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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 2020-01-16)
Company (links to holding history) Ticker Value On
2019-12-31
No of Shares % of portfolio
Centennial Resource Development Ord Shs Class A    (COM) 588,000 127,232 0.31%
NiSource Ord Shs    (COM) NI 587,000 21,081 0.30%
Verisk Analytics Ord Shs    (COM) VRSK 585,000 3,920 0.30%
EQM Midstream Partners Units    (COM) EQM 582,000 19,443 0.30%
ITT Ord Shs    (COM) 582,000 7,877 0.30%
Wyndham Destinations Ord Shs    (COM) WYN 580,000 11,213 0.30%
MetLife Ord Shs    (COM) MET 579,000 11,351 0.30%
Hilton Worldwide Holdings Ord Shs    (COM) 578,000 5,211 0.30%
Kinder Morgan Ord Shs    (COM) KMI 578,000 27,317 0.30%
Lowe's Companies Ord Shs    (COM) LOW 577,000 4,818 0.30%
HP Ord Shs    (COM) HPQ 577,000 28,074 0.30%
Stanley Black & Decker Ord Shs    (COM) SWK 576,000 3,473 0.30%
PPL Ord Shs    (COM) PPL 576,000 16,043 0.30%
Cigna Ord Shs    (COM) 576,000 2,816 0.30%
Pinnacle West Ord Shs    (COM) PNW 576,000 6,408 0.30%
FirstEnergy Ord Shs    (COM) FE 576,000 11,843 0.30%
Salesforce.com Ord Shs    (COM) CRM 576,000 3,539 0.30%
Trimble Navigation Ord Shs    (COM) TRMB 576,000 13,820 0.30%
Eastman Chemical Ord Shs    (COM) EMN 575,000 7,256 0.30%
Deere Ord Shs    (COM) DE 575,000 3,319 0.30%
Fortune Brands Home And Security Ord Shs    (COM) FBHS 575,000 8,804 0.30%
MGM Resorts International Ord Shs    (COM) MGM 575,000 17,286 0.30%
Acacia Communications Ord Shs    (COM) 575,000 8,485 0.30%
Starbucks Ord Shs    (COM) SBUX 574,000 6,531 0.30%
TE Connectivity Ord Shs    (COM) TEL 574,000 5,989 0.30%
Boston Scientific Ord Shs    (COM) BSX 573,000 12,676 0.30%
Procter & Gamble Ord Shs    (COM) PG 573,000 4,591 0.30%
Matador Resources Ord Shs    (COM) MTDR 572,000 31,810 0.30%
E TRADE Financial Ord Shs    (COM) ETFC 572,000 12,616 0.30%
Amdocs Ord Shs    (COM) DOX 572,000 7,924 0.30%
Ingersoll Rand Ord Shs    (COM) IR 571,000 4,293 0.30%
Cadence Bancorporation Ord Shs Class A    (COM) 571,000 31,498 0.30%
EOG Resources Ord Shs    (COM) EOG 571,000 6,819 0.30%
eBay Ord Shs    (COM) EBAY 570,000 15,780 0.30%
Westrock Ord Shs    (COM) WRK 570,000 13,293 0.30%
Qurate Retail Ord Shs Series A    (COM) 569,000 67,479 0.30%
Crocs Ord Shs    (COM) CROX 569,000 13,592 0.30%
Stryker Ord Shs    (COM) SYK 568,000 2,704 0.29%
American Electric Power Ord Shs    (COM) AEP 568,000 6,007 0.29%
Allison Transmission Holdings Ord Shs    (COM) ALSN 568,000 11,750 0.29%
Select Sector Materials Select Sector SPDR Fund    (ETF) XLB 568,000 9,245 0.29%
Bank of New York Mellon Ord Shs    (COM) BK 568,000 11,285 0.29%
Moody's Ord Shs    (COM) MCO 568,000 2,391 0.29%
Fifth Third Bancorp Ord Shs    (COM) FITB 568,000 18,472 0.29%
Cisco Systems Ord Shs    (COM) CSCO 567,000 11,827 0.29%
Six Flags Entertainment Ord Shs    (COM) SIX 567,000 12,571 0.29%
CH Robinson Worldwide Ord Shs    (COM) CHRW 567,000 7,245 0.29%
Laboratory Corporation of America Holdings Ord Shs    (COM) LH 567,000 3,349 0.29%
Entergy Ord Shs    (COM) ETR 566,000 4,728 0.29%
Maxim Integrated Products Ord Shs    (COM) MXIM 566,000 9,205 0.29%
TripAdvisor Ord Shs    (COM) TRIP 566,000 18,645 0.29%
InterXion Holding Ord Shs    (COM) INXN 566,000 6,759 0.29%
Wright Medical Group Ord Shs    (COM) 566,000 18,582 0.29%
Stars Group Ord Shs    (COM) 566,000 21,678 0.29%
Industrial Select Sector SPDR Fund    (ETF) XLI 566,000 6,942 0.29%
MSC Industrial Ord Shs Class A    (COM) MSM 566,000 7,215 0.29%
General Mills Ord Shs    (COM) GIS 566,000 10,569 0.29%
Helmerich & Payne Ord Shs    (COM) HP 565,000 12,437 0.29%
Pentair Ord Shs    (COM) PNR 565,000 12,307 0.29%
Delta Air Lines Ord Shs    (COM) DAL 565,000 9,666 0.29%
Fortive Ord Shs    (COM) FTV 565,000 7,393 0.29%
SPDR Fund Consumer Staples Select Sector ETF    (ETF) XLP 565,000 8,978 0.29%
Hubbell Ord Shs Class B    (COM) 565,000 3,822 0.29%
Macys Ord Shs    (COM) M 565,000 33,246 0.29%
Alliance Data Systems Ord Shs    (COM) ADS 565,000 5,032 0.29%
American Express Ord Shs    (COM) AXP 565,000 4,539 0.29%
CF Industries Holdings Ord Shs    (COM) CF 564,000 11,811 0.29%
Zayo Group Holdings Ord Shs    (COM) ZAYO 564,000 16,267 0.29%
Dunkin Brands Group Ord Shs    (COM) DNKN 564,000 7,471 0.29%
Willis Group Holdings Ord Shs    (COM) WLTW 564,000 2,794 0.29%
General Motors Ord Shs    (COM) GM 564,000 15,422 0.29%
Ralph Lauren Ord Shs Class A    (COM) RL 563,000 4,807 0.29%
Union Pacific Ord Shs    (COM) UNP 563,000 3,112 0.29%
Popular Ord Shs    (COM) BPOP 563,000 9,590 0.29%
Nike Ord Shs Class B    (COM) NKE 563,000 5,560 0.29%
Tyson Foods Ord Shs Class A    (COM) TSN 563,000 6,179 0.29%
Progressive Ord Shs    (COM) PGR 563,000 7,783 0.29%
Textron Ord Shs    (COM) TXT 563,000 12,625 0.29%
US Foods Holding Ord Shs    (COM) USFD 562,000 13,427 0.29%
Berry Global Group Ord Shs    (COM) BERY 562,000 11,825 0.29%
TRANSUNION    (COM) 562,000 6,563 0.29%
Pepsico Ord Shs    (COM) PEP 562,000 4,112 0.29%
DowDuPont Ord Shs    (COM) 562,000 8,758 0.29%
Genpact Ord Shs    (COM) G 562,000 13,330 0.29%
Analog Devices Ord Shs    (COM) ADI 562,000 4,729 0.29%
Lamb Weston Holdings Ord Shs    (COM) 562,000 6,537 0.29%
West Pharmaceutical Services Ord Shs    (COM) WST 562,000 3,736 0.29%
Steel Dynamics Ord Shs    (COM) STLD 561,000 16,471 0.29%
AECOM Technology Ord Shs    (COM) ACM 561,000 13,010 0.29%
Palo Alto Networks Ord Shs    (COM) PANW 561,000 2,427 0.29%
HCA Healthcare Ord Shs    (COM) HCA 560,000 3,790 0.29%
Comerica Ord Shs    (COM) CMA 560,000 7,810 0.29%
Verizon Communications Ord Shs    (COM) VZ 560,000 9,113 0.29%
Copart Ord Shs    (COM) CPRT 560,000 6,156 0.29%
Portland General Electric Ord Shs    (COM) POR 560,000 10,038 0.29%
Norfolk Southern Ord Shs    (COM) NSC 560,000 2,887 0.29%
Dell Technologies Ord Shs Class C    (COM) 560,000 10,903 0.29%
Tapestry Ord Shs    (COM) 559,000 20,725 0.29%
AXA Equitable Holdings Ord Shs    (COM) 559,000 22,541 0.29%
Okta Ord Shs Class A    (COM) 559,000 4,841 0.29%
Quorvo Ord Shs    (COM) QRVO 559,000 4,812 0.29%
HD Supply Holdings Ord Shs    (COM) 559,000 13,891 0.29%
LPL Financial Holdings Ord Shs    (COM) LPLA 559,000 6,057 0.29%
ServiceNow Ord Shs    (COM) NOW 559,000 1,979 0.29%
AMETEK Ord Shs    (COM) AME 559,000 5,604 0.29%
Graphic Packaging Holding Ord Shs    (COM) GPK 558,000 33,490 0.29%
Select Sector Technology Select Sector SPDR ETF    (ETF) XLK 558,000 6,085 0.29%
Utilities Select Sector SPDR Fund    (ETF) XLU 558,000 8,641 0.29%
Hologic Ord Shs    (COM) HOLX 558,000 10,679 0.29%
Semtech Ord Shs    (COM) SMTC 558,000 10,550 0.29%
AutoDesk Ord Shs    (COM) ADSK 558,000 3,044 0.29%
Comcast Ord Shs Class A    (COM) CMCSA 558,000 12,414 0.29%
Micron Technology Ord Shs    (COM) MU 558,000 10,378 0.29%
AXIS Capital Holdings Ord Shs    (COM) AXS 557,000 9,366 0.29%
Arrow Electronics Ord Shs    (COM) ARW 557,000 6,577 0.29%
Parsley Energy Ord Shs Class A    (COM) PE 557,000 29,478 0.29%
Advance Auto Parts Ord Shs    (COM) AAP 557,000 3,480 0.29%
Cadence Design Systems Ord Shs    (COM) CDNS 557,000 8,029 0.29%
Jones Lang LaSalle Ord Shs    (COM) JLL 557,000 3,200 0.29%
WABCO Holdings Ord Shs    (COM) WBC 556,000 4,103 0.29%
Baxter International Ord Shs    (COM) BAX 556,000 6,654 0.29%
Honeywell International Ord Shs    (COM) HON 556,000 3,142 0.29%
Liberty Media Ord Shs Class C    (COM) LMCK 556,000 12,101 0.29%
Western Digital Ord Shs    (COM) WDC 556,000 8,760 0.29%
Evergy Ord Shs    (COM) 556,000 8,547 0.29%
CBRE Group Ord Shs Class A    (COM) CBG 556,000 9,065 0.29%
Michaels Companies Ord Shs    (COM) MIK 556,000 68,669 0.29%
TJX Ord Shs    (COM) TJX 556,000 9,099 0.29%
IPG Photonics Ord Shs    (COM) IPGP 555,000 3,829 0.29%
Jacobs Engineering Group Ord Shs    (COM) JEC 555,000 6,183 0.29%
Kohl's Ord Shs    (COM) KSS 555,000 10,892 0.29%
Wellcare Healthcare Plans Ord Shs    (COM) WCG 555,000 1,680 0.29%
Ecolab Ord Shs    (COM) ECL 554,000 2,871 0.29%
WR Grace Ord Shs    (COM) GRA 554,000 7,932 0.29%
Liberty Global Ord Shs Class C    (COM) LBTYK 554,000 25,401 0.29%
Rapid7 Ord Shs    (COM) 554,000 9,883 0.29%
Home Depot Ord Shs    (COM) HD 554,000 2,539 0.29%
Waste Connections Ord Shs    (COM) 554,000 6,100 0.29%
Teck Resources Subordinate Voting Class B Ord Shs    (COM) TCK 554,000 31,870 0.29%
Ross Stores Ord Shs    (COM) ROST 554,000 4,759 0.29%
Constellation Brands Ord Shs Class A    (COM) STZ 554,000 2,920 0.29%
PayPal Holdings Ord Shs    (COM) PYPL 554,000 5,119 0.29%
Paycom Software Ord Shs    (COM) PAYC 553,000 2,087 0.29%
HubSpot Ord Shs    (COM) HUBS 553,000 3,491 0.29%
Aon Ord Shs Class A    (COM) AON 553,000 2,654 0.29%
Veeva Systems Ord Shs Class A    (COM) VEEV 553,000 3,931 0.29%
Select Sector Health Care Select Sector SPDR ETF    (ETF) XLV 553,000 5,430 0.29%
lululemon athletica Ord Shs    (COM) LULU 553,000 2,389 0.29%
Univar Ord Shs    (COM) 553,000 22,806 0.29%
Western Gas Partners Units    (COM) 553,000 28,107 0.29%
Expeditors International of Washington Ord Shs    (COM) EXPD 552,000 7,081 0.29%
Reinsurance Group of America Ord Shs    (COM) RGA 552,000 3,384 0.29%
Royal Bank of Canada ON NYS    (COM) RY 552,000 6,971 0.29%
WR Berkley Ord Shs    (COM) WRB 552,000 7,992 0.29%
Entegris Ord Shs    (COM) ENTG 552,000 11,013 0.29%
Applied Material Ord Shs    (COM) AMAT 552,000 9,041 0.29%
Nordstrom Ord Shs    (COM) JWN 552,000 13,484 0.29%
Thomson Reuters Ord Shs    (COM) 552,000 7,710 0.29%
IDEXX Laboratories Ord Shs    (COM) IDXX 552,000 2,112 0.29%
Skechers USA Ord Shs Class A    (COM) SKX 551,000 12,756 0.29%
Fidelity National Information Services Ord Shs    (COM) FIS 551,000 3,963 0.29%
Citizens Financial Group Ord Shs    (COM) CFG 551,000 13,562 0.29%
Curtiss Wright Ord Shs    (COM) CW 551,000 3,914 0.29%
Servicemaster Global Holdings Ord Shs    (COM) SERV 551,000 14,256 0.29%
Polaris Industries Ord Shs    (COM) PII 551,000 5,421 0.29%
S&P Global Ord Shs    (COM) SPGI 551,000 2,019 0.29%
Plains GP Holdings Ord Shs Class A    (COM) 551,000 29,072 0.29%
Monster Beverage Ord Shs    (COM) MNST 550,000 8,655 0.29%
O'Reilly Automotive Ord Shs    (COM) ORLY 550,000 1,254 0.29%
Tech Data Ord Shs    (COM) TECD 550,000 3,829 0.29%
CBS Ord Shs Class B    (COM) 550,000 13,095 0.29%
Cimarex Energy Ord Shs    (COM) XEC 550,000 10,474 0.29%
Altria Group Ord Shs    (COM) MO 550,000 11,027 0.29%
EPAM Systems Ord Shs    (COM) EPAM 549,000 2,586 0.28%
MSCI Ord Shs    (COM) MXB 549,000 2,127 0.28%
CACI International Ord Shs Class A    (COM) CAI 549,000 2,195 0.28%
Elastic Ord Shs    (COM) 549,000 8,540 0.28%
Aptiv Ord Shs    (COM) 549,000 5,785 0.28%
Barrick Gold Corp ON NYS    (COM) ABX 549,000 29,506 0.28%
NRG Energy Ord Shs    (COM) NRG 549,000 13,823 0.28%
SS And C Technologies Holdings Ord Shs    (COM) SSNC 549,000 8,937 0.28%
Continental Resources Ord Shs    (COM) CLR 548,000 15,978 0.28%
Norwegian Cruise Line Holdings Ord Shs    (COM) NCLH 548,000 9,388 0.28%
Gap Ord Shs    (COM) GPS 548,000 30,996 0.28%
Coupa Software Ord Shs    (COM) 548,000 3,750 0.28%
Crown Holdings Ord Shs    (COM) CCK 548,000 7,553 0.28%
Ally Financial Ord Shs    (COM) ALLY 548,000 17,932 0.28%
Michael Kors Holdings Ord Shs    (COM) 548,000 14,374 0.28%
Euronet Worldwide Ord Shs    (COM) EEFT 548,000 3,477 0.28%
Transocean Ord Shs    (COM) RIG 548,000 79,636 0.28%
Sempra Energy Ord Shs    (COM) SRE 548,000 3,620 0.28%
Tiffany Ord Shs    (COM) TIF 548,000 4,104 0.28%
NXP Semiconductors Ord Shs    (COM) NXPI 548,000 4,305 0.28%
Truist Financial Ord Shs    (COM) 548,000 9,733 0.28%
Hartford Financial Services Group Ord Shs    (COM) HIG 547,000 8,996 0.28%
Juniper Networks Ord Shs    (COM) JNPR 547,000 22,193 0.28%
Intuit Ord Shs    (COM) INTU 547,000 2,087 0.28%
Suncor Energy Ord Shs    (COM) SU 547,000 16,683 0.28%
Mellanox Technologies Ord Shs    (COM) MLNX 547,000 4,671 0.28%
CVS Health Ord Shs    (COM) CVS 547,000 7,358 0.28%
1 2 3 Next >Full Portfolio View
Total Value As 2019-12-31: 189,506,000 SEC FILING
* Portfolios do not reflect changes after reporting
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