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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

Cerebellum GP, LLC INSTITUTION : Cerebellum GP, LLC
Cerebellum GP, LLC Portfolio (reported on 2019-07-19)
Company (links to holding history) Ticker Value On
2019-06-30
No of Shares % of portfolio
PBF Energy Ord Shs Class A    (COM) PBF 380,000 12,136 0.30%
Dana Incorporated Ord Shs    (COM) DAN 375,000 18,829 0.30%
Schlumberger Ord Shs    (COM) SLB 375,000 9,424 0.30%
Curtiss Wright Ord Shs    (COM) CW 375,000 2,949 0.30%
EnCana Ord Shs    (COM) ECA 372,000 72,456 0.30%
Valero Energy Ord Shs    (COM) VLO 371,000 4,333 0.30%
Mosaic Ord Shs    (COM) MOS 371,000 14,839 0.30%
DXC Technology Ord Shs    (COM) 370,000 6,712 0.30%
TRANSUNION    (COM) 369,000 5,015 0.30%
West Pharmaceutical Services Ord Shs    (COM) WST 368,000 2,939 0.29%
Applied Material Ord Shs    (COM) AMAT 368,000 8,205 0.29%
Ball Ord Shs    (COM) BLL 368,000 5,257 0.29%
Ryder System Ord Shs    (COM) R 368,000 6,318 0.29%
Wynn Resorts Ord Shs    (COM) WYNN 368,000 2,964 0.29%
DropBox Ord Shs Class A    (COM) 367,000 14,665 0.29%
Crown Holdings Ord Shs    (COM) CCK 367,000 6,010 0.29%
Estee Lauder Ord Shs Class A    (COM) EL 367,000 2,003 0.29%
Berry Global Group Ord Shs    (COM) BERY 366,000 6,960 0.29%
United Technologies Ord Shs    (COM) UTX 366,000 2,813 0.29%
HollyFrontier Ord Shs    (COM) HFC 366,000 7,917 0.29%
Steel Dynamics Ord Shs    (COM) STLD 365,000 12,074 0.29%
Royal Caribbean Cruises Ord Shs    (COM) RCL 365,000 3,012 0.29%
McKesson Ord Shs    (COM) MCK 365,000 2,715 0.29%
Cummins Ord Shs    (COM) CMI 365,000 2,129 0.29%
Waste Connections Ord Shs    (COM) 365,000 3,816 0.29%
Beacon Roofing Supply Ord Shs    (COM) BECN 365,000 9,943 0.29%
WPX Energy Ord Shs    (COM) WPX 364,000 31,656 0.29%
Capital One Financial Ord Shs    (COM) COF 364,000 4,008 0.29%
EOG Resources Ord Shs    (COM) EOG 364,000 3,910 0.29%
Hilton Worldwide Holdings Ord Shs    (COM) 364,000 3,728 0.29%
Goodyear Tire & Rubber Ord Shs    (COM) GT 364,000 23,806 0.29%
Acacia Communications Ord Shs    (COM) 364,000 7,711 0.29%
SLM Ord Shs    (COM) SLM 363,000 37,397 0.29%
ITT Ord Shs    (COM) 363,000 5,539 0.29%
Nu Skin Enterprises Ord Shs Class A    (COM) NUS 362,000 7,339 0.29%
Starbucks Ord Shs    (COM) SBUX 362,000 4,314 0.29%
McDonald's Ord Shs    (COM) MCD 362,000 1,742 0.29%
Enbridge Ord Shs    (COM) ENB 362,000 10,023 0.29%
LyondellBasell Industries Ord Shs Class A    (COM) LALLF 362,000 4,204 0.29%
KeyCorp Ord Shs    (COM) KEY 361,000 20,359 0.29%
Fortive Ord Shs    (COM) FTV 361,000 4,425 0.29%
S&P Global Ord Shs    (COM) SPGI 361,000 1,585 0.29%
Veeva Systems Ord Shs Class A    (COM) VEEV 361,000 2,226 0.29%
Micron Technology Ord Shs    (COM) MU 361,000 9,343 0.29%
LPL Financial Holdings Ord Shs    (COM) LPLA 361,000 4,420 0.29%
Continental Resources Ord Shs    (COM) CLR 361,000 8,575 0.29%
Diamondback Energy Ord Shs    (COM) FANG 360,000 3,303 0.29%
Lamb Weston Holdings Ord Shs    (COM) 360,000 5,685 0.29%
FMC Ord Shs    (COM) FMC 360,000 4,342 0.29%
Fortinet Ord Shs    (COM) FTNT 360,000 4,692 0.29%
Arthur J Gallagher Ord Shs    (COM) AJG 360,000 4,108 0.29%
Discovery Communications Ord Shs Series C    (COM) DISCK 360,000 12,665 0.29%
Select Sector Materials Select Sector SPDR Fund    (ETF) XLB 359,000 6,143 0.29%
Insperity Ord Shs    (COM) NSP 359,000 2,941 0.29%
Medtronic Ord Shs    (COM) MDT 359,000 3,690 0.29%
Laboratory Corporation of America Holdings Ord Shs    (COM) LH 359,000 2,079 0.29%
Cooper Ord Shs    (COM) COO 359,000 1,066 0.29%
Best Buy Ord Shs    (COM) BBY 359,000 5,149 0.29%
Armstrong World Industries Ord Shs    (COM) AWI 359,000 3,698 0.29%
PVH Ord Shs    (COM) PVH 359,000 3,789 0.29%
United Rentals Ord Shs    (COM) URI 358,000 2,703 0.29%
Plains All American Pipeline Units    (COM) PAA 358,000 14,719 0.29%
Chemed Ord Shs    (COM) CHE 358,000 991 0.29%
Yamana Gold Inc ON NYS    (COM) AUY 358,000 142,219 0.29%
Ingersoll Rand Ord Shs    (COM) IR 358,000 2,825 0.29%
Kohl's Ord Shs    (COM) KSS 358,000 7,529 0.29%
Woodward Ord Shs    (COM) WGOV 358,000 3,160 0.29%
Euronet Worldwide Ord Shs    (COM) EEFT 357,000 2,121 0.29%
Marathon Petroleum Ord Shs    (COM) MPC 357,000 6,384 0.29%
AMETEK Ord Shs    (COM) AME 357,000 3,929 0.29%
Southern Ord Shs    (COM) SO 357,000 6,466 0.29%
NVIDIA Ord Shs    (COM) NVDA 357,000 2,173 0.29%
Rockwell Automation Ord Shs    (COM) ROK 357,000 2,178 0.29%
Flex Ord Shs    (COM) FLEX 357,000 37,269 0.29%
Middleby Ord Shs    (COM) MIDD 357,000 2,630 0.29%
Mondelez International Ord Shs Class A    (COM) MDLZ 357,000 6,618 0.29%
Allstate Ord Shs    (COM) ALL 357,000 3,508 0.29%
Masimo Ord Shs    (COM) MASI 356,000 2,390 0.29%
Edison International Ord Shs    (COM) EIX 356,000 5,288 0.29%
Citizens Financial Group Ord Shs    (COM) CFG 356,000 10,068 0.29%
Fiat Chrysler Automobiles Ord Shs    (COM) FCAU 356,000 25,791 0.29%
Peabody Energy Ord Shs    (COM) 356,000 14,805 0.29%
Restaurants Brands International Ord Shs    (COM) QSR 356,000 5,117 0.29%
Lear Ord Shs    (COM) LEA 356,000 2,558 0.29%
Fifth Third Bancorp Ord Shs    (COM) FITB 356,000 12,777 0.29%
Servicemaster Global Holdings Ord Shs    (COM) SERV 356,000 6,840 0.29%
Walmart Ord Shs    (COM) WMT 355,000 3,216 0.28%
Amphenol Ord Shs Class A    (COM) APH 355,000 3,696 0.28%
Marsh & Mclennan Ord Shs    (COM) MMC 355,000 3,561 0.28%
Synovus Financial Ord Shs    (COM) SNV 355,000 10,143 0.28%
3M Ord Shs    (COM) MMM 355,000 2,047 0.28%
Worldpay Ord Shs    (COM) 355,000 2,893 0.28%
Dollar General Ord Shs    (COM) DG 355,000 2,625 0.28%
Splunk Ord Shs    (COM) SPLK 355,000 2,827 0.28%
Activision Blizzard Ord Shs    (COM) ATVI 355,000 7,517 0.28%
NuVasive Ord Shs    (COM) NUVA 354,000 6,048 0.28%
Interpublic Group of Companies Ord Shs    (COM) IPG 354,000 15,676 0.28%
Tableau Software Ord Shs Class A    (COM) DATA 354,000 2,135 0.28%
Kraft Heinz Ord Shs    (COM) KHC 354,000 11,402 0.28%
Encompass Health Ord Shs    (COM) 354,000 5,581 0.28%
Masco Ord Shs    (COM) MAS 354,000 9,015 0.28%
Electronic Arts Ord Shs    (COM) ERTS 354,000 3,496 0.28%
Pepsico Ord Shs    (COM) PEP 354,000 2,700 0.28%
Synopsys Ord Shs    (COM) SNPS 354,000 2,753 0.28%
Owens Corning Ord Shs    (COM) OC 353,000 6,071 0.28%
Lowe's Companies Ord Shs    (COM) LOW 353,000 3,497 0.28%
Michael Kors Holdings Ord Shs    (COM) 353,000 10,171 0.28%
DowDuPont Ord Shs    (COM) 353,000 4,705 0.28%
Tractor Supply Ord Shs    (COM) TSCO 353,000 3,240 0.28%
AXIS Capital Holdings Ord Shs    (COM) AXS 353,000 5,926 0.28%
Gardner Denver Holdings Ord Shs    (COM) 352,000 10,170 0.28%
Portland General Electric Ord Shs    (COM) POR 352,000 6,489 0.28%
Polaris Industries Ord Shs    (COM) PII 352,000 3,857 0.28%
Arconic Ord Shs    (COM) 352,000 13,619 0.28%
Kennametal Ord Shs    (COM) KMT 352,000 9,517 0.28%
Philip Morris International Ord Shs    (COM) PM 352,000 4,477 0.28%
Ashland Global Ord Shs    (COM) 352,000 4,397 0.28%
IBERIABANK Ord Shs    (COM) IBKC 352,000 4,647 0.28%
Las Vegas Sands Ord Shs    (COM) LVS 352,000 5,950 0.28%
Caterpillar Ord Shs    (COM) CAT 352,000 2,583 0.28%
CDW Ord Shs    (COM) CDW 352,000 3,171 0.28%
First American Financial Ord Shs    (COM) FAF 352,000 6,555 0.28%
MSCI Ord Shs    (COM) MXB 352,000 1,473 0.28%
Devon Energy Ord Shs    (COM) DVN 351,000 12,311 0.28%
Magna International Inc ON NYS    (COM) MGA 351,000 7,067 0.28%
Nike Ord Shs Class B    (COM) NKE 351,000 4,180 0.28%
Alliance Data Systems Ord Shs    (COM) ADS 351,000 2,503 0.28%
Waste Management Ord Shs    (COM) WMI 351,000 3,044 0.28%
Newmont Mining Ord Shs    (COM) NEM 351,000 9,129 0.28%
Mastercard Ord Shs Class A    (COM) MA 351,000 1,325 0.28%
SunTrust Banks Ord Shs    (COM) STI 351,000 5,590 0.28%
ABIOMED Ord Shs    (COM) ABMD 351,000 1,347 0.28%
Vulcan Materials Ord Shs    (COM) VMC 351,000 2,555 0.28%
Loews Ord Shs    (COM) LTR 351,000 6,428 0.28%
Six Flags Entertainment Ord Shs    (COM) SIX 351,000 7,073 0.28%
Reinsurance Group of America Ord Shs    (COM) RGA 351,000 2,252 0.28%
Black Knight Ord Shs    (COM) 351,000 5,839 0.28%
InterXion Holding Ord Shs    (COM) INXN 351,000 4,615 0.28%
Suncor Energy Ord Shs    (COM) SU 351,000 11,255 0.28%
Nielsen Holdings Ord Shs    (COM) NLSN 350,000 15,474 0.28%
Enterprise Products Partners Units    (COM) EPD 350,000 12,134 0.28%
Synchrony Financial Ord Shs    (COM) SYF 350,000 10,096 0.28%
AES Ord Shs    (COM) AES 350,000 20,871 0.28%
Axalta Coating Systems Ord Shs    (COM) AXTA 350,000 11,772 0.28%
Affiliated Managers Group Ord Shs    (COM) AMG 350,000 3,803 0.28%
Walgreen Boots Alliance Ord Shs    (COM) WBA 350,000 6,396 0.28%
General Mills Ord Shs    (COM) GIS 350,000 6,665 0.28%
TCF Financial Ord Shs    (COM) TCB 350,000 16,827 0.28%
WR Grace Ord Shs    (COM) GRA 350,000 4,603 0.28%
VeriSign Ord Shs    (COM) VRSN 349,000 1,667 0.28%
QUALCOMM Ord Shs    (COM) QCOM 349,000 4,584 0.28%
Texas Roadhouse Ord Shs Class A    (COM) TXRH 349,000 6,512 0.28%
Delphi Technologies Ord Shs    (COM) 349,000 17,438 0.28%
First Hawaiian Ord Shs    (COM) FHB 349,000 13,473 0.28%
Amdocs Ord Shs    (COM) DOX 349,000 5,622 0.28%
Dicks Sporting Ord Shs    (COM) DKS 349,000 10,080 0.28%
Ollie's Bargain Outlet Holdings Ord Shs    (COM) 349,000 4,002 0.28%
General Electric Ord Shs    (COM) GE 349,000 33,251 0.28%
US Bancorp Ord Shs    (COM) USB 349,000 6,653 0.28%
Avnet Ord Shs    (COM) AVT 349,000 7,720 0.28%
Royal Bank of Canada ON NYS    (COM) RY 349,000 4,391 0.28%
Select Sector Financial Select Sector SPDR ETF    (ETF) XLF 348,000 12,606 0.28%
Lennar A Ord Shs    (COM) LEN 348,000 7,183 0.28%
Utilities Select Sector SPDR Fund    (ETF) XLU 348,000 5,837 0.28%
Ares Capital Ord Shs    (COM) ARCC 348,000 19,376 0.28%
Allison Transmission Holdings Ord Shs    (COM) ALSN 348,000 7,512 0.28%
iRhythm Technologies Ord Shs    (COM) 348,000 4,401 0.28%
Morgan Stanley Ord Shs    (COM) MS 348,000 7,942 0.28%
Post Holdings Ord Shs    (COM) POST 348,000 3,343 0.28%
BankUnited Ord Shs    (COM) BKU 348,000 10,315 0.28%
Aspen Technology Ord Shs    (COM) AZPN 347,000 2,789 0.28%
Chipotle Mexican Grill Ord Shs    (COM) CMG 347,000 474 0.28%
Graphic Packaging Holding Ord Shs    (COM) GPK 347,000 24,838 0.28%
Leidos Holdings Ord Shs    (COM) LDOS 347,000 4,348 0.28%
Xerox Ord Shs    (COM) 347,000 9,804 0.28%
Buckeye Partners Units    (COM) BPL 347,000 8,449 0.28%
HP Ord Shs    (COM) HPQ 347,000 16,695 0.28%
Fair Isaac Ord Shs    (COM) FIC 347,000 1,105 0.28%
PayPal Holdings Ord Shs    (COM) PYPL 347,000 3,035 0.28%
Duke Energy Ord Shs    (COM) DUK 347,000 3,931 0.28%
Transocean Ord Shs    (COM) RIG 347,000 54,159 0.28%
Everest Re Group Ord Shs    (COM) RE 346,000 1,401 0.28%
Valvoline Ord Shs    (COM) VVV 346,000 17,697 0.28%
Liberty Global Ord Shs Class C    (COM) LBTYK 346,000 13,055 0.28%
Dunkin Brands Group Ord Shs    (COM) DNKN 346,000 4,349 0.28%
Assurant Ord Shs    (COM) AIZ 346,000 3,256 0.28%
Select Sector Energy Select Sector SPDR Fund    (ETF) XLE 346,000 5,427 0.28%
Macquarie Infrastructure Ord Shs    (COM) MIC 346,000 8,525 0.28%
Hologic Ord Shs    (COM) HOLX 346,000 7,198 0.28%
HCA Healthcare Ord Shs    (COM) HCA 346,000 2,560 0.28%
Investors Bancorp Ord Shs    (COM) ISBC 346,000 31,043 0.28%
Danaher Ord Shs    (COM) DHR 346,000 2,422 0.28%
Norfolk Southern Ord Shs    (COM) NSC 346,000 1,735 0.28%
Stanley Black & Decker Ord Shs    (COM) SWK 345,000 2,388 0.28%
State Street Ord Shs    (COM) STT 345,000 6,151 0.28%
Shutterfly Ord Shs    (COM) SFLY 345,000 6,816 0.28%
CVS Health Ord Shs    (COM) CVS 345,000 6,331 0.28%
United Continental Holdings Ord Shs    (COM) UAL 345,000 3,940 0.28%
AXA Equitable Holdings Ord Shs    (COM) 345,000 16,512 0.28%
ConocoPhillips Ord Shs    (COM) COP 345,000 5,656 0.28%
1 2 3 Next >Full Portfolio View
Total Value As 2019-06-30: 122,731,000 SEC FILING
* Portfolios do not reflect changes after reporting
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