130.94
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Hca Holdings (HCA) 0.3 $4.3M 9.0k 473.24
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Kinder Morgan (KMI) 0.3 $4.2M 125k 33.53
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Jefferies Finl Group (JEF) 0.3 $4.1M 100k 41.27
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Ishares Tr Russell 2000 Etf (IWM) 0.3 $4.0M 16k 248.00
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Sanofi Sa Sponsored Adr (SNY) 0.3 $3.9M 80k 48.18
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American Intl Group Com New (AIG) 0.3 $3.8M 50k 75.25
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Union Pacific Corporation (UNP) 0.2 $3.6M 15k 242.62
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FirstEnergy (FE) 0.2 $3.5M 70k 50.66
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Mondelez Intl Cl A (MDLZ) 0.2 $3.5M 61k 57.64
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Kenvue (KVUE) 0.2 $3.4M 200k 17.24
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Johnson Controls Internation SHS (JCI) 0.2 $3.4M 26k 130.95
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Philip Morris International (PM) 0.2 $3.3M 20k 165.34
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Madison Square Grdn Sprt Cor Cl A (MSGS) 0.2 $3.2M 10k 321.40
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Gilead Sciences (GILD) 0.2 $3.2M 23k 139.37
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Abbott Laboratories (ABT) 0.2 $3.1M 31k 102.67
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Select Sector Spdr Tr State Street Uti (XLU) 0.2 $3.1M 68k 45.89
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Qnity Electronics Common Stock (Q) 0.2 $3.1M 27k 115.38
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Alibaba Group Hldg Sponsored Ads (BABA) 0.2 $3.0M 24k 125.46
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Stryker Corporation (SYK) 0.2 $3.0M 9.0k 328.59
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Oracle Corporation (ORCL) 0.2 $2.9M 20k 147.11
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Comcast Corp Cl A (CMCSA) 0.2 $2.9M 100k 28.71
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Cibc Cad (CM) 0.2 $2.8M 30k 94.75
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RBC Bearings Incorporated (RBC) 0.2 $2.7M NEW 5.0k 543.12
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Pfizer (PFE) 0.2 $2.7M 96k 28.08
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Cigna Corp (CI) 0.2 $2.7M 10k 266.75
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PPL Corporation (PPL) 0.2 $2.7M 70k 38.20
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Procter & Gamble Company (PG) 0.2 $2.5M 17k 144.44
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Southern Company (SO) 0.2 $2.4M 25k 96.52
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Regeneron Pharmaceuticals (REGN) 0.2 $2.3M 3.0k 772.64
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Archer Daniels Midland Company (ADM) 0.2 $2.2M 31k 72.69
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GSK Sponsored Adr (GSK) 0.1 $2.2M 40k 55.19
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Cactus Cl A (WHD) 0.1 $2.1M NEW 45k 47.37
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Wynn Resorts (WYNN) 0.1 $2.0M 20k 101.55
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Agnc Invt Corp Com reit (AGNC) 0.1 $2.0M 80k 24.99
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Annaly Capital Management In Com New (NLY) 0.1 $2.0M 80k 24.92
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Welltower Inc Com reit (WELL) 0.1 $2.0M 10k 197.71
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Enterprise Products Partners (EPD) 0.1 $1.9M 50k 37.84
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Dupont De Nemours (DD) 0.1 $1.8M 40k 45.80
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Weyerhaeuser Com New (WY) 0.1 $1.7M 70k 24.43
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Cabot Oil & Gas Corporation (CTRA) 0.1 $1.7M 48k 35.14
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Sl Green Realty Corp (SLG) 0.1 $1.5M 40k 36.94
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United Parcel Svcs CL B (UPS) 0.1 $1.5M 15k 98.38
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Alcon Ord Shs (ALC) 0.1 $1.4M 19k 75.35
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Jazz Pharmaceuticals Shs Usd (JAZZ) 0.1 $1.3M 7.0k 189.05
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Ge Healthcare Technologies I Common Stock (GEHC) 0.1 $1.2M 18k 71.18
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Millrose Pptys Com Cl A (MRP) 0.1 $1.2M 44k 28.00
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Brighthouse Finl (BHF) 0.1 $1.2M 20k 59.88
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Corteva (CTVA) 0.1 $1.1M 14k 83.71
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Berkshire Hathaway Inc Del Cl B New (BRK.B) 0.1 $1.1M 2.3k 479.20
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Haleon Spon Ads (HLN) 0.1 $1.0M 100k 10.01
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Baxter International (BAX) 0.1 $972k 58k 16.80
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Agilent Technologies Inc C ommon (A) 0.1 $883k -7% 6.0k 147.11
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Lemonade (LMND) 0.1 $873k NEW 1.8k 484.91
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Becton, Dickinson and (BDX) 0.1 $865k 5.5k 157.23
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Rivian Automotive Com Cl A (RIVN) 0.1 $855k -53% 35k 24.43
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Pitney Bowes (PBI) 0.0 $733k -93% 8.0k 91.66
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Magnum Ice Cream Co Nv Ord Shs (MICC) 0.0 $508k 34k 14.95
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Snowflake Com Shs (SNOW) 0.0 $453k 3.0k 150.82
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Simon Property (SPG) 0.0 $393k 7.5k 52.43
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General Mills (GIS) 0.0 $372k 10k 37.22
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Waters Corporation (WAT) 0.0 $222k NEW 744.00 297.80
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Past Filings by American Assets Investment Management

SEC 13F filings are viewable for American Assets Investment Management going back to 2010

View all past filings