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13F-HR filed by Overbrook Management Corp

Overbrook Management Corp filed this 13F-HR for the quarter ended 2024-03-31, filed 2024-04-16, with 60 holding rows worth $371,893,203.

Accession
0001085146-24-001815
Filed
2024-04-16
Accepted by EDGAR
acceptance time not in the bulk data set
Ingested
Source
SEC quarterly data set

Original filing

13F report for Q1 2024

A holdings report, 60 entries on the cover page, a total value of $371,893,203 stated on the cover page (in dollars after the unit check, H1), rows summing to $371,893,203 with VALUE read as dollars as filed, 13F file number 028-10593. The quarter's positions are built on this report. The resolved quarter.

The information table after summing rows of one CUSIP and put or call (H4), with the CUSIP and issuer name as filed. Values in dollars after the unit check (method).

Issuer as filedCUSIPClassAmountValueValue read asType
Microsoft Corp594918104COM80,549$33,888,575dollars as filed
NVIDIA Corp67066G104COM31,537$28,495,572dollars as filed
Alphabet Inc. Reg. Shares C02079K107COM182,715$27,820,186dollars as filed
Uber Technologies90353T100COM281,477$21,670,914dollars as filed
Intuit Inc.461202103COM28,336$18,418,400dollars as filed
Berkshire Hathaway Inc084670702COM43,087$18,118,945dollars as filed
Visa Inc92826C839COM58,894$16,436,138dollars as filed
Amazon.com, Inc023135106COM89,140$16,079,073dollars as filed
UnitedHealth Group Inc91324P102COM32,132$15,895,700dollars as filed
T-Mobile US,Inc.872590104COM86,363$14,096,169dollars as filed
Advanced Micro Devices,Inc.007903107COM74,089$13,372,324dollars as filed
ARES MANAGEMENT CORPORATION CL A COM STK03990B101Stock91,317$12,143,335dollars as filed
DARLING INGREDIENTS INC COM237266101Stock247,566$11,514,295dollars as filed
JPMorgan Chase & Co46625H100COM55,705$11,157,712dollars as filed
MOLINA HEALTHCARE INC60855R100COM26,007$10,684,456dollars as filed
OREILLY AUTOMOTIVE INC COM67103H107Stock9,275$10,470,362dollars as filed
VERISIGN INC COM92343E102Stock51,489$9,757,680dollars as filed
Booking Holdings Inc.09857L108COM2,658$9,642,905dollars as filed
Apple Inc037833100COM51,663$8,859,094dollars as filed
D R HORTON INC COM23331A109Stock49,045$8,070,355dollars as filed
Broadcom Inc.11135F101COM5,217$6,914,664dollars as filed
Adobe Inc00724F101COM13,041$6,580,489dollars as filed
ROYALTY PHARMA PLCG7709Q104SHS CLASS A209,349$6,357,929dollars as filed
VALERO ENERGY CORP COM91913Y100Stock27,012$4,610,678dollars as filed
ISHARES TR46435G102CONV BD ETF41,168$3,286,441dollars as filed
GENERAL AMERICAN INVESTORS CO368802104COM56,741$2,639,024dollars as filed
Goldman Sachs Group,Inc.38141G104COM5,713$2,386,263dollars as filed
Alphabet Inc. Reg. Shares A02079K305COM13,500$2,037,555dollars as filed
Johnson & Johnson478160104COM12,116$1,916,630dollars as filed
EXXON MOBIL CORP30231G102COM16,055$1,866,233dollars as filed
SYNTAX ETF TR87166N106STRATIFD LRG CAP22,906$1,763,375dollars as filed
INOZYME PHARMA INC45790W108COM219,326$1,680,037dollars as filed
Vanguard S&P 500 ETF922908363COM3,363$1,616,615dollars as filed
Automatic Data Processing,Inc.053015103COM6,458$1,612,821dollars as filed
ENTERPRISE PRODS PARTNERS L293792107COM39,577$1,154,857dollars as filed
AIR LEASE CORP00912X302CL A18,512$952,257dollars as filed
CORNING INC219350105COM27,000$889,920dollars as filed
Chevron Corporation166764100COM4,008$632,222dollars as filed
HESS CORP42809H107COM3,995$609,797dollars as filed
Abbott Laboratories002824100COM4,191$476,349dollars as filed
EQUINIX INC COM29444U700REIT576$475,390dollars as filed
MasterCard, Inc57636Q104COM773$372,254dollars as filed
HALLIBURTON CO COM406216101Stock9,441$372,164dollars as filed
Costco Wholesale Corporation22160K105COM502$367,780dollars as filed
American Express Company025816109COM1,583$360,433dollars as filed
Morgan Stanley617446448COM3,764$354,418dollars as filed
SPDR GOLD TR78463V107GOLD SHS1,515$311,666dollars as filed
McDonalds Corporation580135101COM1,100$310,145dollars as filed
INVESCO EXCH TRADED FD TR II46138G508SR LN ETF14,389$304,327dollars as filed
MADRIGAL PHARMACEUTICALS INC COM558868105Stock1,130$301,755dollars as filed
CELLDEX THERAPEUTICS INC NEW15117B202COM NEW7,089$297,525dollars as filed
BLACKLINE, INC.09239B109COM4,265$275,434dollars as filed
SPY78462F103SHS523$273,566dollars as filed
ALPHA & OMEGA SEMICONDUCTORG6331P104SHS11,804$260,160dollars as filed
Technology Select Sector SPDR Fund81369Y803SHS1,210$252,007dollars as filed
IMMUCELL CORP452525306COM PAR32,857$174,142dollars as filed
INNOVATIVE SOLUTIONS SUPP45769N105COMMON STOCK14,575$106,689dollars as filed
FUTUREFUEL CORP36116M106COMMON STOCK11,598$93,364dollars as filed
IN8BIO INC45674E109COM33,756$39,832dollars as filed
STREAMLINE HEALTH SOLUTIONS86323X106COM28,762$13,806dollars as filed

Amendment chain

FilingRoleFiledAcceptedIngested
13F-HR 0001085146-24-001815this filing2024-04-16acceptance time not in the bulk data set