Citigroup's Top % adding in Q124: EFA, HYG, MU, XBI, INTC, XLV, QCOM &AMD

Citigroup Inc $Citigroup(C)$ submitted its 13F filings for the last quarter, reporting a portfolio comprising 4804 holdings. The firm's assets under management (AUM) stand at $92.95 billion, reflecting a positive return of 12.52% for Q1 2024.

Citigroup Inc. - FinpediaCitigroup Inc. - Finpedia

Below are the top 8 shifts in share positions for Q1 2024 that may interest you:

  1. $iShares MSCI EAFE ETF(EFA)$ +799.83%

  2. $iShares iBoxx $ High Yield Corporate Bond ETF(HYG)$ +353.59%

  3. $Micron Technology(MU)$ +115.46%

  4. $Spdr S&P Biotech Etf(XBI)$ +114.76%

  5. $Intel(INTC)$ +105.1%

  6. $Health Care Select Sector SPDR Fund(XLV)$ +75.81%

  7. $Qualcomm(QCOM)$ +66.25%

  8. $Advanced Micro Devices(AMD)$ +48.42%

These highlighted adjustments in $Citigroup(C)$ 's portfolio underscore the bank's strategic investments and the sectors that are capturing significant growth potential in the current market landscape.[Miser]

Do you have interest in the above stocks?

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# 13F: How Do Institutions Change Their Portfolio?

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