13FBOX
RAYMOND JAMES & ASSOCIATES · 13F Holdings
Options Calculator Rankings

RAYMOND JAMES & ASSOCIATES

No.85 Data as of Q4 2024
Latest AUM (Q4 2024)
$142.73B
QoQ Change Q3 2024
-$21.38B-13.0%
Holdings
3937
New Buys
0
Adds
0
Reduces
48
Exits
0
Unchanged
3889
Holdings Value Trend
Holdings by Sector
Stock Ownership TrendPortfolio %Prev Q %Q4 2024 ValueQ4 2024 SharesPrev Q ValuePrev Q SharesShares ChangeAction
VVANGUARD INDEX FDSVOO
8.64%7.52%$12.34B23.4M$12.34B23.4M00.00%Unchanged
IISHARES TRAGG
5.04%4.39%$7.20B71.1M$7.20B71.1M00.00%Unchanged
MICROSOFT CORPMSFT
3.39%2.94%$4.83B11.2M$4.83B11.2M00.00%Unchanged
IISHARES TRIEFA
1.64%1.43%$2.34B30.0M$2.34B30.0M00.00%Unchanged
BROADCOM INCAVGO
1.53%1.33%$2.19B12.7M$2.19B12.7M00.00%Unchanged
IISHARES COREIJH
1.2%1.04%$1.71B27.5M$1.71B27.5M00.00%Unchanged
ALPHABET INCGOOGL
1.1%0.96%$1.57B9.5M$1.57B9.5M00.00%Unchanged
META PLATFORMS INCMETA
1.04%0.9%$1.48B2.6M$1.48B2.6M00.00%Unchanged
HOME DEPOT INCHD
1.01%0.88%$1.44B3.6M$1.44B3.6M00.00%Unchanged
UNITEDHEALTH GROUP INCUNH
0.97%0.84%$1.38B2.4M$1.38B2.4M00.00%Unchanged
AATLANTICA SUSTAINABLE INFR P
0.96%<0.01%$1.38B125,053$2.7M125,05300.00%Unchanged
WALMART INCWMT
0.95%0.83%$1.35B16.8M$1.35B16.8M00.00%Unchanged
EATON CORP PLCETN
0.85%0.74%$1.21B3.7M$1.21B3.7M00.00%Unchanged
IISHARES COREIJR
0.81%0.71%$1.16B9.9M$1.16B9.9M00.00%Unchanged
BERKSHIRE HATHAWAY INC DELBRK.B
0.79%0.69%$1.13B2.5M$1.13B2.5M00.00%Unchanged
MERCK & CO INCMRK
0.79%0.68%$1.12B9.9M$1.12B9.9M00.00%Unchanged
JOHNSON & JOHNSONJNJ
0.78%0.68%$1.11B6.9M$1.11B6.9M00.00%Unchanged
MOTOROLA SOLUTIONS INCMSI
0.72%0.62%$1.02B2.3M$1.02B2.3M00.00%Unchanged
VVANGUARD MIDVO
0.72%0.62%$1.02B3.9M$1.02B3.9M00.00%Unchanged
IISHARES RUSSELLIWF
0.69%0.6%$985.7M2.6M$985.7M2.6M00.00%Unchanged
IISHARES TRUSMV
0.66%0.57%$935.6M10.2M$935.6M10.2M00.00%Unchanged
VVANGUARD MUN BD FDSVTEB
0.64%0.56%$918.6M18.0M$918.6M18.0M00.00%Unchanged
ABBVIE INCABBV
0.63%0.55%$895.2M4.5M$895.2M4.5M00.00%Unchanged
IISHARES INCIEMG
0.6%0.52%$857.4M14.9M$857.4M14.9M00.00%Unchanged
IISHARES TRIVV
0.6%0.52%$850.4M1.5M$850.4M1.5M00.00%Unchanged
SSELECT SECTOR SPDR TRXLK
0.54%0.47%$776.1M3.4M$776.1M3.4M00.00%Unchanged
CHUBB LIMITEDCB
0.54%0.47%$766.4M2.7M$766.4M2.7M00.00%Unchanged
VVANGUARD SPECIALIZED FUNDSVIG
0.51%0.45%$732.6M3.7M$732.6M3.7M00.00%Unchanged
IISHARES TRIWD
0.49%0.42%$695.9M3.7M$695.9M3.7M00.00%Unchanged
UNION PAC CORPUNP
0.48%0.42%$682.1M2.8M$682.1M2.8M00.00%Unchanged
ORACLE CORPORCL
0.48%0.41%$679.8M4.0M$679.8M4.0M00.00%Unchanged
SALESFORCE INCCRM
0.46%0.4%$655.4M2.4M$655.4M2.4M00.00%Unchanged
IISHARES 7-10YRIEF
0.45%0.39%$646.3M6.6M$646.3M6.6M00.00%Unchanged
CME GROUP INCCME
0.44%0.39%$632.2M2.9M$632.2M2.9M00.00%Unchanged
SSTATE STREET HEALTH CARE SELECT SECTOR SPDR ETFXLV
0.44%0.38%$630.6M4.1M$630.6M4.1M00.00%Unchanged
MARATHON PETE CORPMPC
0.44%0.38%$629.4M3.9M$629.4M3.9M00.00%Unchanged
PROCTER & GAMBLE COPG
0.43%0.38%$618.8M3.6M$618.8M3.6M00.00%Unchanged
MASTERCARD INCORPORATEDMA
0.43%0.37%$609.8M1.2M$609.8M1.2M00.00%Unchanged
AIR PRODUCTS AND CHEMICALS IAPD
0.43%0.37%$608.3M2.0M$608.3M2.0M00.00%Unchanged
COMCAST CORP NEW CL ACMCSA
0.42%0.37%$601.4M14.4M$601.4M14.4M00.00%Unchanged
CHEVRON CORPORATIONCVX
0.42%0.37%$600.5M4.1M$600.5M4.1M00.00%Unchanged
NNEXTERA ENERGY INCNEE
0.4%0.35%$575.6M6.8M$575.6M6.8M00.00%Unchanged
MEDTRONIC PLCMDT
0.4%0.35%$575.5M6.4M$575.5M6.4M00.00%Unchanged
EXXON MOBIL CORPXOM
0.4%0.34%$564.4M4.8M$564.4M4.8M00.00%Unchanged
ANALOG DEVICES INC COMADI
0.38%0.33%$540.5M2.3M$540.5M2.3M00.00%Unchanged
IISHARES BROAD USD HIGH YIELD CORPORATE BOND ETFUSHY
0.36%0.31%$510.3M13.6M$510.3M13.6M00.00%Unchanged
IISHARES TRMTUM
0.34%0.3%$485.4M2.4M$485.4M2.4M00.00%Unchanged
SSELECT SECTOR SPDR TRXLF
0.34%0.29%$480.6M10.6M$480.6M10.6M00.00%Unchanged
COCA COLA COKO
0.33%0.29%$467.8M6.5M$467.8M6.5M00.00%Unchanged
NOVO-NORDISK A SNVO
0.29%0.26%$419.9M3.5M$419.9M3.5M00.00%Unchanged

🧭 Institutional Sector Flow Heatmap

Net Outflow Net Inflow