Beech Hill Advisors, Inc.

données du 31/12/2025

Capitalisation

$ 208.929 M -2.42 %

Période de détention moyenne

23 ans

Performance

$ 293.591 M 88 892.69 %

Capitalisation

Taille du portefeuille

Performance du portefeuille

Performance du portefeuille %

Performances par rapport au S&P 500 (%)

Entreprise dans Beech Hill Advisors, Inc.

Date Symbol Nom Poids Capitalisation Nombre d'action 1er ajout Performance ($) Performance (%)
2025/12/31 ALPHABET INC 3.57% 7.458 M $ 23829 2015/09/30 2.284 M $ 28.75 %
2025/12/31 AMAZON COM INC 3.13% 6.549 M $ 28372 2010/03/31 344.823 K $ 5.12 %
2025/12/31 APPLE INC 3.11% 6.504 M $ 23923 2009/09/30 438.245 K $ 6.77 %
2025/12/31 BROADCOM INC 2.70% 5.646 M $ 16313 2018/09/30 297.982 K $ 4.91 %
2025/12/31 META PLATFORMS INC 2.63% 5.494 M $ 8323 2013/03/31 -655.980 K $ -10.12 %
2025/12/31 ABBVIE INC 2.59% 5.418 M $ 23710 2013/03/31 -73.877 K $ -1.32 %
2025/12/31 MICROSOFT CORP 2.47% 5.159 M $ 10667 2019/03/31 -386.992 K $ -6.63 %
2025/12/31 APPLIED MATLS INC 2.31% 4.826 M $ 18781 2018/12/31 1.106 M $ 25.52 %
2025/12/31 BLACKSTONE INC 2.23% 4.668 M $ 30282 2019/09/30 -489.185 K $ -9.78 %
2025/12/31 EXPEDIA GROUP INC 2.20% 4.594 M $ 16214 2021/03/31 1.260 M $ 32.54 %
2025/12/31 UBER TECHNOLOGIES INC 2.11% 4.409 M $ 53960 2020/03/31 -944.949 K $ -16.60 %
2025/12/31 FIRST SOLAR INC 2.07% 4.319 M $ 16532 2020/09/30 754.659 K $ 18.46 %
2025/12/31 SELECT SECTOR SPDR TR 2.01% 4.207 M $ 29220 2023/12/31 -1.893 M $ -48.92 %
2025/12/31 TJX COS INC NEW 1.75% 3.661 M $ 23834 2020/12/31 236.627 K $ 6.28 %
2025/12/31 QUALCOMM INC 1.73% 3.621 M $ 21170 2020/06/30 105.309 K $ 2.82 %
2025/12/31 MERCK & CO INC 1.73% 3.607 M $ 34269 2011/09/30 798.573 K $ 25.41 %
2025/12/31 ORACLE CORP 1.67% 3.488 M $ 17895 2020/09/30 -1.646 M $ -30.70 %
2025/12/31 INTERNATIONAL BUSINESS MACHS 1.67% 3.479 M $ 11744 2013/12/31 169.316 K $ 4.98 %
2025/12/31 NVIDIA CORPORATION 1.66% 3.477 M $ 18643 2024/06/30 -1.615 K $ -0.04 %
2025/12/31 UNITEDHEALTH GROUP INC 1.65% 3.444 M $ 10432 2025/06/30 -158.934 K $ -4.40 %
2025/12/31 JPMORGAN CHASE & CO. 1.63% 3.410 M $ 10584 2009/12/31 72.406 K $ 2.16 %
2025/12/31 DISNEY WALT CO 1.62% 3.383 M $ 29740 2018/03/31 -23.606 K $ -0.64 %
2025/12/31 EATON CORP PLC 1.58% 3.309 M $ 10389 2022/09/30 -629.025 K $ -14.89 %
2025/12/31 NEXTERA ENERGY INC 1.55% 3.235 M $ 40294 2023/09/30 203.594 K $ 6.35 %
2025/12/31 MEDTRONIC PLC 1.54% 3.207 M $ 33386 2023/03/31 28.108 K $ 0.86 %
2025/12/31 DIGITAL RLTY TR INC 1.51% 3.146 M $ 20333 2015/09/30 -377.627 K $ -10.51 %
2025/12/31 HOME DEPOT INC 1.42% 2.968 M $ 8625 2012/09/30 -509.834 K $ -15.07 %
2025/12/31 BOEING CO 1.42% 2.958 M $ 13625 2010/03/31 16.802 K $ 0.60 %
2025/12/31 SALESFORCE INC 1.40% 2.919 M $ 11020 2019/12/31 334.836 K $ 11.78 %
2025/12/31 BOEING CO 1.39% 2.895 M $ 41921 2025/03/31 -20.744 K $ -0.73 %
2025/12/31 JOHNSON & JOHNSON 1.38% 2.887 M $ 13949 2006/03/31 311.732 K $ 11.61 %
2025/12/31 NETFLIX INC 1.37% 2.864 M $ 30542 2013/03/31 -3.272 M $ -92.18 %
2025/12/31 FREEPORT-MCMORAN INC 1.36% 2.851 M $ 56125 2006/03/31 649.366 K $ 29.50 %
2025/12/31 COCA COLA CO 1.32% 2.762 M $ 39515 2020/03/31 137.353 K $ 5.41 %
2025/12/31 MICRON TECHNOLOGY INC 1.32% 2.757 M $ 9660 2024/12/31 1.395 M $ 70.58 %
2025/12/31 VISA INC 1.28% 2.667 M $ 7606 2020/06/30 71.593 K $ 2.73 %
2025/12/31 GE HEALTHCARE TECHNOLOGIES I 1.26% 2.639 M $ 32174 2023/09/30 238.560 K $ 9.21 %
2025/12/31 ADVANCED MICRO DEVICES INC 1.24% 2.591 M $ 12100 2024/09/30 639.699 K $ 32.37 %
2025/12/31 WALMART INC 1.21% 2.532 M $ 22725 2022/06/30 188.760 K $ 8.10 %
2025/12/31 SELECT SECTOR SPDR TR 1.18% 2.475 M $ 20724 2024/03/31 -1.163 M $ -50.17 %
2025/12/31 DOMINION ENERGY INC 1.12% 2.342 M $ 39975 2019/03/31 -18.575 K $ -4.22 %
2025/12/31 VICI PPTYS INC 1.01% 2.101 M $ 74699 2021/09/30 -316.001 K $ -13.77 %
2025/12/31 PROCTER AND GAMBLE CO 0.98% 2.040 M $ 14238 2020/06/30 -146.497 K $ -6.73 %
2025/12/31 SELECT SECTOR SPDR TR 0.97% 2.029 M $ 17240 2023/12/31 -11.590 K $ -0.55 %
2025/12/31 THERMO FISHER SCIENTIFIC INC 0.96% 2.008 M $ 3465 2025/03/31 386.501 K $ 19.47 %
2025/12/31 ALBEMARLE CORP 0.93% 1.950 M $ 13785 2024/06/30 1.017 M $ 74.45 %
2025/12/31 AUTOMATIC DATA PROCESSING IN 0.92% 1.929 M $ 7500 2023/03/31 -272.024 K $ -12.36 %
2025/12/31 ULTA BEAUTY INC 0.91% 1.896 M $ 3134 2024/12/31 211.716 K $ 10.66 %
2025/12/31 MCDONALDS CORP 0.90% 1.876 M $ 6137 2020/06/30 10.475 K $ 0.58 %
2025/12/31 CATERPILLAR INC 0.89% 1.862 M $ 3250 2010/03/31 311.090 K $ 20.06 %
2025/12/31 PFIZER INC 0.84% 1.759 M $ 70627 2008/12/31 -41.445 K $ -2.28 %
2025/12/31 TAKE-TWO INTERACTIVE SOFTWAR 0.83% 1.724 M $ 6733 2024/06/30 -18.262 K $ -0.90 %
2025/12/31 SELECT SECTOR SPDR TR 0.76% 1.586 M $ 10246 2023/12/31 163.849 K $ 11.23 %
2025/12/31 FEDEX CORP 0.75% 1.575 M $ 5452 2019/03/31 341.376 K $ 22.50 %
2025/12/31 WILLIAMS COS INC 0.75% 1.564 M $ 26023 2023/03/31 -86.906 K $ -5.11 %
2025/12/31 PAYPAL HLDGS INC 0.72% 1.512 M $ 25897 2016/06/30 -245.053 K $ -12.94 %
2025/12/31 GOLDMAN SACHS GROUP INC 0.70% 1.459 M $ 1660 2018/06/30 137.198 K $ 10.38 %
2025/12/31 SELECT SECTOR SPDR TR 0.68% 1.414 M $ 25809 2024/06/30 20.415 K $ 1.67 %
2025/12/31 ABBOTT LABS 0.66% 1.372 M $ 10950 2006/03/31 -94.717 K $ -6.46 %
2025/12/31 REALTY INCOME CORP 0.64% 1.343 M $ 23830 2024/12/31 -108.997 K $ -7.27 %
2025/12/31 DUKE ENERGY CORP NEW 0.64% 1.330 M $ 11345 2020/09/30 -73.411 K $ -5.28 %
2025/12/31 LENNAR CORP 0.62% 1.297 M $ 12619 2025/06/30 -265.935 K $ -18.44 %
2025/12/31 SELECT SECTOR SPDR TR 0.60% 1.249 M $ 8052 2024/06/30 7.111 K $ 0.58 %
2025/12/31 GILEAD SCIENCES INC 0.56% 1.165 M $ 9488 2021/12/31 115.967 K $ 10.58 %
2025/12/31 EXELON CORP 0.52% 1.093 M $ 25081 2024/06/30 -35.430 K $ -3.15 %
2025/12/31 WORKDAY INC 0.46% 967.799 K $ 4506 2024/09/30 -135.692 K $ -10.78 %
2025/12/31 CHUBB LIMITED 0.45% 930.118 K $ 2980 2016/03/31 89.012 K $ 10.58 %
2025/12/31 CLEVELAND-CLIFFS INC NEW 0.44% 909.680 K $ 68500 2023/03/31 87.480 K $ 8.85 %
2025/12/31 THE TRADE DESK INC 0.43% 901.550 K $ 23750 2025/06/30 -53.039 K $ -22.55 %
2025/12/31 SPDR S&P 500 ETF TR 0.36% 760.341 K $ 1115 2024/03/31 8.216 K $ 2.36 %
2025/12/31 SPDR SERIES TRUST 0.31% 657.812 K $ 5395 2023/12/31 125.056 K $ 21.69 %
2025/12/31 LINDE PLC 0.31% 639.585 K $ 1500 2023/03/31 -72.915 K $ -10.23 %
2025/12/31 ISHARES TR 0.30% 632.329 K $ 1336 2020/03/31 6.533 K $ 1.04 %
2025/12/31 WELLTOWER INC 0.29% 603.233 K $ 3250 2020/09/30 24.277 K $ 4.19 %
2025/12/31 COSTCO WHSL CORP NEW 0.27% 564.833 K $ 655 2015/12/31 -41.454 K $ -6.84 %
2025/12/31 AMGEN INC 0.27% 564.610 K $ 1725 2016/12/31 77.814 K $ 15.99 %
2025/12/31 SCHWAB STRATEGIC TR 0.27% 554.086 K $ 20200 2025/09/30 1.728 K $ 0.48 %
2025/12/31 INVESCO EXCH TRADED FD TR II 0.24% 501.652 K $ 44631 2025/09/30 -11.308 K $ -3.10 %
2025/12/31 ISHARES TR 0.24% 497.484 K $ 30279 2023/12/31 30.127 K $ 6.14 %
2025/12/31 EXXON MOBIL CORP 0.24% 492.191 K $ 4090 2023/06/30 37.266 K $ 6.73 %
2025/12/31 BANK AMERICA CORP 0.23% 488.125 K $ 8875 2016/12/31 32.906 K $ 6.61 %
2025/12/31 SELECT SECTOR SPDR TR 0.22% 457.224 K $ 5886 2024/09/30 -3.168 K $ -0.88 %
2025/12/31 BLACKBERRY LTD 0.21% 444.188 K $ 117200 2014/12/31 -154.997 K $ -22.34 %
2025/12/31 BERKSHIRE HATHAWAY INC DEL 0.19% 390.559 K $ 777 2015/09/30 -92.000 $ -0.02 %
2025/12/31 SELECT SECTOR SPDR TR 0.19% 387.844 K $ 9612 2024/03/31 -15.391 K $ -4.23 %
2025/12/31 ISHARES TR 0.16% 325.817 K $ 1549 2021/12/31 10.455 K $ 3.32 %
2025/12/31 HOWARD HUGHES HOLDINGS INC 0.15% 305.120 K $ 3825 2023/09/30 -9.180 K $ -2.92 %
2025/12/31 TESLA INC 0.14% 301.312 K $ 670 2025/09/30 3.350 K $ 1.12 %
2025/12/31 WYNN RESORTS LTD 0.14% 300.825 K $ 2500 2022/03/31 -19.850 K $ -6.19 %
2025/12/31 ISHARES TR 0.12% 251.995 K $ 3630 2025/12/31 0.000 $ 0.00 %
2025/12/31 HUMANA INC 0.12% 247.192 K $ 965 2024/12/31 -3.869 K $ -1.54 %
2025/12/31 UNITED PARCEL SERVICE INC 0.11% 238.077 K $ 2400 2025/12/31 0.000 $ 0.00 %
2025/12/31 SERVICE CORP INTL 0.11% 232.468 K $ 2982 2024/03/31 -15.685 K $ -6.32 %
2025/12/31 CHEVRON CORP NEW 0.10% 216.422 K $ 1420 2024/06/30 -4.809 K $ -1.85 %
2025/12/31 SPDR SERIES TRUST 0.10% 207.930 K $ 2592 2025/09/30 4.805 K $ 2.40 %
2025/12/31 AMT AMERICAN TOWER CORP NEW 0.00% 0.000 $ 0 2020/12/31 0.000 $ 0.00 %
2025/12/31 ZTS ZOETIS INC 0.00% 0.000 $ 0 2019/06/30 0.000 $ 0.00 %
2025/12/31 ADBE ADOBE INC 0.00% 0.000 $ 0 2025/03/31 0.000 $ 0.00 %