127 13F filers hold it · −8 against the quarter before · shares held +15.8%
Holdings of 06/30
Energy sectorNYSE
127 13F filers hold it · −8 against the quarter before · shares held +15.8%
Silvercrest Asset Management Group holds 5.53%
2 insiders, a net purchase of $663.8K in 90 days
13F filers: 127 · −8 since the quarter before · 06/30 holdings
Famous funds that held Infinity Natural Resources in their latest 13F report.
| Fund | Value | Since the quarter before |
|---|---|---|
| Mirae Asset Global ETFS HoldingsInfinity Natural Resources INR · 06/30 holdings | $98.8K | No quarter before |
| Holder | ||
|---|---|---|
| Silvercrest Asset Management Group08/14 | 5.53%1,037,535 sh | First report |
| American Century Investment Management08/14 | 11.4%2,138,714 sh | +1.1pp |
| Franklin Resources07/28 | 12.5%2,343,737 sh | +2.5pp |
| Franklin Resources05/07 | 10%1,879,636 sh | +1.7pp |
| American Century Investment Management05/01 | 10.3%1,868,826 sh | −1.4pp |
| Vanguard Group03/27 | 0%0 sh | −5.6pp |
| INR Investments03/18 | 41.44%12,856,475 sh | First report |
| Etineles Holdings V03/02 | 16.19%3,508,045 sh | First report |
| Encompass Capital Advisors02/17 | 0%0 sh | −5.1pp |
| Webs Creek Capital Management02/12 | 2%314,509 sh | −5.4pp |
| Cibc Private Wealth Group02/02 | 4.58%715,562 sh | −1.7pp |
| Franklin Resources01/29 | 8.3%1,299,091 sh | +1.1pp |
| Chase Oil01/21 | 11.3%2,055,709 sh | First report |
| American Century Investment Management01/08 | 11.7%1,834,586 sh | +3.7pp |
| Cibc Private Wealth Group25/11/10 | 6.3%965,562 sh | First report |
| Jain Global25/08/14 | 3%450,373 sh | −2.6pp |
| American Century Investment Management25/08/14 | 8%1,211,051 sh | +1.5pp |
| Franklin Resources25/08/05 | 7.2%1,092,884 sh | +1.8pp |
| Vanguard Group25/07/29 | 5.64%859,935 sh | First report |
| BlackRock25/07/17 | 7.4%1,131,762 sh | +1.0pp |
No member of Congress reported a trade in Infinity Natural Resources INR in the past 90 days. Insiders filed 4 purchases and 0 sales on the open market over the same period, a net purchase of $663.8K.