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GENERAL AMERICAN INVESTORS CO INC
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Back to GENERAL AMERICAN INVESTORS CO INC
GA
General American Investors Co Inc
All holdings · as of Dec 31, 2025
68 positions
All types
Company
▲
▼
Class
Value
▲
▼
Shares
▲
▼
% of portfolio
▲
▼
CLEVELAND-CLIFFS INC.
—
$1.34M
100,593
0.1%
Proshares S&P 500 Dividend Ari
—
$2.34M
22,500
0.1%
ROYCE SMALL-CAP TRUST, INC.
RVT
Closed-End Fund
$2.43M
150,877
0.2%
Vanguard Mid-Cap Value Index F
—
$2.43M
13,700
0.2%
ADAMS DIVERSIFIED EQUITY FUND, INC.
ADX
Closed-End Fund
$3.06M
131,124
0.2%
Valneva SE - ADR
—
$3.13M
354,361
0.2%
BLACKBERRY LTD
—
$3.89M
1,026,996
0.2%
Marvell Technology, Inc.
—
$4.25M
50,000
0.3%
Ferroglobe PLC
—
$4.44M
957,591
0.3%
COLUMBIA BANKING SYSTEM, INC.
—
$4.63M
165,556
0.3%
i-80 Gold Corp.
IAUX
Common Stock
$5.07M
3,474,389
0.3%
Revolution Medicines, Inc.
—
$5.10M
64,045
0.3%
MARAVAI LIFESCIENCES HOLDINGS, INC.
—
$5.15M
1,585,316
0.3%
URANIUM ENERGY CORP
—
$5.84M
500,000
0.4%
Invesco S&P Equal Weight
—
$5.86M
30,611
0.4%
TENET HEALTHCARE CORP
—
$5.96M
30,000
0.4%
ARS Pharmaceuticals, Inc.
—
$6.52M
559,959
0.4%
indie Semiconductor, Inc.
—
$6.90M
1,954,849
0.4%
Arcos Dorados Holdings Inc
—
$6.97M
950,178
0.4%
Universal Display Corp
—
$7.59M
65,009
0.5%
Salesforce Inc
—
$7.95M
30,000
0.5%
Alamos Gold Inc. - Class A
—
$9.31M
241,219
0.6%
IDEAYA BIOSCIENCES, INC.
—
$9.69M
280,261
0.6%
AMGEN INC
—
$9.82M
30,000
0.6%
APPLIED MATERIALS INC /DE
—
$10.70M
41,652
0.7%
VEEVA SYSTEMS INC
—
$10.72M
48,006
0.7%
MetLife Inc
—
$11.08M
140,327
0.7%
AMERICAN ELECTRIC POWER CO INC
—
$11.53M
100,000
0.7%
NCR Voyix Corp
—
$12.04M
1,180,314
0.7%
PFIZER INC
—
$12.59M
505,808
0.8%
ONTO INNOVATION INC.
—
$12.63M
80,000
0.8%
Uber Technologies, Inc
—
$13.12M
160,583
0.8%
CHEVRON CORP
—
$13.17M
86,391
0.8%
NEXTNAV INC.
—
$13.32M
800,210
0.8%
GILEAD SCIENCES, INC.
—
$14.72M
119,900
0.9%
Energy Transfer LP
ET
MLP
$16.82M
1,020,030
1.0%
DOMINION ENERGY, INC
—
$16.99M
290,000
1.1%
EXXON MOBIL CORP
—
$17.58M
146,100
1.1%
AT&T INC.
—
$18.00M
724,639
1.1%
Arista Networks, Inc.
ANET
Common Stock
$18.43M
140,679
1.1%
PEPSICO INC
—
$20.09M
140,000
1.3%
M&T BANK CORP
—
$20.37M
101,100
1.3%
Expedia Group Inc
—
$20.73M
73,157
1.3%
L3HARRIS TECHNOLOGIES, INC. /DE
—
$20.78M
70,785
1.3%
Meta Platforms Inc
—
$21.12M
32,000
1.3%
TYLER TECHNOLOGIES, INC.
—
$21.19M
46,681
1.3%
Merck & Co., Inc.
—
$21.51M
204,326
1.3%
REGENERON PHARMACEUTICALS, INC.
—
$24.21M
31,362
1.5%
JPMORGAN CHASE & CO
—
$25.78M
80,000
1.6%
RTX Corp
—
$28.43M
155,000
1.8%
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