Meeder Asset Management Inc Top Holdings and 13F Report (2024) → The Overlooked Retirement Asset You Probably Don’t Own (From Crypto 101 Media) (Ad) About Meeder Asset Management IncInvestment ActivityMeeder Asset Management Inc has $1.58 billion in total holdings as of March 31, 2024.Meeder Asset Management Inc owns shares of 744 different stocks, but just 69 companies or ETFs make up 80% of its holdings.Approximately 53.69% of the portfolio was purchased this quarter.About 17.79% of the portfolio was sold this quarter.This quarter, Meeder Asset Management Inc has purchased 466 new stocks and bought additional shares in 172 stocks.Meeder Asset Management Inc sold shares of 146 stocks and completely divested from 91 stocks this quarter.Largest Holdings Berkshire Hathaway $108,535,791NVIDIA $83,898,256Microsoft $83,884,837Mastercard $48,552,370Alphabet $48,526,633 Largest New Holdings this Quarter iShares Short Treasury Bond ETF $13,337,204 HoldingFirst Solar $7,885,154 HoldingVulcan Materials $7,462,724 HoldingAECOM $7,315,983 HoldingMicron Technology $4,628,007 Holding Largest Purchases this Quarter Berkshire Hathaway 255,044 shares (about $107.25M)NVIDIA 88,735 shares (about $80.18M)Mastercard 99,591 shares (about $47.96M)Alphabet 310,626 shares (about $47.30M)Meta Platforms 91,389 shares (about $44.38M) Largest Sales this Quarter Microsoft 71,559 shares (about $30.11M)AbbVie 115,815 shares (about $21.09M)Amgen 60,228 shares (about $17.12M)Adobe 33,528 shares (about $16.92M)UnitedHealth Group 21,250 shares (about $10.51M) Sector Allocation Over TimeMap of 500 Largest Holdings ofMeeder Asset Management Inc Selling Neutral Buying Latest 13F Holdings and Changes Since Previous Quarterly FilingIssuer NameHoldings ValueApproximate Purchase/SaleChange in SharesShares Held% of PortfolioSectorBRK.BBerkshire Hathaway$108,535,791$107,251,102 ▲8,348.4%258,0996.9%FinanceNVDANVIDIA$83,898,256$80,177,396 ▲2,154.8%92,8535.3%Computer and TechnologyMSFTMicrosoft$83,884,837$30,106,303 ▼-26.4%199,3845.3%Computer and TechnologyMAMastercard$48,552,370$47,960,039 ▲8,096.8%100,8213.1%Business ServicesGOOGAlphabet$48,526,633$47,295,915 ▲3,843.0%318,7093.1%Computer and TechnologyMETAMeta Platforms$45,947,522$44,376,671 ▲2,825.0%94,6242.9%Computer and TechnologyAMZNAmazon.com$37,343,710$11,416,430 ▲44.0%207,0282.4%Retail/WholesaleTXNTexas Instruments$34,649,324$15,258,357 ▲78.7%198,8942.2%Computer and TechnologyLENLennar$34,388,605$15,875,818 ▲85.8%199,9572.2%ConstructionAVGOBroadcom$30,488,407$8,127,414 ▲36.3%23,0031.9%Computer and TechnologyGRMNGarmin$28,840,734$4,341,049 ▲17.7%193,7311.8%Computer and TechnologyADIAnalog Devices$28,729,393$12,663,109 ▲78.8%145,2521.8%Computer and TechnologyAMPAmeriprise Financial$25,236,606$6,032,934 ▲31.4%57,5601.6%FinanceEMBiShares J.P. Morgan USD Emerging Markets Bond ETF$25,001,072$3,727,582 ▲17.5%278,8121.6%ETFQCOMQUALCOMM$24,548,331$9,053,995 ▲58.4%144,9991.5%Computer and TechnologyVTVVanguard Value ETF$22,960,654$22,901,210 ▲38,525.8%140,9841.4%ETFELVElevance Health$21,803,570$12,272,805 ▲128.8%42,0481.4%MedicalJNJJohnson & Johnson$21,016,490$16,085,233 ▲326.2%132,8561.3%MedicalROSTRoss Stores$20,288,396$7,711,504 ▲61.3%138,2421.3%Retail/WholesaleVUGVanguard Growth ETF$20,218,308$20,146,714 ▲28,140.4%58,7401.3%ETFLLYEli Lilly and Company$18,721,607$11,598,605 ▲162.8%24,0651.2%MedicalIEFAiShares Core MSCI EAFE ETF$18,575,856$11,689,724 ▲169.8%250,2811.2%ETFFASTFastenal$17,820,420$511,207 ▼-2.8%231,0141.1%Retail/WholesaleFERGFerguson$16,492,557$2,088,628 ▲14.5%75,5051.0%Industrial ProductsUNPUnion Pacific$16,367,626$16,149,486 ▲7,403.3%66,5541.0%TransportationSWKSSkyworks Solutions$14,194,794$6,671,320 ▲88.7%131,0450.9%Computer and TechnologyCOSTCostco Wholesale$13,708,973$13,151,442 ▲2,358.9%18,7120.9%Retail/WholesaleSHViShares Short Treasury Bond ETF$13,337,204$13,337,204 ▲New Holding120,6550.8%ETFUNHUnitedHealth Group$13,124,886$10,512,375 ▼-44.5%26,5310.8%MedicalAAPLApple$12,987,380$8,284,541 ▲176.2%75,7370.8%Computer and TechnologyAMATApplied Materials$12,937,221$12,568,069 ▲3,404.6%62,7320.8%Computer and TechnologySTTState Street$12,768,779$4,580,901 ▲55.9%165,1420.8%FinanceDHID.R. Horton$12,656,199$1,487,038 ▲13.3%76,9140.8%ConstructionMCKMcKesson$12,476,394$2,007,819 ▲19.2%23,2400.8%MedicalVLOValero Energy$11,856,470$3,185,417 ▲36.7%69,4620.7%Oils/EnergyPHMPulteGroup$10,623,848$3,638,382 ▲52.1%88,0770.7%ConstructionMHKMohawk Industries$10,244,499$4,656,805 ▲83.3%78,2680.6%Consumer DiscretionaryPXDPioneer Natural Resources$10,218,600$998,813 ▼-8.9%38,9280.6%Oils/EnergyWHRWhirlpool$9,927,137$8,885,638 ▲853.2%82,9820.6%Consumer DiscretionaryFANGDiamondback Energy$9,473,517$100,274 ▼-1.0%47,8050.6%Oils/EnergyNTRSNorthern Trust$9,238,077$3,703,696 ▲66.9%103,8920.6%FinanceINTCIntel$8,890,670$4,928,798 ▲124.4%201,2830.6%Computer and TechnologyHDHome Depot$8,870,366$5,272,965 ▼-37.3%23,1240.6%Retail/WholesaleAMDAdvanced Micro Devices$8,853,936$8,407,223 ▲1,882.0%49,0550.6%Computer and TechnologyWMTWalmart$8,662,795$8,403,342 ▲3,238.9%143,9720.5%Retail/WholesaleNSCNorfolk Southern$8,217,519$6,002,953 ▲271.1%32,2420.5%TransportationTGTTarget$8,094,067$7,622,688 ▲1,617.1%45,6750.5%Retail/WholesaleXOMExxon Mobil$7,907,807$6,917,791 ▲698.8%68,0300.5%Oils/EnergyMSMMSC Industrial Direct$7,907,498$651,235 ▲9.0%81,4870.5%Industrial ProductsIEMGiShares Core MSCI Emerging Markets ETF$7,906,695$5,272,059 ▲200.1%153,2310.5%ETFFSLRFirst Solar$7,885,154$7,885,154 ▲New Holding46,7130.5%Oils/EnergyMCHPMicrochip Technology$7,761,529$7,539,676 ▲3,398.5%86,5180.5%Computer and TechnologyVMCVulcan Materials$7,462,724$7,462,724 ▲New Holding27,3440.5%ConstructionACMAECOM$7,315,983$7,315,983 ▲New Holding74,5920.5%ConstructionKRKroger$7,113,542$2,102,841 ▲42.0%124,5150.4%Retail/WholesaleBMYBristol-Myers Squibb$7,039,217$3,494,202 ▲98.6%129,8030.4%MedicalVEAVanguard FTSE Developed Markets ETF$6,761,261$206,951 ▲3.2%134,7670.4%ETFEOGEOG Resources$6,689,228$1,754,988 ▲35.6%52,3250.4%Oils/EnergyCVXChevron$6,532,803$6,037,342 ▲1,218.5%41,4150.4%Oils/EnergyEMEEMCOR Group$6,528,4280.0%18,6420.4%ConstructionALLYAlly Financial$6,510,230$2,651,542 ▲68.7%160,3900.4%FinanceUALUnited Airlines$6,085,452$1,760,787 ▲40.7%127,0980.4%TransportationCIThe Cigna Group$5,932,709$43,946 ▼-0.7%16,3350.4%MedicalCOPConocoPhillips$5,864,426$650,274 ▼-10.0%46,0750.4%Oils/EnergyIGSBiShares 1-5 Year Investment Grade Corporate Bond ETF$5,767,000$2,104,890 ▲57.5%112,4610.4%ManufacturingGILDGilead Sciences$5,516,311$5,300,883 ▲2,460.6%75,3080.3%MedicalVTEBVanguard Tax-Exempt Bond ETF$5,371,240$361,588 ▲7.2%106,1510.3%ETFMUBiShares National Muni Bond ETF$5,364,936$326,351 ▲6.5%49,8600.3%ETFAGGiShares Core U.S. Aggregate Bond ETF$5,340,081$7,932,945 ▼-59.8%54,5240.3%FinanceCNCCentene$5,337,346$13,185 ▲0.2%68,0090.3%MedicalISTBiShares Core 1-5 Year USD Bond ETF$5,322,863$282,078 ▲5.6%112,2020.3%ManufacturingORCLOracle$5,219,598$4,749,063 ▼-47.6%41,5540.3%Computer and TechnologyOCOwens Corning$5,024,850$558,613 ▲12.5%30,1250.3%ConstructionINTUIntuit$4,946,500$5,461,300 ▼-52.5%7,6100.3%Computer and TechnologyABBVAbbVie$4,860,067$21,089,912 ▼-81.3%26,6890.3%MedicalTJXTJX Companies$4,833,880$4,540,776 ▲1,549.2%47,6620.3%Retail/WholesaleBLDRBuilders FirstSource$4,671,103$833,574 ▼-15.1%22,3980.3%Retail/WholesaleMUMicron Technology$4,628,007$4,628,007 ▲New Holding39,2570.3%Computer and TechnologyLQDiShares iBoxx $ Investment Grade Corporate Bond ETF$4,538,696$4,221,412 ▲1,330.5%41,6700.3%FinanceCOFCapital One Financial$4,529,383$1,469,396 ▼-24.5%30,4210.3%FinanceCHENIERE ENERGY INC$4,507,776$3,853,302 ▲588.8%27,9500.3%COM NEWGOOGLAlphabet$4,305,429$2,797,789 ▲185.6%28,5260.3%Computer and TechnologyTOLToll Brothers$4,290,944$645,168 ▼-13.1%33,1680.3%ConstructionAOSA. O. Smith$4,075,440$2,999,862 ▲278.9%45,5560.3%Industrial ProductsDALDelta Air Lines$4,029,074$312,112 ▲8.4%84,1670.3%TransportationENPHEnphase Energy$4,011,939$4,011,939 ▲New Holding33,1620.3%Oils/EnergyALLEAllegion$3,931,242$246,250 ▼-5.9%29,1830.2%Industrial ProductsNFLXNetflix$3,857,153$1,120,524 ▲40.9%6,3510.2%Consumer DiscretionaryVRSKVerisk Analytics$3,708,740$4,546,524 ▼-55.1%15,7330.2%Business ServicesTTTrane Technologies$3,610,505$91,561 ▼-2.5%12,0270.2%Business ServicesIEFiShares 7-10 Year Treasury Bond ETF$3,549,277$114,444 ▲3.3%37,4950.2%ETFEBAYeBay$3,540,852$2,884,585 ▲439.5%67,0870.2%Retail/WholesaleJNKSPDR Bloomberg High Yield Bond ETF$3,476,894$862,702 ▼-19.9%36,5220.2%FinanceXLVHealth Care Select Sector SPDR Fund$3,461,757$3,461,462 ▲1,171,550.0%23,4330.2%ETFXLEEnergy Select Sector SPDR Fund$3,252,141$181,456 ▲5.9%34,4470.2%ETFOKEONEOK$3,184,994$3,184,994 ▲New Holding39,7280.2%Oils/EnergyBKBank of New York Mellon$3,141,327$1,704,630 ▲118.6%54,5180.2%FinanceXLBMaterials Select Sector SPDR Fund$3,129,836$49,975 ▲1.6%33,6940.2%ETFIWSiShares Russell Mid-Cap Value ETF$3,126,858$41,735 ▼-1.3%24,9490.2%ETFSPDWSPDR Portfolio Developed World ex-US ETF$3,074,642$16,737 ▼-0.5%85,7880.2%ETFShowing largest 100 holdings. 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