Marquette Asset Management 13F annual report

Marquette Asset Management is an investment fund managing more than $587 billion ran by Kristy Thom. There are currently 144 companies in Mrs. Thom’s portfolio. The largest investments include Schwab Strategic Tr and Dimensional Etf Trust, together worth $260 billion.

Limited to 30 biggest holdings

$587 billion Assets Under Management (AUM)

As of 7th August 2024, Marquette Asset Management’s top holding is 1,902,363 shares of Schwab Strategic Tr currently worth over $165 billion and making up 28.1% of the portfolio value. In addition, the fund holds 3,327,272 shares of Dimensional Etf Trust worth $94.8 billion. The third-largest holding is Ishares Tr worth $63.8 billion and the next is American Centy Etf Tr worth $62.3 billion, with 775,795 shares owned.

Currently, Marquette Asset Management's portfolio is worth at least $587 billion. The total portfolio value may be much higher due to cash assets that are not publicly disclosed such as fixed income, real estate, or cash equivalents.

Careers at Marquette Asset Management

The Marquette Asset Management office and employees reside in Minneapolis, Minnesota. According to the last 13-F report filed with the SEC, Kristy Thom serves as the Compliance Officer at Marquette Asset Management.

Recent trades

In the most recent 13F filing, Marquette Asset Management revealed that it had opened a new position in Ishares Tr and bought 393,279 shares worth $38.3 billion.

The investment fund also strengthened its position in Schwab Strategic Tr by buying 21,795 additional shares. This makes their stake in Schwab Strategic Tr total 1,902,363 shares worth $165 billion.

On the other hand, there are companies that Marquette Asset Management is getting rid of from its portfolio. Marquette Asset Management closed its position in Overseas Shipholding Group I on 14th August 2024. It sold the previously owned 102,550 shares for $450 million. Kristy Thom also disclosed a decreased stake in Ishares Tr by approximately 0.1%. This leaves the value of the investment at $63.8 billion and 266,942 shares.

One of the average hedge funds

The two most similar investment funds to Marquette Asset Management are Northwest Bancshares and Oak Harvest Investment Services. They manage $587 billion and $587 billion respectively.


Kristy Thom investment strategy

Marquette Asset Management’s portfolio is diversified across 11 sectors. Currently, their heaviest sector is Consumer Discretionary — making up 0.9% of the total portfolio value. The fund focuses on investments in the United States as 49.3% of the portfolio companies are based in the United States.

The majority of the companies in the fund’s portfolio are large-cap stocks. Stocks with a size of more than $10 billion in market cap make up 24% of the total holdings value. On the other hand, small-cap stocks make up 10.4% of the portfolio. The average market cap of the portfolio companies is close to $127 billion.

The complete list of Marquette Asset Management trades based on 13F SEC filings

These positions were updated on August 14th based on the fund’s latest 13F filing. Quickly find out what the most recently closed or increased positions are.

Security Shares Owned Value Allocation
Schwab Strategic Tr
1.16%
1,902,363
$164,786,539,000 28.05%
Dimensional Etf Trust
39.38%
3,327,272
$94,844,466,000 16.15%
Ishares Tr
4.93%
266,942
$63,769,976,000 10.86%
American Centy Etf Tr
23.37%
775,795
$62,264,533,000 10.60%
Ishares Tr
Opened
393,279
$38,260,445,000 6.51%
Vanguard Index Fds
15.57%
147,089
$35,982,627,000 6.13%
Victory Portfolios II
9.02%
600,145
$29,887,221,000 5.09%
Invesco Exchange Traded Fd T
6.76%
792,808
$29,605,158,000 5.04%
J P Morgan Exchange Traded F
Opened
498,296
$28,000,059,000 4.77%
First Tr Dow Jones Select Mi
10.76%
107,785
$6,460,676,000 1.10%
Spdr Sp 500 Etf Tr
15.14%
6,167
$3,356,205,000 0.57%
Apple Inc
0.55%
12,686
$2,671,926,000 0.45%
Amcor Plc
8.75%
227,280
$2,222,799,000 0.38%
Microsoft Corporation
6.15%
3,113
$1,391,356,000 0.24%
Alphabet Inc
3.21%
9,560
$1,745,952,000 0.30%
Berkshire Hathaway Inc.
11.01%
2,353
$957,201,000 0.16%
Hershey Company
No change
4,000
$735,320,000 0.13%
First Solar Inc
No change
2,952
$665,558,000 0.11%
Unitedhealth Group Inc
8.78%
1,278
$650,835,000 0.11%
Seneca Foods Corp.
No change
10,665
$612,171,000 0.10%
Meta Platforms Inc
No change
1,182
$595,989,000 0.10%
Franklin Str Pptys Corp
36.59%
379,250
$580,253,000 0.10%
Sps Comm Inc
No change
2,968
$558,459,000 0.10%
Hurco Co
116.39%
35,166
$536,634,000 0.09%
Cato Corp.
116.97%
89,847
$497,753,000 0.08%
Alico Inc.
37.82%
18,880
$489,181,000 0.08%
Acacia Resh Corp
No change
93,273
$467,298,000 0.08%
Overseas Shipholding Group I
Closed
102,550
$450,195,000
Biglari Holdings Inc.
22.53%
2,324
$449,416,000 0.08%
Principal Financial Group In
8.94%
5,702
$447,322,000 0.08%
UNIFI, Inc.
46.66%
73,887
$435,195,000 0.07%
Spdr Sp Midcap 400 Etf Tr
No change
800
$428,064,000 0.07%
Spdr Ser Tr
97.68%
11,483
$776,482,000 0.13%
Gaia Inc
7.02%
89,713
$395,635,000 0.07%
Saga Communications, Inc.
2.36%
21,217
$334,168,000 0.06%
Geospace Technologies Corp
21.19%
37,044
$332,656,000 0.06%
Fonar Corp.
Opened
20,614
$329,824,000 0.06%
Westwood Hldgs Group Inc
0.45%
25,735
$313,453,000 0.05%
Union Pac Corp
No change
1,300
$294,138,000 0.05%
Booking Holdings Inc
Closed
95
$292,976,000
AstroNova Inc
No change
18,928
$292,249,000 0.05%
Johnson Outdoors Inc
Opened
7,972
$278,861,000 0.05%
Lakeland Inds Inc
No change
11,752
$269,591,000 0.05%
Asa Gold And Precious Mtls L
Closed
19,916
$265,481,000
Tyler Technologies, Inc.
2.96%
525
$263,960,000 0.04%
Universal Stainless Alloy
71.47%
9,410
$257,646,000 0.04%
Vera Bradley Inc
45.33%
39,582
$247,784,000 0.04%
Winmark Corporation
Closed
624
$232,834,000
Limoneira Co
No change
10,994
$228,786,000 0.04%
Kvh Inds Inc
81.23%
47,958
$223,005,000 0.04%
EA Series Trust
Closed
12,146
$221,953,000
Star Hldgs
Opened
17,734
$213,873,000 0.04%
Intevac, Inc.
Opened
51,385
$198,347,000 0.03%
Nektar Therapeutics
7.03%
158,809
$196,924,000 0.03%
Miller Inds Inc Tenn
Closed
4,998
$195,972,000
Target Corp
No change
1,318
$195,117,000 0.03%
Intrepid Potash Inc
Opened
8,313
$194,774,000 0.03%
Visa Inc
57.92%
736
$193,178,000 0.03%
Cyteir Therapeutics Inc
Closed
67,990
$193,092,000
Nuvation Bio Inc
0.99%
66,037
$192,829,000 0.03%
Ross Stores, Inc.
No change
1,325
$192,549,000 0.03%
Dimensional Etf Trust
Closed
6,320
$213,849,000
Universal Electrs Inc
Opened
15,842
$184,085,000 0.03%
Caesarstone Ltd
Opened
36,291
$181,455,000 0.03%
Fulgent Genetics Inc
Opened
8,717
$171,028,000 0.03%
Amazon.com Inc.
20.59%
860
$166,195,000 0.03%
Nexpoint Diversified Rel Et
Opened
28,247
$156,206,000 0.03%
Atea Pharmaceuticals, Inc.
89.69%
47,166
$156,120,000 0.03%
Voxx Intl Corp
Opened
48,850
$154,366,000 0.03%
Fuel Tech Inc
11.98%
141,189
$151,073,000 0.03%
Strattec Sec Corp
Opened
5,769
$144,225,000 0.02%
Gencor Inds Inc
50.71%
7,333
$141,821,000 0.02%
Netgear Inc
Opened
8,649
$132,330,000 0.02%
Motorola Solutions Inc
22.27%
342
$132,030,000 0.02%
International Business Machs
28.89%
758
$131,097,000 0.02%
Gulf Is Fabrication Inc
51.10%
21,382
$129,789,000 0.02%
AlloVir, Inc.
Opened
178,883
$129,387,000 0.02%
Wells Fargo Co New
Closed
3,161
$129,160,000
Spruce Biosciences, Inc.
Closed
55,757
$126,011,000
Fulcrum Therapeutics Inc
Closed
27,867
$123,730,000
Assembly Biosciences Inc
Opened
9,016
$123,700,000 0.02%
Hooker Furnishings Corporati
Opened
8,503
$123,124,000 0.02%
Xcel Energy Inc.
52.32%
2,300
$122,843,000 0.02%
AMREP Corp.
No change
6,484
$122,613,000 0.02%
Ikena Oncology Inc
Opened
72,890
$120,269,000 0.02%
Vanguard Scottsdale Fds
Closed
2,072
$118,415,000
Select Sector Spdr Tr
Opened
512
$115,830,000 0.02%
TAT Technologies Ltd.
Opened
7,628
$113,658,000 0.02%
Talaris Therapeutics Inc
Closed
40,028
$112,479,000
Reneo Pharmaceuticals Inc
Opened
73,770
$111,393,000 0.02%
Thermo Fisher Scientific Inc.
11.11%
200
$110,600,000 0.02%
Kezar Life Sciences Inc
Opened
178,056
$106,834,000 0.02%
Pmv Pharmaceuticals Inc
Opened
64,009
$103,695,000 0.02%
Seer, Inc.
Opened
61,510
$103,337,000 0.02%
Graphite Bio Inc
Closed
41,060
$101,829,000
Chimerix Inc
22.65%
116,009
$101,624,000 0.02%
Kronos Bio, Inc.
18.12%
80,369
$99,658,000 0.02%
Reading International, Inc.
Closed
46,773
$99,159,000
Honeywell International Inc
19.30%
460
$98,229,000 0.02%
Charles Riv Labs Intl Inc
Closed
497
$97,403,000
Adaptimmune Therapeutics Plc
0.76%
98,589
$96,115,000 0.02%
Astrotech Corp
No change
10,704
$95,266,000 0.02%
Vanguard Charlotte Fds
Closed
1,957
$93,604,000
Aadi Bioscience Inc
Opened
63,564
$92,804,000 0.02%
Nextcure Inc
Opened
58,259
$92,632,000 0.02%
Aclaris Therapeutics Inc
Opened
83,979
$92,377,000 0.02%
Invesco Exch Trd Slf Idx Fd
Opened
38,660
$723,976,000 0.12%
Adverum Biotechnologies Inc
Closed
60,120
$90,180,000
Ckx Lds Inc
No change
6,596
$89,047,000 0.02%
Ishares Tr
Closed
1,680
$161,309,000
Bolt Biotherapeutics Inc
16.32%
113,797
$85,348,000 0.01%
AMGEN Inc.
No change
261
$81,550,000 0.01%
Jpmorgan Chase Co.
No change
400
$80,904,000 0.01%
Shapeways Holdings Inc
Closed
24,609
$78,995,000
Us Bancorp Del
11.12%
1,982
$78,686,000 0.01%
3M Co.
54.42%
768
$78,482,000 0.01%
Cooper Cos Inc
Closed
240
$76,323,000
Vanguard Tax-managed Fds
No change
1,524
$75,341,000 0.01%
Invivyd Inc
Closed
43,028
$73,148,000
Rain Oncology Inc
Closed
84,135
$72,508,000
Exxon Mobil Corp.
Closed
608
$71,490,000
Rafael Holdings Inc
No change
49,256
$70,929,000 0.01%
Passage Bio Inc
0.64%
85,500
$67,905,000 0.01%
Sera Prognostics Inc
Closed
35,687
$66,378,000
Heartland Finl Usa Inc
No change
1,479
$65,742,000 0.01%
Athira Pharma, Inc.
Closed
30,783
$62,182,000
Lumos Pharma Inc
No change
25,760
$59,764,000 0.01%
Kodiak Sciences Inc
20.91%
23,930
$56,236,000 0.01%
Vanguard Malvern Fds
Closed
1,116
$52,765,000
Mcdonalds Corp
40.00%
180
$45,872,000 0.01%
Vanguard Scottsdale Fds
72.24%
574
$43,952,000 0.01%
Nucor Corp.
No change
278
$43,947,000 0.01%
APi Group Corporation
63.43%
1,097
$41,281,000 0.01%
Singular Genomics Systems In
Closed
102,950
$39,224,000
Adicet Bio Inc
Closed
28,144
$38,558,000
Walmart Inc
Closed
216
$34,545,000
Inventrust Pptys Corp
Closed
1,395
$33,215,000
Caterpillar Inc.
Closed
121
$33,033,000
New York Cmnty Bancorp Inc
No change
10,000
$32,200,000 0.01%
Danaher Corp.
63.79%
126
$31,482,000 0.01%
Mckesson Corporation
No change
52
$30,371,000 0.01%
NVIDIA Corp
Closed
69
$30,015,000
Eaton Corp Plc
Closed
140
$29,860,000
Lowes Cos Inc
91.58%
133
$29,322,000 0.00%
Paccar Inc.
Closed
341
$28,992,000
Coca-Cola Co
Closed
500
$27,990,000
Envoy Medical Inc
Opened
11,718
$27,655,000 0.00%
Nxp Semiconductors N V
Closed
130
$25,990,000
Progressive Corp.
Closed
168
$23,403,000
Merck Co Inc
Closed
224
$23,061,000
Lyondellbasell Industries N
Closed
236
$22,350,000
Daktronics Inc.
100.00%
1,600
$22,320,000 0.00%
Baker Hughes Company
Closed
625
$22,082,000
Procter And Gamble Co
Closed
149
$21,734,000
Kimberly-Clark Corp.
38.91%
157
$21,698,000 0.00%
Vertex Pharmaceuticals, Inc.
Closed
61
$21,213,000
Solventum Corp
Opened
397
$20,994,000 0.00%
Monster Beverage Corp.
Closed
396
$20,969,000
Centerpoint Energy Inc.
No change
670
$20,757,000 0.00%
Fs Kkr Cap Corp
No change
1,033
$20,382,000 0.00%
Bank America Corp
Closed
733
$20,070,000
Zoetis Inc
Closed
115
$20,008,000
Lam Research Corp.
Closed
31
$19,430,000
Costco Whsl Corp New
Closed
34
$19,209,000
Intuitive Surgical Inc
Closed
62
$18,122,000
Aflac Inc.
No change
200
$17,862,000 0.00%
Ameren Corp.
Closed
233
$17,436,000
Ark Etf Tr
14.12%
730
$17,141,000 0.00%
Fortinet Inc
Closed
274
$16,079,000
American Elec Pwr Co Inc
Closed
210
$15,799,000
Copart, Inc.
Closed
366
$15,771,000
Comcast Corp New
Closed
355
$15,741,000
Eog Res Inc
Closed
123
$15,592,000
Laboratory Corp Amer Hldgs
Closed
77
$15,481,000
Kkr Income Opportunities Fd
No change
1,082
$14,819,000 0.00%
Charter Communications Inc N
Closed
33
$14,515,000
Eli Lilly Co
Closed
27
$14,503,000
Genuine Parts Co.
Closed
100
$14,438,000
Idexx Labs Inc
Closed
33
$14,430,000
Robert Half Inc
Closed
195
$14,290,000
Qualcomm, Inc.
Closed
128
$14,216,000
T-Mobile US, Inc.
Closed
101
$14,146,000
Veeva Sys Inc
Closed
69
$14,039,000
Arista Networks Inc
Closed
75
$13,795,000
Roper Technologies Inc
Closed
28
$13,564,000
Restaurant Brands International Inc
Closed
202
$13,458,000
Gen Digital Inc
Closed
758
$13,394,000
Centene Corp.
Closed
191
$13,157,000
First Tr Exchange-traded Fd
No change
127
$12,709,000 0.00%
Morgan Stanley
Closed
155
$12,659,000
MetLife, Inc.
51.52%
175
$12,284,000 0.00%
Western Digital Corp.
Closed
269
$12,275,000
Adobe Inc
Closed
24
$12,238,000
ATI Inc
Closed
297
$12,222,000
Cameco Corp.
Closed
302
$11,972,000
Gevo Inc
Closed
10,000
$11,900,000
Edwards Lifesciences Corp
Closed
171
$11,847,000
Applied Matls Inc
90.04%
50
$11,800,000 0.00%
Vici Pptys Inc
Closed
375
$10,913,000
Bristol-Myers Squibb Co.
Closed
185
$10,738,000
Home Depot, Inc.
Closed
35
$10,576,000
Lyft Inc
No change
740
$10,434,000 0.00%
Medtronic Plc
45.90%
132
$10,390,000 0.00%
Zimmer Biomet Holdings Inc
Closed
92
$10,325,000
Builders Firstsource Inc
Closed
82
$10,209,000
CubeSmart
Closed
253
$9,647,000
Netflix Inc.
Closed
25
$9,440,000
Verizon Communications Inc
No change
223
$9,197,000 0.00%
Prologis Inc
Closed
79
$8,865,000
Reinsurance Grp Of America I
Closed
61
$8,857,000
Disney Walt Co
Closed
107
$8,673,000
Sensata Technologies Hldg Pl
Closed
222
$8,397,000
Otis Worldwide Corporation
Closed
103
$8,272,000
MSCI Inc
Closed
16
$8,210,000
Hyatt Hotels Corporation
Closed
74
$7,850,000
Paycom Software Inc
Closed
29
$7,519,000
Veralto Corp
Opened
76
$7,256,000 0.00%
RTX Corp
Closed
100
$7,197,000
Kimco Rlty Corp
Closed
400
$7,036,000
Lululemon Athletica inc.
Closed
18
$6,939,000
Fidelity Covington Trust
No change
263
$6,672,000 0.00%
Broadcom Inc.
Closed
8
$6,645,000
Comerica, Inc.
Closed
158
$6,565,000
Synopsys, Inc.
Closed
14
$6,426,000
Cadence Design System Inc
Closed
27
$6,327,000
Starbucks Corp.
96.04%
80
$6,228,000 0.00%
Oracle Corp.
81.67%
44
$6,213,000 0.00%
Pulte Group Inc
Closed
83
$6,147,000
Verisk Analytics Inc
Closed
26
$6,143,000
Nike, Inc.
54.55%
80
$6,018,000 0.00%
Sherwin-Williams Co.
Closed
23
$5,867,000
Autodesk Inc.
Closed
28
$5,794,000
Ametek Inc
Closed
39
$5,763,000
Mastec Inc.
Closed
77
$5,542,000
First Ctzns Bancshares Inc N
Closed
4
$5,527,000
Tractor Supply Co.
Closed
27
$5,483,000
Autozone Inc.
Closed
2
$5,080,000
Ferrari N.V.
Closed
16
$4,729,000
ServiceNow Inc
Closed
8
$4,472,000
Amphenol Corp.
Closed
53
$4,452,000
Genmab A/s
Closed
124
$4,373,000
Tapestry Inc
Closed
149
$4,284,000
Regal Rexnord Corporation
Closed
29
$4,144,000
Align Technology, Inc.
Closed
13
$3,970,000
Manhattan Associates, Inc.
Closed
20
$3,952,000
Crowdstrike Holdings Inc
Closed
23
$3,851,000
Epam Sys Inc
Closed
15
$3,836,000
Global X Fds
No change
255
$3,836,000 0.00%
United Parcel Service, Inc.
No change
28
$3,832,000 0.00%
Waters Corp.
Closed
13
$3,565,000
Asml Holding N V
Closed
6
$3,532,000
PTC Inc
Closed
24
$3,401,000
Entegris Inc
Closed
35
$3,287,000
NextEra Energy Inc
No change
42
$2,949,000 0.00%
Spirit Aerosystems Holdings Inc
Closed
180
$2,906,000
Idex Corporation
Closed
13
$2,705,000
Ishares Inc
No change
46
$2,610,000 0.00%
Cognex Corp.
Closed
57
$2,419,000
TREX Co., Inc.
Closed
39
$2,404,000
Vanguard Intl Equity Index F
99.53%
35
$2,053,000 0.00%
Novartis AG
No change
17
$1,810,000 0.00%
Tesla Inc
Closed
6
$1,502,000
Vanguard Bd Index Fds
99.50%
17
$1,304,000 0.00%
KeyCorp
Closed
100
$1,076,000
Amplify Etf Tr
No change
30
$1,065,000 0.00%
Philip Morris International Inc
No change
9
$912,000 0.00%
Spdr Index Shs Fds
98.71%
24
$905,000 0.00%
Schwab Strategic Tr
Closed
36
$862,000
Brighthouse Finl Inc
16.67%
15
$651,000 0.00%
Coinbase Global Inc
No change
2
$445,000 0.00%
Kyndryl Hldgs Inc
Closed
21
$318,000
Etf Managers Tr
Closed
69
$253,000
Amplify Etf Tr
Opened
69
$230,000 0.00%
Nuveen Cr Strategies Income
Opened
11
$62,000 0.00%
No transactions found
Showing first 500 out of 274 holdings