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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Pacific Heights Asset Management LLC

Quarter ended Q1 2024 · Filed April 26, 2024 · Accession 0000950123-24-003534

Total Value
$1.22B
Positions
72
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (72)

#IssuerTicker / CUSIPSharesValue% of Filing
1FREEPORT-MCMORAN INCFCX2,175,000$102.3M8.37%
2TEXAS PACIFIC LAND CORPTPL165,000$95.5M7.81%
3NVIDIA CORPNVDA96,000$86.7M7.10%
4META PLATFORMS INCMETA155,000$75.3M6.16%
5COSTCO WHSL CORP NEW22160K10557,000$41.8M3.42%
6PALANTIR TECHNOLOGIES INCPLTR1,575,000$36.2M2.97%
7PARKER HANNIFIN CORPPH63,000$35.0M2.87%
8BROADCOM INCAVGO22,000$29.2M2.39%
9LOCKHEED MARTIN CORPLMT58,000$26.4M2.16%
10CHEVRON CORPCVX150,000$23.7M1.94%
11LENNAR CORPLEN-B130,000$22.4M1.83%
12CAMECO CORPCCJ500,000$21.7M1.77%
13NUCOR CORPNUE103,000$20.4M1.67%
14PROLOGIS INCPLDGP150,000$19.5M1.60%
15CONOCOPHILLIPSCOP150,000$19.1M1.56%
16WILLIAMS SONOMA INCWSM60,000$19.1M1.56%
17DEVON ENERGY CORPORATION25179M103350,000$17.6M1.44%
18EXXON MOBIL CORPXOM150,000$17.4M1.43%
19MORGAN STANLEYMS-PQ185,000$17.4M1.43%
20ILLINOIS TOOL WKS INC45230810963,000$16.9M1.38%
21FEDEX CORPFDX58,000$16.8M1.38%
22AMGEN INCAMGN58,000$16.5M1.35%
23MURPHY OIL CORPMUR350,000$16.0M1.31%
24SIMON PPTY GROUP INC NEW828806109100,000$15.6M1.28%
25AUTODESK INCADSK58,000$15.1M1.24%
26VISA INCV53,000$14.8M1.21%
27ESSEX PPTY TR INC29717810560,000$14.7M1.20%
28CANADIAN PACIFIC KANSAS CITYCP165,000$14.5M1.19%
29UBER TECHNOLOGIES INCUBER185,000$14.2M1.17%
30AIR PRODS & CHEMS INCAIIR58,000$14.1M1.15%
31SCHWAB CHARLES CORPSCHW-PJ185,000$13.4M1.10%
32HF SINCLAIR CORPORATIONDINO215,000$13.0M1.06%
33PHILLIPS 66PSX75,000$12.3M1.00%
34CANADIAN NAT RES LTD136385101160,000$12.2M1.00%
35AFFIRM HLDGS INCAFRM315,000$11.7M0.96%
36OCCIDENTAL PETE CORP674599105180,000$11.7M0.96%
37CENTERSPACECSR200,000$11.4M0.94%
38TWILIO INCTWLO185,000$11.3M0.93%
39AVALONBAY CMNTYS INCAWX60,000$11.1M0.91%
40DIGITAL RLTY TR INC25386810375,000$10.8M0.88%
41FEDERAL RLTY INVT TR313745101100,000$10.2M0.84%
42RIO TINTO PLCRTNTF160,000$10.2M0.83%
43OVINTIV INCOVV190,000$9.9M0.81%
44RYDER SYS INCR80,000$9.6M0.79%
45AGILENT TECHNOLOGIES INCA64,000$9.3M0.76%
46INTEL CORPINTC210,000$9.3M0.76%
47BHP BILLITON LTDBHPLF160,000$9.2M0.76%
48DISNEY WALT CO25468710670,000$8.6M0.70%
49BIRCHCLIFF ENERGY LTDBIREF2,100,000$8.3M0.68%
50ALBEMARLE CORPALB-PA60,000$7.9M0.65%
51NUTRIEN LTDNTR145,000$7.9M0.64%
52FLUOR CORP NEWFLR185,000$7.8M0.64%
53REGENCY CTRS CORP758849103125,000$7.6M0.62%
54WYNN RESORTS LTDWYNN70,000$7.2M0.59%
55VIPER ENERGY INCVNOM175,000$6.7M0.55%
56OUTFRONT MEDIA INCOUT400,000$6.7M0.55%
57APA CORPORATIONAPA180,000$6.2M0.51%
58BP PLCBPPFF160,000$6.0M0.49%
59KIMCO RLTY CORP49446R109300,000$5.9M0.48%
60IPG PHOTONICS CORPIPGP64,000$5.8M0.48%
61WEYERHAEUSER COWY150,000$5.4M0.44%
62SOUTH32 LTD84473L105500,000$4.9M0.40%
63UDR INCUDR125,000$4.7M0.38%
64OCCIDENTAL PETROLEUM CORP WARRANT674599162100,000$4.3M0.35%
65STATE STREET CORPORATIONSTT-PG55,000$4.3M0.35%
66UMH PPTYS INC903002103250,000$4.1M0.33%
67AMERICAN TOWER CORP NEW03027X10020,000$4.0M0.32%
68HIGHWOODS PPTYS INC431284108150,000$3.9M0.32%
69BOSTON PPTYS INCBXP60,000$3.9M0.32%
70VORNADO RLTY TR929042109100,000$2.9M0.24%
71VALE SAVALE200,000$2.4M0.20%
72ALEXANDER & BALDWIN INC014491104125,000$2.1M0.17%