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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

American Assets Investment Management, LLC

Quarter ended Q2 2025 · Filed August 5, 2025 · Accession 0001389256-25-000012

Total Value
$1.24B
Positions
143
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (143)

#IssuerTicker / CUSIPSharesValue% of Filing
1WELLS FARGO CO NEW949746101940,400$75.3M6.06%
2BANK AMERICA CORP0605051041,128,950$53.4M4.29%
3JPMORGAN CHASE & CO.VYLD177,600$51.5M4.14%
4MICROSOFT CORPMSFT89,650$44.6M3.58%
5RIGETTI COMPUTING INCRGTIW3,746,149$44.4M3.57%
6EXXON MOBIL CORPXOM410,000$44.2M3.55%
7APPLE INCAAPL210,000$43.1M3.46%
8GOLDMAN SACHS GROUP INCGSCE54,000$38.2M3.07%
9AMERICAN ASSETS TR INCAAT1,475,336$29.1M2.34%
10CHEVRON CORP NEWCVX180,000$25.8M2.07%
11CAPITAL ONE FINL CORP14040H10599,500$21.2M1.70%
12SHELL PLCRYDAF286,000$20.1M1.62%
13CATERPILLAR INCCAT45,000$17.5M1.40%
14ESSEX PPTY TR INC29717810559,500$16.9M1.36%
15TRUIST FINL CORP89832Q109384,000$16.5M1.33%
16INTERNATIONAL BUSINESS MACHSINTR55,000$16.2M1.30%
17WALMART INCWMT162,000$15.8M1.27%
18PHILLIPS 66PSX130,800$15.6M1.25%
19KROGER COKR206,150$14.8M1.19%
20ROYAL BK CDA780087102103,500$13.6M1.09%
21TAIWAN SEMICONDUCTOR MFG LTD87403910060,000$13.6M1.09%
22VANGUARD SCOTTSDALE FDS92206C102230,855$13.6M1.09%
23GE AEROSPACE36960430152,500$13.5M1.09%
24CITIGROUP INCC-PR156,400$13.3M1.07%
25MORGAN STANLEYMS-PQ92,000$13.0M1.04%
26US BANCORP DELUSB-PS270,000$12.2M0.98%
27TORONTO DOMINION BK ONTTORO165,000$12.1M0.97%
28NOVARTIS AGNVSEF93,610$11.3M0.91%
29ABBVIE INCABBV60,294$11.2M0.90%
30PNC FINL SVCS GROUP INC69347510560,000$11.2M0.90%
31CONSTELLATION ENERGY CORPCEG33,333$10.8M0.86%
32BANK MONTREAL QUE06367110196,000$10.6M0.85%
33COCA COLA COKO150,060$10.6M0.85%
34BANK NEW YORK MELLON CORP064058100115,000$10.5M0.84%
35UNILEVER PLCUNLYF170,000$10.4M0.84%
36DEERE & CODE20,000$10.2M0.82%
37HSBC HLDGS PLCHBCYF166,918$10.1M0.82%
38MERCK & CO INCMRK125,000$9.9M0.80%
39AMGEN INCAMGN35,190$9.8M0.79%
40LENNAR CORPLEN-B86,370$9.6M0.77%
41ELI LILLY & COLLY12,000$9.4M0.75%
42TOTALENERGIES SETTE150,000$9.2M0.74%
43STATE STR CORPSTT-PG85,000$9.0M0.73%
44PRUDENTIAL FINL INCPUKPF80,459$8.6M0.69%
45ALPHABET INCGOOG49,000$8.6M0.69%
46NRG ENERGY INCNRG53,146$8.5M0.69%
47METLIFE INCMET-PF103,304$8.3M0.67%
48FEDEX CORPFDX35,000$8.0M0.64%
49SCHWAB CHARLES CORPSCHW-PJ86,674$7.9M0.64%
50JOHNSON & JOHNSONJNJ50,000$7.6M0.61%
51NORTHERN TR CORPNTRSO60,000$7.6M0.61%
52NORTHROP GRUMMAN CORPNOC15,000$7.5M0.60%
53PINNACLE WEST CAP CORPPNW83,000$7.4M0.60%
54CHUBB LIMITEDCB25,000$7.2M0.58%
55SEMPRASREA92,000$7.0M0.56%
56GE VERNOVA INCGEV13,125$6.9M0.56%
57EQUITY RESIDENTIALEQR100,000$6.7M0.54%
58CONOCOPHILLIPSCOP70,000$6.3M0.50%
59MEDTRONIC PLCMDT71,632$6.2M0.50%
60AMERICAN ELEC PWR CO INC02553710160,000$6.2M0.50%
61HILTON WORLDWIDE HLDGS INCHLT23,332$6.2M0.50%
62VERIZON COMMUNICATIONS INCVZ140,000$6.1M0.49%
63AMERIPRISE FINL INCAMP11,250$6.0M0.48%
64BRISTOL-MYERS SQUIBB COCELG-RI127,000$5.9M0.47%
65QUEST DIAGNOSTICS INCDGX32,000$5.7M0.46%
66MICROCHIP TECHNOLOGY INC.MCHPP80,000$5.6M0.45%
67BANK NOVA SCOTIA HALIFAX064149107100,000$5.5M0.44%
68JEFFERIES FINL GROUP INC47233W109100,000$5.5M0.44%
69UNITED RENTALS INCURI7,000$5.3M0.42%
70PEPSICO INCPEP39,800$5.3M0.42%
71WEC ENERGY GROUP INCWEC50,000$5.2M0.42%
72TOYOTA MOTOR CORPTOYOF30,000$5.2M0.42%
73EDISON INTL281020107100,000$5.2M0.41%
74PPG INDS INC69350610745,250$5.1M0.41%
75XCEL ENERGY INCXELLL70,000$4.8M0.38%
76LABCORP HOLDINGS INCLH18,000$4.7M0.38%
77ALLY FINL INC02005N100115,000$4.5M0.36%
78RTX CORPORATIONRTX30,000$4.4M0.35%
79EXELON CORPEXC100,000$4.3M0.35%
80AMERICAN INTL GROUP INC02687478450,000$4.3M0.34%
81ADVANCED MICRO DEVICES INCAMD30,000$4.3M0.34%
82ABBOTT LABSABLZF30,500$4.1M0.33%
83MONDELEZ INTL INC60920710561,010$4.1M0.33%
84ENERGY TRANSFER L PET-PI225,800$4.1M0.33%
85CARDINAL HEALTH INCCAH23,277$3.9M0.31%
86SANOFISNYNF80,000$3.9M0.31%
87DUKE ENERGY CORP NEWDUKB32,666$3.9M0.31%
88WESTERN DIGITAL CORPWDC60,000$3.8M0.31%
89DUPONT DE NEMOURS INCDD53,943$3.7M0.30%
90KINDER MORGAN INC DELEP-PC125,000$3.7M0.30%
91PHILIP MORRIS INTL INC71817210920,000$3.6M0.29%
92STRYKER CORPORATIONSYK9,000$3.6M0.29%
93NEXTERA ENERGY INCNEE-PW50,000$3.5M0.28%
94ISHARES TR46428765516,000$3.5M0.28%
95UNION PAC CORPUNP15,000$3.5M0.28%
96HCA HEALTHCARE INCHCA9,000$3.4M0.28%
97THE CIGNA GROUP12552310010,040$3.3M0.27%
98UNITED THERAPEUTICS CORP DELUTHR10,000$2.9M0.23%
99FIRSTENERGY CORPFE70,000$2.8M0.23%
100SELECT SECTOR SPDR TR81369y88634,000$2.8M0.22%
101JOHNSON CTLS INTL PLCJCI26,200$2.8M0.22%
102ALIBABA GROUP HLDG LTDBBAAY24,000$2.7M0.22%
103PROCTER AND GAMBLE CO74271810917,000$2.7M0.22%
104GILEAD SCIENCES INCGILD23,000$2.6M0.20%
105PPL CORPPPLC70,000$2.4M0.19%
106PFIZER INCPFE96,000$2.3M0.19%
107SOUTHERN COSOMN25,000$2.3M0.18%
108ALCOA CORPAA75,000$2.2M0.18%
109ALBERTSONS COS INC013091103100,000$2.2M0.17%
110COMCAST CORP NEWCCZ60,000$2.1M0.17%
111CANADIAN IMPERIAL BK COMMCNDIF30,000$2.1M0.17%
112KENVUE INCKVUE100,000$2.1M0.17%
113MADISON SQUARE GRDN SPRT COR55825T10310,000$2.1M0.17%
114WYNN RESORTS LTDWYNN20,000$1.9M0.15%
115DOW INCDOW69,044$1.8M0.15%
116WEYERHAEUSER CO MTN BEWY70,000$1.8M0.14%
117BAXTER INTL INC07181310957,829$1.8M0.14%
118ALCON AGALC18,722$1.7M0.13%
119ARCHER DANIELS MIDLAND COADM30,830$1.6M0.13%
120REGENERON PHARMACEUTICALSREGN3,000$1.6M0.13%
121ENTERPRISE PRODS PARTNERS L29379210750,000$1.6M0.12%
122WELLTOWER INCWELL10,000$1.5M0.12%
123GSK PLCGLAXF40,000$1.5M0.12%
124UNITED PARCEL SERVICE INCUPS15,000$1.5M0.12%
125PITNEY BOWES INCPBI-PB130,000$1.3M0.11%
126GE HEALTHCARE TECHNOLOGIES IGEHC17,500$1.3M0.10%
127MCDONALDS CORPMCD4,000$1.3M0.10%
128ISHARES TR46428743214,500$1.3M0.10%
129MILLROSE PPTYS INC60113710243,663$1.2M0.10%
130COTERRA ENERGY INCCTRA48,000$1.2M0.10%
131ADOBE INCADBE3,000$1.2M0.09%
132BERKSHIRE HATHAWAY INC DELBRK-A2,250$1.1M0.09%
133BRIGHTHOUSE FINL INC10922N10320,000$1.1M0.09%
134HALEON PLCHLNCF100,000$1.0M0.08%
135CORTEVA INCCTVA13,646$1.0M0.08%
136BECTON DICKINSON & COBDX5,500$947,3750.08%
137CELSIUS HLDGS INCCELH25,000$947,0000.08%
138SANDISK CORPSNDK20,000$907,0000.07%
139JAZZ PHARMACEUTICALS PLCJAZZ7,000$742,8400.06%
140SNOWFLAKE INCSNOW3,000$671,3100.05%
141MADRIGAL PHARMACEUTICALS INCMDGL2,000$550,5200.04%
142GENERAL MLS INC37033410410,000$518,1000.04%
143BLOCK INCBSQKZ5,000$339,6500.03%